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Cisco CDR (CAD Hedged) (CSCO)

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  • 56.840
  • +1.330+2.40%
15min DelayMarket Closed May 15 16:00 ET
657.51BMarket Cap40.60P/E (TTM)

Cisco CDR (CAD Hedged) (CSCO) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Apr 25, 2026
(Q2)Jan 24, 2026
(Q1)Oct 25, 2025
(FY)Jul 26, 2025
(Q4)Jul 26, 2025
(Q3)Apr 26, 2025
(Q2)Jan 25, 2025
(Q1)Oct 26, 2024
(FY)Jul 27, 2024
(Q4)Jul 27, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-7.39%3.76B
-18.70%1.82B
-12.26%3.21B
30.45%14.19B
13.51%4.23B
2.17%4.06B
177.35%2.24B
54.41%3.66B
-45.29%10.88B
-37.48%3.73B
Net income from continuing operations
35.41%3.37B
30.77%3.18B
5.50%2.86B
-1.36%10.18B
17.95%2.55B
32.08%2.49B
-7.82%2.43B
-25.48%2.71B
-18.18%10.32B
-45.38%2.16B
Operating gains losses
-561.40%-263M
-207.27%-59M
-196.67%-178M
-117.67%-38M
-900.00%-90M
200.00%57M
-52.59%55M
-167.42%-60M
4.37%215M
75.68%-9M
Depreciation and amortization
1.76%637M
-13.40%659M
-23.19%606M
12.13%2.81B
-22.84%635M
-27.29%626M
80.33%761M
96.76%789M
45.25%2.51B
95.02%823M
Remuneration paid in stock
-80.00%2M
----
----
-29.41%24M
-53.33%7M
42.86%10M
0.00%8M
-125.00%-1M
9.68%34M
-25.00%15M
Remuneration paid in stock
-3.28%914M
1.41%934M
27.57%1.06B
18.45%3.64B
18.50%948M
16.52%945M
14.84%921M
25.11%827M
30.64%3.07B
26.38%800M
Deferred tax
62.68%-153M
11.88%-89M
108.90%25M
-16.56%-1.13B
53.09%-341M
-171.80%-410M
66.67%-101M
45.22%-281M
53.38%-972M
2.02%-727M
Other non cashItems
----
----
-200.00%-3M
----
----
----
----
---1M
----
----
Change In working capital
-322.78%-753M
-53.47%-2.81B
-255.86%-1.15B
69.94%-1.29B
-21.17%525M
283.70%338M
36.22%-1.83B
83.03%-324M
-185.24%-4.3B
-61.10%666M
-Change in receivables
-64.22%219M
-46.32%-1.61B
-35.63%1.55B
190.14%192M
-8.05%-1.72B
30.21%612M
-1,046.88%-1.1B
139.04%2.4B
-111.60%-213M
-102.93%-1.59B
-Change in inventory
-888.00%-788M
-348.58%-527M
-202.18%-234M
-24.00%209M
-30.20%-332M
13.64%100M
57.04%212M
-25.41%229M
125.72%275M
-45.71%-255M
-Change in payables and accrued expense
-101.90%-4M
105.66%763M
36.75%-647M
125.95%204M
6.44%645M
237.91%211M
486.46%371M
10.50%-1.02B
-215.93%-786M
21.93%606M
-Change in other current assets
144.94%40M
78.90%-50M
-211.58%-592M
25.63%-499M
105.88%17M
-523.81%-89M
-109.73%-237M
34.48%-190M
-13,520.00%-671M
-166.74%-289M
-Change in other current liabilities
34.57%-530M
4,384.62%557M
-1,110.81%-374M
-53.61%193M
95.02%979M
-2,176.92%-810M
-108.78%-13M
113.55%37M
766.67%416M
34.95%502M
-Change in other working capital
-1.27%310M
-82.69%-1.94B
52.11%-851M
52.06%-1.59B
-44.77%935M
148.38%314M
62.69%-1.06B
-17.37%-1.78B
-193.65%-3.32B
23.67%1.69B
Cash from discontinued investing activities
Operating cash flow
-7.39%3.76B
-18.70%1.82B
-12.26%3.21B
30.45%14.19B
13.51%4.23B
2.17%4.06B
177.35%2.24B
54.41%3.66B
-45.29%10.88B
-37.48%3.73B
Investing cash flow
Cash flow from continuing investing activities
-509.90%-2.07B
-227.79%-1.31B
-67.43%156M
108.46%1.73B
67.03%-273M
102.21%505M
-53.82%1.02B
-49.68%479M
-300.98%-20.48B
32.13%-828M
Net PPE purchase and sale
-58.62%-414M
-34.76%-283M
-48.85%-323M
-35.07%-905M
-9.60%-217M
-55.36%-261M
-23.53%-210M
-61.94%-217M
21.08%-670M
15.02%-198M
Net business purchase and sale
--0
2.50%-39M
96.77%-7M
98.88%-291M
--0
99.86%-34M
-1,900.00%-40M
75.23%-217M
-8,535.88%-25.99B
41.46%-120M
Net investment purchase and sale
-307.25%-1.66B
-178.21%-998M
-44.42%508M
-52.83%2.92B
86.19%-70M
-65.96%800M
-46.54%1.28B
-53.39%914M
257.37%6.19B
35.25%-507M
Net other investing changes
--2M
450.00%14M
-2,100.00%-22M
280.00%9M
566.67%14M
--0
-100.00%-4M
-200.00%-1M
78.26%-5M
-400.00%-3M
Cash from discontinued investing activities
Investing cash flow
-509.90%-2.07B
-227.79%-1.31B
-67.43%156M
108.46%1.73B
67.03%-273M
102.21%505M
-53.82%1.02B
-49.68%479M
-300.98%-20.48B
32.13%-828M
Financing cash flow
Cash flow from continuing financing activities
60.31%-2.04B
63.52%-1.44B
-38.76%-3.86B
-331.08%-15.82B
12.38%-3.95B
-136.51%-5.14B
-465.62%-3.95B
26.74%-2.78B
158.87%6.84B
-70.08%-4.51B
Net issuance payments of debt
171.71%1.2B
308.70%1.97B
-96.83%31M
-114.55%-2.81B
-12.97%-1.18B
-109.73%-1.67B
-123.96%-943M
230.53%979M
1,854.08%19.33B
---1.04B
Net common stock issuance
36.07%-1.54B
3.97%-725M
-4.98%-2.28B
-6.94%-6.49B
38.77%-1.15B
-18.67%-2.42B
-7.55%-755M
-49.21%-2.17B
-44.75%-6.07B
-81.51%-1.88B
Cash dividends paid
-2.03%-1.66B
-1.51%-1.62B
-1.57%-1.62B
-0.83%-6.44B
-1.18%-1.63B
-0.74%-1.63B
-0.63%-1.59B
-0.76%-1.59B
-1.30%-6.38B
-1.07%-1.61B
Net other financing activities
-105.89%-34M
-62.84%-1.07B
66.67%-1M
-116.22%-80M
--0
7.65%577M
-14.54%-654M
82.35%-3M
-15.63%-37M
153.57%15M
Cash from discontinued financing activities
Financing cash flow
60.31%-2.04B
63.52%-1.44B
-38.76%-3.86B
-331.08%-15.82B
12.38%-3.95B
-136.51%-5.14B
-465.62%-3.95B
26.74%-2.78B
158.87%6.84B
-70.08%-4.51B
Net cash flow
Beginning cash position
-21.55%7.46B
-17.70%8.4B
0.77%8.91B
-23.95%8.84B
-14.57%8.92B
-37.52%9.51B
-8.08%10.21B
-23.95%8.84B
35.53%11.63B
9.35%10.44B
Current changes in cash
38.78%-352M
-35.34%-923M
-136.50%-495M
104.03%111M
100.75%12M
87.95%-575M
-116.63%-682M
384.28%1.36B
-187.35%-2.75B
-176.57%-1.61B
Effect of exchange rate changes
-60.00%-24M
-5.56%-19M
-240.00%-14M
-38.71%-43M
-350.00%-20M
-114.29%-15M
-238.46%-18M
122.22%10M
70.48%-31M
153.33%8M
End cash Position
-20.58%7.08B
-21.55%7.46B
-17.70%8.4B
0.77%8.91B
0.77%8.91B
-14.57%8.92B
-37.52%9.51B
-8.08%10.21B
-23.95%8.84B
-23.95%8.84B
Free cash from
-11.93%3.34B
-24.22%1.54B
-16.11%2.89B
30.15%13.29B
13.73%4.02B
-0.18%3.8B
218.34%2.03B
53.96%3.44B
-46.37%10.21B
-38.39%3.53B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)Apr 25, 2026(Q2)Jan 24, 2026(Q1)Oct 25, 2025(FY)Jul 26, 2025(Q4)Jul 26, 2025(Q3)Apr 26, 2025(Q2)Jan 25, 2025(Q1)Oct 26, 2024(FY)Jul 27, 2024(Q4)Jul 27, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -7.39%3.76B-18.70%1.82B-12.26%3.21B30.45%14.19B13.51%4.23B2.17%4.06B177.35%2.24B54.41%3.66B-45.29%10.88B-37.48%3.73B
Net income from continuing operations 35.41%3.37B30.77%3.18B5.50%2.86B-1.36%10.18B17.95%2.55B32.08%2.49B-7.82%2.43B-25.48%2.71B-18.18%10.32B-45.38%2.16B
Operating gains losses -561.40%-263M-207.27%-59M-196.67%-178M-117.67%-38M-900.00%-90M200.00%57M-52.59%55M-167.42%-60M4.37%215M75.68%-9M
Depreciation and amortization 1.76%637M-13.40%659M-23.19%606M12.13%2.81B-22.84%635M-27.29%626M80.33%761M96.76%789M45.25%2.51B95.02%823M
Remuneration paid in stock -80.00%2M---------29.41%24M-53.33%7M42.86%10M0.00%8M-125.00%-1M9.68%34M-25.00%15M
Remuneration paid in stock -3.28%914M1.41%934M27.57%1.06B18.45%3.64B18.50%948M16.52%945M14.84%921M25.11%827M30.64%3.07B26.38%800M
Deferred tax 62.68%-153M11.88%-89M108.90%25M-16.56%-1.13B53.09%-341M-171.80%-410M66.67%-101M45.22%-281M53.38%-972M2.02%-727M
Other non cashItems ---------200.00%-3M-------------------1M--------
Change In working capital -322.78%-753M-53.47%-2.81B-255.86%-1.15B69.94%-1.29B-21.17%525M283.70%338M36.22%-1.83B83.03%-324M-185.24%-4.3B-61.10%666M
-Change in receivables -64.22%219M-46.32%-1.61B-35.63%1.55B190.14%192M-8.05%-1.72B30.21%612M-1,046.88%-1.1B139.04%2.4B-111.60%-213M-102.93%-1.59B
-Change in inventory -888.00%-788M-348.58%-527M-202.18%-234M-24.00%209M-30.20%-332M13.64%100M57.04%212M-25.41%229M125.72%275M-45.71%-255M
-Change in payables and accrued expense -101.90%-4M105.66%763M36.75%-647M125.95%204M6.44%645M237.91%211M486.46%371M10.50%-1.02B-215.93%-786M21.93%606M
-Change in other current assets 144.94%40M78.90%-50M-211.58%-592M25.63%-499M105.88%17M-523.81%-89M-109.73%-237M34.48%-190M-13,520.00%-671M-166.74%-289M
-Change in other current liabilities 34.57%-530M4,384.62%557M-1,110.81%-374M-53.61%193M95.02%979M-2,176.92%-810M-108.78%-13M113.55%37M766.67%416M34.95%502M
-Change in other working capital -1.27%310M-82.69%-1.94B52.11%-851M52.06%-1.59B-44.77%935M148.38%314M62.69%-1.06B-17.37%-1.78B-193.65%-3.32B23.67%1.69B
Cash from discontinued investing activities
Operating cash flow -7.39%3.76B-18.70%1.82B-12.26%3.21B30.45%14.19B13.51%4.23B2.17%4.06B177.35%2.24B54.41%3.66B-45.29%10.88B-37.48%3.73B
Investing cash flow
Cash flow from continuing investing activities -509.90%-2.07B-227.79%-1.31B-67.43%156M108.46%1.73B67.03%-273M102.21%505M-53.82%1.02B-49.68%479M-300.98%-20.48B32.13%-828M
Net PPE purchase and sale -58.62%-414M-34.76%-283M-48.85%-323M-35.07%-905M-9.60%-217M-55.36%-261M-23.53%-210M-61.94%-217M21.08%-670M15.02%-198M
Net business purchase and sale --02.50%-39M96.77%-7M98.88%-291M--099.86%-34M-1,900.00%-40M75.23%-217M-8,535.88%-25.99B41.46%-120M
Net investment purchase and sale -307.25%-1.66B-178.21%-998M-44.42%508M-52.83%2.92B86.19%-70M-65.96%800M-46.54%1.28B-53.39%914M257.37%6.19B35.25%-507M
Net other investing changes --2M450.00%14M-2,100.00%-22M280.00%9M566.67%14M--0-100.00%-4M-200.00%-1M78.26%-5M-400.00%-3M
Cash from discontinued investing activities
Investing cash flow -509.90%-2.07B-227.79%-1.31B-67.43%156M108.46%1.73B67.03%-273M102.21%505M-53.82%1.02B-49.68%479M-300.98%-20.48B32.13%-828M
Financing cash flow
Cash flow from continuing financing activities 60.31%-2.04B63.52%-1.44B-38.76%-3.86B-331.08%-15.82B12.38%-3.95B-136.51%-5.14B-465.62%-3.95B26.74%-2.78B158.87%6.84B-70.08%-4.51B
Net issuance payments of debt 171.71%1.2B308.70%1.97B-96.83%31M-114.55%-2.81B-12.97%-1.18B-109.73%-1.67B-123.96%-943M230.53%979M1,854.08%19.33B---1.04B
Net common stock issuance 36.07%-1.54B3.97%-725M-4.98%-2.28B-6.94%-6.49B38.77%-1.15B-18.67%-2.42B-7.55%-755M-49.21%-2.17B-44.75%-6.07B-81.51%-1.88B
Cash dividends paid -2.03%-1.66B-1.51%-1.62B-1.57%-1.62B-0.83%-6.44B-1.18%-1.63B-0.74%-1.63B-0.63%-1.59B-0.76%-1.59B-1.30%-6.38B-1.07%-1.61B
Net other financing activities -105.89%-34M-62.84%-1.07B66.67%-1M-116.22%-80M--07.65%577M-14.54%-654M82.35%-3M-15.63%-37M153.57%15M
Cash from discontinued financing activities
Financing cash flow 60.31%-2.04B63.52%-1.44B-38.76%-3.86B-331.08%-15.82B12.38%-3.95B-136.51%-5.14B-465.62%-3.95B26.74%-2.78B158.87%6.84B-70.08%-4.51B
Net cash flow
Beginning cash position -21.55%7.46B-17.70%8.4B0.77%8.91B-23.95%8.84B-14.57%8.92B-37.52%9.51B-8.08%10.21B-23.95%8.84B35.53%11.63B9.35%10.44B
Current changes in cash 38.78%-352M-35.34%-923M-136.50%-495M104.03%111M100.75%12M87.95%-575M-116.63%-682M384.28%1.36B-187.35%-2.75B-176.57%-1.61B
Effect of exchange rate changes -60.00%-24M-5.56%-19M-240.00%-14M-38.71%-43M-350.00%-20M-114.29%-15M-238.46%-18M122.22%10M70.48%-31M153.33%8M
End cash Position -20.58%7.08B-21.55%7.46B-17.70%8.4B0.77%8.91B0.77%8.91B-14.57%8.92B-37.52%9.51B-8.08%10.21B-23.95%8.84B-23.95%8.84B
Free cash from -11.93%3.34B-24.22%1.54B-16.11%2.89B30.15%13.29B13.73%4.02B-0.18%3.8B218.34%2.03B53.96%3.44B-46.37%10.21B-38.39%3.53B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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