US Stock MarketDetailed Quotes

Cognizant (CTSH)

Watchlist
  • 60.040
  • -0.490-0.81%
Close Apr 14 16:00 ET
  • 59.160
  • -0.880-1.47%
Post 17:46 ET
28.71BMarket Cap13.17P/E (TTM)

Cognizant (CTSH) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
35.73%2.88B
-6.74%858M
44.86%1.23B
51.91%398M
321.05%400M
-8.84%2.12B
24.83%920M
2.29%847M
627.78%262M
-86.97%95M
Net income from continuing operations
-0.45%2.23B
18.68%648M
-52.92%274M
13.96%645M
21.43%663M
5.36%2.24B
-2.15%546M
10.86%582M
22.25%566M
-5.86%546M
Operating gains losses
---62M
--0
--0
--0
---62M
----
----
----
----
----
Depreciation and amortization
1.48%550M
-2.10%140M
1.50%135M
4.51%139M
2.26%136M
-2.34%542M
5.15%143M
-8.90%133M
-5.67%133M
0.76%133M
Deferred tax
192.11%327M
42.48%-88M
627.27%406M
54.55%-45M
307.69%54M
-4.72%-355M
-194.23%-153M
55.75%-77M
-2.06%-99M
-62.50%-26M
Other non cash items
-115.63%-5M
-122.22%-2M
250.00%12M
-800.00%-9M
-118.75%-6M
3,100.00%32M
116.07%9M
-128.57%-8M
-150.00%-1M
18.52%32M
Change In working capital
33.73%-338M
-65.27%116M
104.05%353M
1.30%-380M
32.44%-427M
-169.84%-510M
209.26%334M
-32.42%173M
25.24%-385M
-1,563.16%-632M
-Change in receivables
-646.94%-366M
-137.61%-44M
95.56%-2M
10.63%-143M
-553.85%-177M
-13.95%-49M
503.45%117M
29.69%-45M
-310.26%-160M
-56.18%39M
-Change in payables and accrued expense
91.30%-2M
450.00%33M
-220.00%-6M
-392.31%-38M
119.15%9M
0.00%-23M
-50.00%6M
0.00%5M
192.86%13M
-80.77%-47M
-Change in other current assets
69.43%-118M
-194.44%-119M
138.85%61M
-125.00%-18M
87.90%-42M
-413.82%-386M
763.16%126M
-165.97%-157M
89.87%-8M
-1,941.18%-347M
-Change in other current liabilities
196.88%93M
946.67%127M
-14.08%354M
39.16%-101M
12.23%-287M
60.33%-96M
-127.27%-15M
174.67%412M
43.15%-166M
-110.97%-327M
-Change in other working capital
25.00%55M
19.00%119M
-28.57%-54M
-25.00%-80M
40.00%70M
1,200.00%44M
12.36%100M
42.47%-42M
29.67%-64M
-29.58%50M
Cash from discontinued investing activities
Operating cash flow
35.73%2.88B
-6.74%858M
44.86%1.23B
51.91%398M
321.05%400M
-8.84%2.12B
24.83%920M
2.29%847M
627.78%262M
-86.97%95M
Investing cash flow
Cash flow from continuing investing activities
86.03%-230M
5.06%-75M
94.72%-66M
-3.80%-82M
97.06%-7M
-397.28%-1.65B
-147.02%-79M
-528.14%-1.25B
7.06%-79M
-10.70%-238M
Net PPE purchase and sale
26.60%-218M
7.23%-77M
-19.64%-67M
15.19%-67M
91.14%-7M
6.31%-297M
-6.41%-83M
23.29%-56M
-16.18%-79M
19.39%-79M
Net business purchase and sale
--0
--0
--0
--0
--0
-294.87%-1.62B
--0
---1.19B
--0
-2.93%-421M
Net investment purchase and sale
-104.51%-12M
-50.00%2M
--1M
---15M
--0
-32.66%266M
-98.37%4M
--0
--0
-10.27%262M
Cash from discontinued investing activities
Investing cash flow
86.03%-230M
5.06%-75M
94.72%-66M
-3.80%-82M
97.06%-7M
-397.28%-1.65B
-147.02%-79M
-528.14%-1.25B
7.06%-79M
-10.70%-238M
Financing cash flow
Cash flow from continuing financing activities
-148.31%-2.27B
19.10%-487M
-388.68%-612M
-133.48%-516M
-116.12%-657M
43.13%-915M
-32.31%-602M
147.11%212M
37.57%-221M
13.14%-304M
Net issuance payments of debt
-250.66%-342M
96.79%-10M
-101.87%-11M
10.00%-9M
-680.00%-312M
1,008.00%227M
-3,020.00%-312M
14,825.00%589M
0.00%-10M
-3,900.00%-40M
Net common stock issuance
-127.77%-1.38B
-119.48%-338M
-91.32%-463M
-384.21%-368M
-57.14%-209M
43.14%-605M
50.80%-154M
23.17%-242M
64.49%-76M
40.09%-133M
Cash dividends paid
-1.67%-610M
-0.67%-151M
-1.34%-151M
-2.00%-153M
-2.65%-155M
-1.52%-600M
-2.74%-150M
-1.36%-149M
-1.35%-150M
-0.67%-151M
Proceeds from stock option exercised by employees
-7.94%58M
-14.29%12M
-7.14%13M
-6.67%14M
-5.00%19M
-11.27%63M
0.00%14M
-12.50%14M
-16.67%15M
-13.04%20M
Cash from discontinued financing activities
Financing cash flow
-148.31%-2.27B
19.10%-487M
-388.68%-612M
-133.48%-516M
-116.12%-657M
43.13%-915M
-32.31%-602M
147.11%212M
37.57%-221M
13.14%-304M
Net cash flow
Beginning cash position
-17.89%2.23B
16.29%2.34B
-18.10%1.8B
-11.25%1.98B
-17.89%2.23B
18.44%2.72B
-8.67%2.01B
6.72%2.19B
-9.24%2.23B
18.44%2.72B
Current changes in cash
187.19%381M
23.85%296M
387.43%549M
-426.32%-200M
40.94%-264M
-212.05%-437M
-46.89%239M
-206.70%-191M
90.57%-38M
-372.56%-447M
Effect of exchange rate changes
144.90%22M
85.71%-3M
-136.36%-4M
--16M
133.33%13M
-248.48%-49M
-133.33%-21M
136.67%11M
--0
---39M
End cash Position
18.06%2.63B
18.06%2.63B
16.29%2.34B
-18.10%1.8B
-11.25%1.98B
-17.89%2.23B
-17.89%2.23B
-8.67%2.01B
6.72%2.19B
-9.24%2.23B
Free cash flow
42.04%2.6B
-6.69%781M
46.65%1.16B
80.87%331M
1,918.75%323M
-9.24%1.83B
27.01%837M
4.77%791M
671.88%183M
-97.46%16M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 35.73%2.88B-6.74%858M44.86%1.23B51.91%398M321.05%400M-8.84%2.12B24.83%920M2.29%847M627.78%262M-86.97%95M
Net income from continuing operations -0.45%2.23B18.68%648M-52.92%274M13.96%645M21.43%663M5.36%2.24B-2.15%546M10.86%582M22.25%566M-5.86%546M
Operating gains losses ---62M--0--0--0---62M--------------------
Depreciation and amortization 1.48%550M-2.10%140M1.50%135M4.51%139M2.26%136M-2.34%542M5.15%143M-8.90%133M-5.67%133M0.76%133M
Deferred tax 192.11%327M42.48%-88M627.27%406M54.55%-45M307.69%54M-4.72%-355M-194.23%-153M55.75%-77M-2.06%-99M-62.50%-26M
Other non cash items -115.63%-5M-122.22%-2M250.00%12M-800.00%-9M-118.75%-6M3,100.00%32M116.07%9M-128.57%-8M-150.00%-1M18.52%32M
Change In working capital 33.73%-338M-65.27%116M104.05%353M1.30%-380M32.44%-427M-169.84%-510M209.26%334M-32.42%173M25.24%-385M-1,563.16%-632M
-Change in receivables -646.94%-366M-137.61%-44M95.56%-2M10.63%-143M-553.85%-177M-13.95%-49M503.45%117M29.69%-45M-310.26%-160M-56.18%39M
-Change in payables and accrued expense 91.30%-2M450.00%33M-220.00%-6M-392.31%-38M119.15%9M0.00%-23M-50.00%6M0.00%5M192.86%13M-80.77%-47M
-Change in other current assets 69.43%-118M-194.44%-119M138.85%61M-125.00%-18M87.90%-42M-413.82%-386M763.16%126M-165.97%-157M89.87%-8M-1,941.18%-347M
-Change in other current liabilities 196.88%93M946.67%127M-14.08%354M39.16%-101M12.23%-287M60.33%-96M-127.27%-15M174.67%412M43.15%-166M-110.97%-327M
-Change in other working capital 25.00%55M19.00%119M-28.57%-54M-25.00%-80M40.00%70M1,200.00%44M12.36%100M42.47%-42M29.67%-64M-29.58%50M
Cash from discontinued investing activities
Operating cash flow 35.73%2.88B-6.74%858M44.86%1.23B51.91%398M321.05%400M-8.84%2.12B24.83%920M2.29%847M627.78%262M-86.97%95M
Investing cash flow
Cash flow from continuing investing activities 86.03%-230M5.06%-75M94.72%-66M-3.80%-82M97.06%-7M-397.28%-1.65B-147.02%-79M-528.14%-1.25B7.06%-79M-10.70%-238M
Net PPE purchase and sale 26.60%-218M7.23%-77M-19.64%-67M15.19%-67M91.14%-7M6.31%-297M-6.41%-83M23.29%-56M-16.18%-79M19.39%-79M
Net business purchase and sale --0--0--0--0--0-294.87%-1.62B--0---1.19B--0-2.93%-421M
Net investment purchase and sale -104.51%-12M-50.00%2M--1M---15M--0-32.66%266M-98.37%4M--0--0-10.27%262M
Cash from discontinued investing activities
Investing cash flow 86.03%-230M5.06%-75M94.72%-66M-3.80%-82M97.06%-7M-397.28%-1.65B-147.02%-79M-528.14%-1.25B7.06%-79M-10.70%-238M
Financing cash flow
Cash flow from continuing financing activities -148.31%-2.27B19.10%-487M-388.68%-612M-133.48%-516M-116.12%-657M43.13%-915M-32.31%-602M147.11%212M37.57%-221M13.14%-304M
Net issuance payments of debt -250.66%-342M96.79%-10M-101.87%-11M10.00%-9M-680.00%-312M1,008.00%227M-3,020.00%-312M14,825.00%589M0.00%-10M-3,900.00%-40M
Net common stock issuance -127.77%-1.38B-119.48%-338M-91.32%-463M-384.21%-368M-57.14%-209M43.14%-605M50.80%-154M23.17%-242M64.49%-76M40.09%-133M
Cash dividends paid -1.67%-610M-0.67%-151M-1.34%-151M-2.00%-153M-2.65%-155M-1.52%-600M-2.74%-150M-1.36%-149M-1.35%-150M-0.67%-151M
Proceeds from stock option exercised by employees -7.94%58M-14.29%12M-7.14%13M-6.67%14M-5.00%19M-11.27%63M0.00%14M-12.50%14M-16.67%15M-13.04%20M
Cash from discontinued financing activities
Financing cash flow -148.31%-2.27B19.10%-487M-388.68%-612M-133.48%-516M-116.12%-657M43.13%-915M-32.31%-602M147.11%212M37.57%-221M13.14%-304M
Net cash flow
Beginning cash position -17.89%2.23B16.29%2.34B-18.10%1.8B-11.25%1.98B-17.89%2.23B18.44%2.72B-8.67%2.01B6.72%2.19B-9.24%2.23B18.44%2.72B
Current changes in cash 187.19%381M23.85%296M387.43%549M-426.32%-200M40.94%-264M-212.05%-437M-46.89%239M-206.70%-191M90.57%-38M-372.56%-447M
Effect of exchange rate changes 144.90%22M85.71%-3M-136.36%-4M--16M133.33%13M-248.48%-49M-133.33%-21M136.67%11M--0---39M
End cash Position 18.06%2.63B18.06%2.63B16.29%2.34B-18.10%1.8B-11.25%1.98B-17.89%2.23B-17.89%2.23B-8.67%2.01B6.72%2.19B-9.24%2.23B
Free cash flow 42.04%2.6B-6.69%781M46.65%1.16B80.87%331M1,918.75%323M-9.24%1.83B27.01%837M4.77%791M671.88%183M-97.46%16M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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