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LyondellBasell Industries (LYB)

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  • 75.060
  • +1.790+2.44%
Close May 15 16:00 ET
  • 76.050
  • +0.990+1.32%
Post 19:57 ET
24.23BMarket Cap-30.02P/E (TTM)

LyondellBasell Industries (LYB) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
53.54%-269M
-40.77%2.26B
-21.31%1.51B
46.72%983M
-73.96%351M
-407.89%-579M
-22.72%3.82B
27.33%1.92B
-59.78%670M
4.50%1.35B
Net income from continuing operations
-29.38%125M
-153.99%-738M
76.78%-140M
-255.32%-890M
-87.55%115M
-62.58%177M
-35.55%1.37B
-425.95%-603M
-23.29%573M
29.23%924M
Operating gains losses
600.00%5M
8.74%-94M
-180.65%-100M
-30.00%14M
97.45%-7M
-103.70%-1M
-615.00%-103M
300.00%124M
433.33%20M
-2,383.33%-274M
Depreciation and amortization
5.88%342M
-8.67%1.39B
-1.03%385M
-8.14%350M
-14.21%332M
-11.51%323M
-0.78%1.52B
2.37%389M
3.81%381M
-1.02%387M
Deferred tax
180.00%20M
64.30%-156M
110.34%37M
-579.17%-163M
89.13%-5M
-177.78%-25M
-1,116.28%-437M
-7,060.00%-358M
-182.76%-24M
-453.85%-46M
Other non cash items
40.59%-221M
-257.55%-438M
-109.64%-27M
68.12%232M
-215.32%-271M
0.80%-372M
57.06%278M
325.81%280M
-47.73%138M
52.60%235M
Change In working capital
15.92%-602M
2,780.00%864M
14.55%1.25B
142.45%211M
85.71%117M
-13.83%-716M
-88.85%30M
52.65%1.09B
-414.56%-497M
234.04%63M
-Change in receivables
-81.14%-797M
440.94%687M
2.96%556M
10.99%212M
217.70%359M
38.63%-440M
15.45%127M
37.76%540M
312.22%191M
29.89%113M
-Change in inventory
51.52%-96M
3,680.00%945M
92.36%881M
252.04%149M
149.78%113M
-83.33%-198M
38.89%25M
114.02%458M
-164.05%-98M
-656.67%-227M
-Change in payables and accrued expense
473.08%291M
-529.51%-768M
-294.74%-185M
74.58%-150M
-300.56%-355M
-139.80%-78M
-186.52%-122M
-13.64%95M
-721.05%-590M
270.19%177M
Cash from discontinued investing activities
Operating cash flow
53.54%-269M
-40.77%2.26B
-21.31%1.51B
46.72%983M
-73.96%351M
-407.89%-579M
-22.72%3.82B
27.33%1.92B
-59.78%670M
4.50%1.35B
Investing cash flow
Cash flow from continuing investing activities
35.12%-279M
4.16%-1.78B
26.33%-403M
9.11%-439M
-61.02%-504M
15.69%-430M
-4.28%-1.85B
9.74%-547M
-12.59%-483M
15.63%-313M
Capital expenditure reported
44.31%-269M
-2.12%-1.88B
10.71%-450M
-10.33%-406M
-11.36%-539M
0.00%-483M
-20.12%-1.84B
-4.13%-504M
6.60%-368M
-60.80%-484M
Net business purchase and sale
----
-107.25%-10M
86.96%-3M
103.70%1M
----
----
235.29%138M
76.29%-23M
-800.00%-27M
----
Net investment purchase and sale
--0
-45.65%25M
--0
-238.89%-25M
---9M
--59M
-44.58%46M
33.33%28M
--18M
--0
Net other investing changes
-66.67%-10M
143.94%87M
204.17%50M
91.51%-9M
405.88%52M
77.78%-6M
12.78%-198M
-4.35%-48M
-12.77%-106M
75.00%-17M
Cash from discontinued investing activities
Investing cash flow
35.12%-279M
4.16%-1.78B
26.33%-403M
9.11%-439M
-61.02%-504M
15.69%-430M
-4.28%-1.85B
9.74%-547M
-12.59%-483M
15.63%-313M
Financing cash flow
Cash flow from continuing financing activities
56.86%-236M
73.25%-507M
204.05%539M
7.44%-448M
89.40%-51M
-32.77%-547M
2.82%-1.9B
-27.90%-518M
42.65%-484M
-114.73%-481M
Net issuance payments of debt
----
4,781.25%1.5B
100,000.00%999M
--0
--499M
--0
74.40%-32M
---1M
--0
--0
Net common stock issuance
--0
-3.08%-201M
--0
--0
-21.33%-91M
---110M
7.58%-195M
---78M
-2.44%-42M
25.00%-75M
Cash dividends paid
48.27%-224M
-2.56%-1.76B
-1.37%-443M
-1.37%-443M
-1.60%-445M
-6.13%-433M
-6.83%-1.72B
-7.64%-437M
-7.37%-437M
-7.35%-438M
Net other financing activities
-200.00%-12M
-176.92%-40M
-750.00%-17M
0.00%-5M
-143.75%-14M
-114.81%-4M
1,400.00%52M
-300.00%-2M
-117.24%-5M
300.00%32M
Cash from discontinued financing activities
Financing cash flow
56.86%-236M
73.25%-507M
204.05%539M
7.44%-448M
89.40%-51M
-32.77%-547M
2.82%-1.9B
-27.90%-518M
42.65%-484M
-114.73%-481M
Net cash flow
Beginning cash position
1.80%3.45B
-0.50%3.39B
-31.65%1.8B
-40.50%1.7B
-19.78%1.87B
-0.50%3.39B
57.93%3.41B
-7.35%2.64B
14.84%2.86B
29.21%2.33B
Current changes in cash
49.61%-784M
-129.58%-21M
93.29%1.64B
132.32%96M
-136.82%-204M
-50.19%-1.56B
-94.16%71M
72.41%850M
-175.57%-297M
-20.29%554M
Effect of exchange rate changes
-168.42%-26M
193.18%82M
105.15%5M
-98.53%1M
280.95%38M
200.00%38M
-358.82%-88M
-242.65%-97M
258.14%68M
-320.00%-21M
End cash Position
41.12%2.64B
1.80%3.45B
1.80%3.45B
-31.65%1.8B
-40.50%1.7B
-19.78%1.87B
-0.50%3.39B
-0.50%3.39B
-7.35%2.64B
14.84%2.86B
Free cash flow
49.34%-538M
-80.61%384M
-25.09%1.06B
91.06%577M
-121.76%-188M
-77.89%-1.06B
-41.95%1.98B
38.33%1.41B
-76.26%302M
-12.64%864M
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
--
--
--
(Q1)Mar 31, 2026(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 53.54%-269M-40.77%2.26B-21.31%1.51B46.72%983M-73.96%351M-407.89%-579M-22.72%3.82B27.33%1.92B-59.78%670M4.50%1.35B
Net income from continuing operations -29.38%125M-153.99%-738M76.78%-140M-255.32%-890M-87.55%115M-62.58%177M-35.55%1.37B-425.95%-603M-23.29%573M29.23%924M
Operating gains losses 600.00%5M8.74%-94M-180.65%-100M-30.00%14M97.45%-7M-103.70%-1M-615.00%-103M300.00%124M433.33%20M-2,383.33%-274M
Depreciation and amortization 5.88%342M-8.67%1.39B-1.03%385M-8.14%350M-14.21%332M-11.51%323M-0.78%1.52B2.37%389M3.81%381M-1.02%387M
Deferred tax 180.00%20M64.30%-156M110.34%37M-579.17%-163M89.13%-5M-177.78%-25M-1,116.28%-437M-7,060.00%-358M-182.76%-24M-453.85%-46M
Other non cash items 40.59%-221M-257.55%-438M-109.64%-27M68.12%232M-215.32%-271M0.80%-372M57.06%278M325.81%280M-47.73%138M52.60%235M
Change In working capital 15.92%-602M2,780.00%864M14.55%1.25B142.45%211M85.71%117M-13.83%-716M-88.85%30M52.65%1.09B-414.56%-497M234.04%63M
-Change in receivables -81.14%-797M440.94%687M2.96%556M10.99%212M217.70%359M38.63%-440M15.45%127M37.76%540M312.22%191M29.89%113M
-Change in inventory 51.52%-96M3,680.00%945M92.36%881M252.04%149M149.78%113M-83.33%-198M38.89%25M114.02%458M-164.05%-98M-656.67%-227M
-Change in payables and accrued expense 473.08%291M-529.51%-768M-294.74%-185M74.58%-150M-300.56%-355M-139.80%-78M-186.52%-122M-13.64%95M-721.05%-590M270.19%177M
Cash from discontinued investing activities
Operating cash flow 53.54%-269M-40.77%2.26B-21.31%1.51B46.72%983M-73.96%351M-407.89%-579M-22.72%3.82B27.33%1.92B-59.78%670M4.50%1.35B
Investing cash flow
Cash flow from continuing investing activities 35.12%-279M4.16%-1.78B26.33%-403M9.11%-439M-61.02%-504M15.69%-430M-4.28%-1.85B9.74%-547M-12.59%-483M15.63%-313M
Capital expenditure reported 44.31%-269M-2.12%-1.88B10.71%-450M-10.33%-406M-11.36%-539M0.00%-483M-20.12%-1.84B-4.13%-504M6.60%-368M-60.80%-484M
Net business purchase and sale -----107.25%-10M86.96%-3M103.70%1M--------235.29%138M76.29%-23M-800.00%-27M----
Net investment purchase and sale --0-45.65%25M--0-238.89%-25M---9M--59M-44.58%46M33.33%28M--18M--0
Net other investing changes -66.67%-10M143.94%87M204.17%50M91.51%-9M405.88%52M77.78%-6M12.78%-198M-4.35%-48M-12.77%-106M75.00%-17M
Cash from discontinued investing activities
Investing cash flow 35.12%-279M4.16%-1.78B26.33%-403M9.11%-439M-61.02%-504M15.69%-430M-4.28%-1.85B9.74%-547M-12.59%-483M15.63%-313M
Financing cash flow
Cash flow from continuing financing activities 56.86%-236M73.25%-507M204.05%539M7.44%-448M89.40%-51M-32.77%-547M2.82%-1.9B-27.90%-518M42.65%-484M-114.73%-481M
Net issuance payments of debt ----4,781.25%1.5B100,000.00%999M--0--499M--074.40%-32M---1M--0--0
Net common stock issuance --0-3.08%-201M--0--0-21.33%-91M---110M7.58%-195M---78M-2.44%-42M25.00%-75M
Cash dividends paid 48.27%-224M-2.56%-1.76B-1.37%-443M-1.37%-443M-1.60%-445M-6.13%-433M-6.83%-1.72B-7.64%-437M-7.37%-437M-7.35%-438M
Net other financing activities -200.00%-12M-176.92%-40M-750.00%-17M0.00%-5M-143.75%-14M-114.81%-4M1,400.00%52M-300.00%-2M-117.24%-5M300.00%32M
Cash from discontinued financing activities
Financing cash flow 56.86%-236M73.25%-507M204.05%539M7.44%-448M89.40%-51M-32.77%-547M2.82%-1.9B-27.90%-518M42.65%-484M-114.73%-481M
Net cash flow
Beginning cash position 1.80%3.45B-0.50%3.39B-31.65%1.8B-40.50%1.7B-19.78%1.87B-0.50%3.39B57.93%3.41B-7.35%2.64B14.84%2.86B29.21%2.33B
Current changes in cash 49.61%-784M-129.58%-21M93.29%1.64B132.32%96M-136.82%-204M-50.19%-1.56B-94.16%71M72.41%850M-175.57%-297M-20.29%554M
Effect of exchange rate changes -168.42%-26M193.18%82M105.15%5M-98.53%1M280.95%38M200.00%38M-358.82%-88M-242.65%-97M258.14%68M-320.00%-21M
End cash Position 41.12%2.64B1.80%3.45B1.80%3.45B-31.65%1.8B-40.50%1.7B-19.78%1.87B-0.50%3.39B-0.50%3.39B-7.35%2.64B14.84%2.86B
Free cash flow 49.34%-538M-80.61%384M-25.09%1.06B91.06%577M-121.76%-188M-77.89%-1.06B-41.95%1.98B38.33%1.41B-76.26%302M-12.64%864M
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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