AT&T Inc. | | | | | |
Financial Data | | | | | |
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Consolidated Statements of Cash Flows |
Dollars in millions | |
Unaudited | Nine-Month Period |
| | | 2019 | | | 2018 |
Operating Activities | | | | | |
Net income | $ | 12,271 | | $ | 14,823 |
Adjustments to reconcile net income to net cash provided by operating activities: | | | | | |
Depreciation and amortization | | 21,256 | | | 20,538 |
Amortization of film and television costs | | 7,059 | | | 1,608 |
Undistributed earnings from investments in equity affiliates | | 81 | | | 312 |
Provision for uncollectible accounts | | 1,855 | | | 1,240 |
Deferred income tax expense (benefit) | | 1,039 | | | 4,337 |
Net (gain) loss from investments, net of impairments | | (1,014) | | | (501) |
Pension and postiretirement benefit expense (credit) | | (1,297) | | | (762) |
Actuarial (gain) loss on pension and postretirement benefits | | 4,048 | | | (2,726) |
Changes in operating assets and liabilities: | | | | | |
Receivables | | 2,503 | | | (1,268) |
Other current assets, inventories and theatrical film and television production costs | | (9,337) | | | (2,729) |
Accounts payable and other accrued liabilities | | (936) | | | (1,385) |
Equipment installment receivables and related sales | | 848 | | | 220 |
Deferred customer contract acquisition and fulfillment costs | | (796) | | | (2,657) |
Postretirement claims and contributions | | (635) | | | (630) |
Other - net | | (220) | | | 1,102 |
Total adjustments | | 24,454 | | | 16,699 |
Net Cash Provided by Operating Activities | | 36,725 | | | 31,522 |
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Investing Activities | | | | | |
Capital expenditures: | | | | | |
Purchase of property and equipment | | (15,683) | | | (16,695) |
Interest during construction | | (160) | | | (404) |
Acquisitions, net of cash acquired | | (1,124) | | | (43,116) |
Dispositions | | 3,775 | | | 983 |
(Purchases), sales and settlement of securities and investments, net | | 523 | | | (234) |
Advances to and investments in equity affiliates, net | | (333) | | | (1,021) |
Cash collections of deferred purchase price | | - | | | 500 |
Net Cash Used in Investing Activities | | (13,002) | | | (59,987) |
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Financing Activities | | | | | |
Net change in short-term borrowings with original maturities of three months or less | | (22) | | | (1,071) |
Issuance of other short-term borrowings | | 4,012 | | | 4,852 |
Repayment of other short-term borrowings | | (4,702) | | | (1,075) |
Issuance of long-term debt | | 15,034 | | | 38,325 |
Repayment of long-term debt | | (24,368) | | | (43,579) |
Payment of vendor financing | | (2,601) | | | (347) |
Purchase of treasury stock | | (409) | | | (577) |
Issuance of treasury stock | | 576 | | | 359 |
Issuance of preferred interest in subsidiary | | | 1,488 | | | - |
Dividends paid | | (11,162) | | | (9,775) |
Other | | (187) | | | (791) |
Net Cash Used in Financing Activities | | (22,341) | | | (13,679) |
Net increase (decrease) in cash and cash equivalents and restricted cash | | 1,382 | | | (42,144) |
Cash and cash equivalents and restricted cash beginning of year | | 5,400 | | | 50,932 |
Cash and Cash Equivalents and Restricted Cash End of Period | $ | 6,782 | | $ | 8,788 |
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