Service Corporation International β Cash Flow Charts
19 years of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ+2.4% +$22M
$943M
Free Cash Flowβ-10.2% -$63M
$554M
Investing Cash Flowβ-32.1% -$133M
$-548M
Financing Cash Flowβ+19.5% +$91M
$-375M
Capexβ+28.0% +$85M
$389M
Acquisitionsβ-16.6% -$20M
$101M
Stock Buybacksβ-16.8% -$93M
$461M
Dividends Paidβ+24.9% +$37M
$184M
Stock-Based Compβ+24.5% +$3M
$18M
Debt Issuedβ+14.4% +$141M
$1.12B
Debt Repaidβ-41.3% -$15M
$21M
D&Aβ+37.9% +$60M
$220M