Service Corporation International β Cash Flow Charts
68 quarters of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ-19.4% -$51M
$213M
Free Cash Flowβ-47.9% -$80M
$87M
Investing Cash Flowβ+6.3% +$6M
$-91M
Financing Cash Flowβ-53.5% -$72M
$-206M
Capexβ+29.9% +$29M
$126M
Acquisitionsβ+87.1% +$17M
$36M
Stock Buybacksβ+4.8% +$3M
$59M
Dividends Paidβ+9.5% +$4M
$48M
Stock-Based Compβ-21.7% -$1M
$4M
Debt Issuedβ+271.4% +$312M
$427M
Debt Repaidβ-42.6% -$3M
$4M
D&Aβ+3.5% +$2M
$56M