PLTR

Palantir Technologies Inc.

PLTR | NASDAQ Global Select

80.55USD6.34 %

Examine Palantir Technologies Inc.'s cash flow movements, providing a full picture of incoming and outgoing cash flows.

Annual
Breakdown2023-12-312022-12-312021-12-312020-12-312019-12-312018-12-31
Operating Cash Flow
712.18 M
%218.31
223.74 M
%-32.98
333.85 M
%-212.56
-296.61 M
%79.53
-165.22 M
%323.50
-39.01 M
Investing Cash Flow
-2.71 B
%5868.21
-45.43 M
%-88.58
-397.91 M
%2566.97
-14.92 M
%-32.07
-21.96 M
%223.76
-6.78 M
Financing Cash Flow
218.84 M
%154.48
86 M
%-71.97
306.75 M
%-70.40
1.04 B
%219.37
324.53 M
%603.15
46.15 M
Free Cash Flow
697.07 M
%279.44
183.71 M
%-42.81
321.22 M
%-204.01
-308.84 M
%73.21
-178.31 M
%242.80
-52.02 M
Beginning Cash Position
2.63 B
%11.00
2.37 B
%11.22
2.13 B
%51.80
1.4 B
%10.67
1.27 B
%-0.26
1.27 B
Cash at End of Period
850.11 M
%-67.64
2.63 B
%11.00
2.37 B
%11.22
2.13 B
%51.80
1.4 B
%10.67
1.27 B
Net Change In Cash
-1.78 B
%-782.44
260.42 M
%9.07
238.77 M
%-67.12
726.18 M
%437.41
135.13 M
%-4139.67
-3.35 M