Ticker League

SLB (SLB) Cash Flow Waterfall

Trace SLB's cash from operations down to free cash flow, then see where FCF goes — capex, buybacks, dividends, and debt repayment.

Operating CF

$6.32B

Capex

−$1.64B

Free Cash Flow

$4.68B

FCF Margin

+74.1%

Cash flow waterfall for SLB (SLB) — TTM through Q1 2026

Free cash flow: $4.68B

Cash flow breakdown for SLB (SLB) — TTM through Q1 2026

  • Operating Cash Flow$6.32B
  • Capital Expenditure−$1.64B
  • Free Cash Flow$4.68B
  • Acquisitions−$207.00M
  • Other Investing$899.00M
  • Share Buybacks−$416.00M
  • Dividends Paid−$1.64B
  • Net Debt Change−$3.35B
  • Other Financing & FX−$81.00M
  • Net Cash Decrease−$117.00M
Want to see what drove the FCF change?Free Cash Flow Bridge

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