The Boeing

BA · NYSE · USD

$193.56Change from previous close: +0.67%Absolute change: +$1.28

Close · October 2, 2026

At a glance

Revenue growth
+34.50%
2025 vs 2024
Net margin
2.5%
2024: -17.8%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow1,065-12,0805,9603,512-3,416-18,410-2,44615,32213,34610,496
Depreciation and amortization1,9531,8361,8611,9792,1442,2462,2712,1142,0471,889
Capital expenditure-2,942-2,230-1,527-1,222-980-1,303-1,834-1,722-1,739-2,613
Investing cash flow499-11,973-2,4374,3709,324-18,366-1,530-4,621-2,058-3,378
Financing cash flow-3,76325,209-5,487-1,266-5,60034,9555,739-11,722-11,350-9,587
Dividends paid-331————-1,158-4,630-3,946-3,417-2,756
Share repurchases-34.0-83.0-408-40.0-66.0-173-2,899-9,257-9,368-7,094
Debt issued16510,16175.034.09,79547,24825,3898,5482,0771,325
Debt repaid-3,621-8,673-5,216-1,310-15,371-10,998-12,171-7,183-953-1,359
Effect of exchange rates40.0-47.030.0-73.0-39.085.0-5.0-53.080.0-33.0
Net change in cash-2,1591,109-1,9346,543269-1,7361,758-1,07418.0-2,502
Free cash flow-1,877-14,3104,4332,290-4,396—————
Levered free cash flow1,762-9,6936,2424,583-585-13,114-2,7618,1628,0997,541