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What is WM's Net Cash Used Provided by Financing Activities?

  Waste Management Inc ( WM ) |
1995 - 2021 (27 years)

Net Cash Used Provided by Financing Activities is 
-$604.1M (1Y -19.1% )

WM Stock Price & Net Cash Used Provided by Financing Activities

Net Cash Used Provided by Financing Activities for WM competitors.
SRCL CWST ECOL CLH RSG PESI WCN
Note: Stonk = Stock. Both words are used interchangeably. 🙂

Historical (All-Time) Stats for Net Cash Used Provided by Financing Activities

chevron_right 2021 $1.9B +19.1x
( +11.8% / year avg)
chevron_left 1995 $92.1M
vertical_align_top Peak $3.0B +1.68x *
vertical_align_bottom Bottom -$4.4B
arrow_drop_up # Up Years 14 14 of 27
years up.
arrow_drop_down # Down Years 13
Up Years = Positive (0%+) YoY change
Down Years = Zero or Negative (0% or less) YoY change

Key Points (Stonk Price Comparison)

  • WM's stock price has rallied +4,321% from $2.65 in 1995 , or +2.21x faster than it's net cash used provided by financing activities over the same period.
  • If WM grows it's stock at the same rate as it's net cash used provided by financing activities (+11.8%/year) , it's stock price will grow +305% and hit $357.16 over the next 10 years.
  • WM's stock price has gone up 13 of the 14 years (+92%) it's net cash used provided by financing activities were also up.
* A modified method (see: here) is used to calculate changes that involve negative numbers.
  • WM Historical Net Cash Used Provided by Financing Activities Table
    in $ million
    * A modified method (see: here) is used to calculate changes that involve negative numbers.
    Year Net Cash Used Provided by Financing Activities YoY % Change* Stock Price YoY % Change (Stock Price)
    4/1/2021 $1,855 -142.5% $117.07 3.2%
    4/1/2020 $-4,360 -374.7% $113.46 -2.7%
    4/1/2019 $1,587 -183.9% $116.62 33.9%
    4/1/2018 $-1,892 6.7% $87.08 20.5%
    4/1/2017 $-1,773 111.6% $72.28 23.5%
    4/1/2016 $-838 -71.6% $58.52 31.5%
    4/1/2015 $-2,948 120.8% $44.52 9.9%
    4/1/2014 $-1,335 73.4% $40.51 20.2%
    4/1/2013 $-770 136.2% $33.69 21.7%
    4/1/2012 $-326 -72.9% $27.68 9.3%
    4/1/2011 $-1,203 42.8% $25.34 3.5%
    4/1/2010 $-843 -13.0% $24.47 14.9%
    4/1/2009 $-969 -30.6% $21.31 -12.2%
    4/1/2008 $-1,397 -33.7% $24.27 -3.8%
    4/1/2007 $-2,106 93.0% $25.22 12.7%
    4/1/2006 $-1,091 -36.3% $22.37 28.2%
    4/1/2005 $-1,712 27.8% $17.45 1.4%
    4/1/2004 $-1,340 6.6% $17.2 6.5%
    4/1/2003 $-1,257 122.2% $16.14 12.5%
    4/1/2002 $-566 -23.3% $14.35 -23.4%
    4/1/2001 $-738 -77.5% $18.75 63.3%
    4/1/2000 $-3,279 -755.6% $11.48 -25.6%
    4/1/1999 $500 -83.1% $15.44 -53.7%
    4/1/1998 $2,955 84.3% $33.36 31.2%
    4/1/1997 $1,604 313.3% $25.42 52.7%
    4/1/1996 $388 321.4% $16.64 41.0%
    4/1/1995 $92 - $11.8 -

  • About
    Industry: Waste Management
    Sector: Industrials
    Country: US
    IPO Date: 7/20/1993
    Stonk Exchange: NYSE
    • Waste Management, Inc
    • engages in the provision of waste management environmental services.
    • The company is headquartered in Houston, Texas and currently employs 43,700 full-time employees.
    • The Company, through its subsidiaries, is a provider of waste management environmental services.
    • The firm's segments include Solid Waste and Other.
    • The firm's Solid Waste segment includes its solid waste business.
    • The Other segment includes its Strategic Business Solutions (WMSBS) organization; its landfill gas-to-energy operations and third-party subcontract and administration services managed by its Energy and Environmental Services and WM Renewable Energy organizations; its recycling brokerage services, and its service offerings and solutions, such as portable self-storage and long distance moving services, fluorescent lamp recycling and interests it holds in oil and gas producing properties.
    • As of December 31, 2016, the Company owned or operated 243 solid waste landfills and five secure hazardous waste landfills.
    • Its recycling brokerage services involve managing the marketing of recyclable materials for third parties.

  • Cash flow from financing activities (CFF) is a section of a company’s cash flow statement, which shows the net flows of cash that are used to fund the company. Financing activities include transactions involving debt, equity, and dividends.

    Cash flow from financing activities provides investors with insight into a company’s financial strength and how well a company's capital structure is managed.

    For more detailed definitions, please see Investopedia.