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CONSOLIDATED STATEMENT OF CASH FLOWS (Unaudited) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2024
Mar. 31, 2023
Operating Activities    
Net Income (Loss) $ 5,551 $ 6,605
Adjustments    
Depreciation, depletion and amortization 4,091 3,526
Dry hole expense 28 105
Distributions more (less) than income from equity affiliates (705) (901)
Net before-tax losses (gains) on asset retirements and sales (30) 34
Net foreign currency effects (198) 23
Deferred income tax provision 688 790
Net decrease (increase) in operating working capital (1,144) (1,815)
Decrease (increase) in long-term receivables 27 36
Net decrease (increase) in other deferred charges (300) (185)
Cash contributions to employee pension plans (256) (345)
Other (924) (668)
Net Cash Provided by Operating Activities 6,828 7,205 Close
Investing Activities    
Capital expenditures (4,089) (3,038)
Proceeds and deposits related to asset sales and returns of investment 104 219
Net sales (purchases) of marketable securities 45 95
Net repayment (borrowing) of loans by equity affiliates (16) (83)
Net Cash Used for Investing Activities (3,956) (2,807) Close
Financing Activities    
Net borrowings (repayments) of short-term obligations 1,836 (87)
Proceeds from issuances of long-term debt 203 0
Repayments of long-term debt and other financing obligations (1,012) (13)
Cash dividends - common stock (3,003) (2,857)
Net contributions from (distributions to) noncontrolling interests 4 (9)
Net sales (purchases) of treasury shares (2,891) (3,607)
Net Cash Provided by (Used for) Financing Activities (4,863) (6,573) Close
Effect of Exchange Rate Changes on Cash, Cash Equivalents and Restricted Cash (72) (47) Close
Net Change in Cash, Cash Equivalents and Restricted Cash (2,063) (2,222) Close
Cash, Cash Equivalents and Restricted Cash at January 1 9,275 19,121
Cash, Cash Equivalents and Restricted Cash at March 31 $ 7,212 $ 16,899