NORTHERN TRUST CORP

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Net Income (Loss) Attributable to Parent $1.0b $1.2b $1.6b $1.5b $1.2b $1.5b $1.3b $1.1b $2.0b $1.7b
Net Income (Loss) Available to Common Stockholders, Basic $1.0b $1.1b $1.5b $1.4b $1.2b $1.5b $1.3b $1.1b $2.0b $1.7b
Depreciation, Amortization and Accretion, Net $500.3m $515.6m $553.6m $634.6m $716.8m $779.1m
Amortization of Intangible Assets $8.8m $11.4m $17.4m $16.6m $16.9m $14.8m $9.3m
Capitalized Computer Software, Amortization $334.9m $339.1m
Depreciation, Nonproduction $89.2m $101.2m $108.6m $103.2m $116.5m $110.8m $110.1m $115.9m $110.0m $100.7m
Deferred Income Tax Expense (Benefit) ($175.8m) ($76.1m) $10.5m $34.3m $16.4m $2.0m ($142.7m) ($48.2m) $20.7m $194.5m
Share-based Payment Arrangement, Expense $86.8m $128.0m $130.9m $107.9m $91.4m $95.5m $125.2m $118.2m $119.4m $126.5m
Financing Receivable Excluding Accrued Interest Credit Loss Expense Reversal $1.7m $38.2m $600k ($3.4m)
Income Tax Expense (Benefit) $484.6m $434.9m $401.4m $451.9m $418.3m $464.8m $430.3m $357.5m $628.4m $602.6m
Additional Financial Items
Proceeds from Stock Options Exercised $233.8m $108.0m $32.6m $44.0m $19.5m $53.8m $3.9m $2.3m $9.4m $6.4m
Parent Company $333.0m $356.8m $405.4m $529.7m $584.6m $583.3m $750.2m $621.5m $602.3m $591.6m
Debt Securities, Available-for-sale, Realized Gain (Loss) ($169.5m) ($189.3m) $0
Equity Securities, FV-NI, Realized Gain (Loss) $68.1m
Foreign Currency Transaction Gain (Loss), before Tax $236.6m $209.9m $307.2m $250.9m $290.4m $292.6m $288.6m $203.9m $231.2m $240.8m
Gain (Loss) on Investments ($1.1m) ($169.5m) ($189.3m) $0
Goodwill $519.4m $605.6m $669.3m $696.8m $707.2m $706.2m $691.3m $702.3m $694.9m $712.9m
Financing Receivable, Credit Loss, Expense (Reversal) $91.6m ($58.6m)
Realized Investment Gains (Losses) ($400k) ($300k) ($214.0m) ($169.5m) ($189.3m) $0
Net Cash Provided by (Used in) Operating Activities $1.5b $1.7b $1.8b $2.6b $1.9b $1.4b $2.4b $2.6b ($486.0m) $5.5b
Cash flows from investing activities:
Payments to Acquire Property, Plant, and Equipment $111.3m $91.6m $97.6m $158.0m $135.8m $95.5m $128.6m $116.5m $101.5m $74.0m
Payments for (Proceeds from) Other Investing Activities ($226.5m) ($25.8m) $873.6m ($225.1m) $322.7m $163.7m $319.3m $1.5b ($633.2m) $986.3m
Net Cash Provided by (Used in) Investing Activities ($10.2b) ($14.0b) $4.3b ($3.4b) ($29.9b) ($18.6b) $25.9b $4.8b ($2.6b) ($20.2b)
Cash flows from financing activities:
Repayments of Long-term Debt $6.7m $208.7m $314.3m
Payments for Repurchase of Common Stock $411.1m $523.1m $924.3m $1.1b $299.8m $267.6m $35.4m $347.5m $937.8m $1.3b
Payments of Ordinary Dividends, Common Stock $333.0m $356.8m $405.4m $529.7m $584.6m $583.3m $750.2m $621.5m $602.3m $591.6m
Other Interest and Dividend Income $9.8m $60.3m $106.8m $84.5m
Proceeds from (Payments for) Other Financing Activities ($7.5m) $100k $1.1m ($1.0m) $1.2m $100k $0 ($2.7m) ($6.4m) ($11.1m)
Net Cash Provided by (Used in) Financing Activities $7.5b $11.3b ($5.8b) $615.9m $27.9b $16.1b ($26.4b) ($7.2b) $3.4b $15.2b
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $74.7m $84.6m ($159.6m) ($287.4m) ($89.8m) ($504.3m) $656.4m
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect ($122.4m) ($69.7m) ($1.3b) $1.6b $137.3m ($114.3m) $1.2b
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $4.5b $4.4b $3.1b $4.7b $4.8b $4.7b $5.9b
Supplemental disclosure of cash flow information:
Interest Paid, Excluding Capitalized Interest, Operating Activities $670.2m $845.5m $226.8m $30.8m $822.4m $5.3b $7.6b $6.2b
Income Taxes Paid, Net $426.8m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.