Labcorp Holdings logo

Labcorp Holdings Cash Flow Statement

Operating, investing, and financing cash movements

Labcorp Holdings generated $1.8B in operating cash flow over the trailing twelve months. After $429.5M in capital expenditures, free cash flow was $1.4B. Free cash flow increased 0.2% year-over-year. Based on the Q1 2026 filing.

Latest FilingQ1 2026
Report Date2026-05-04
Market Cap$21.0B
P/E Ratio22.26
ROE11.05%

Financing

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Proceeds from Lines of Credit$0.0$64.8M$0.0
Repayments of Lines of Credit$0.0$64.8M$0.0
Other Borrowings, Net$0.0$750.0M
Proceeds from Long-term Lines of Credit$0.0$64.8M$0.0
Repayments of debt$400.0M$1.0B$0.0
Dividends paid$60.1M$61.6M$59.9M$59.9M$59.3M$61.2M
Cash from (used for) financing activities – discontinued operations$0.0$0.0$0.0$0.0$0.0
Cash Provided by (Used in) Financing Activity, Continuing Operation$195.0M-$364.3M-$364.3M-$364.3M-$364.3M
Net proceeds from issuance of stock to employees$3.2M$25.7M$28.6M$32.9M
Proceeds from trade receivable securitization facility, net$0.0$225.0M$0.0
Other, net-$7.0M-$3.3M-$4.0M-$1.6M-$4.8M-$3.4M
Repayments of Senior Debt$400.0M$1.0B$0.0
Net Cash from Financing Activities, Continuing Operations$195.0M-$364.3M-$364.3M-$364.3M-$364.3M
Proceeds from Other Debt$0.0$750.0M
Payment of Deferred Purchase Consideration-$7.0M-$3.3M-$4.0M-$1.6M-$4.8M-$3.4M
Proceeds from revolving credit facility$0.0$64.8M$0.0
Noncontrolling interest transactions and other-$7.0M-$3.3M-$4.0M-$1.6M-$4.8M-$3.4M
Repayments of Lines of Credit$0.0$64.8M$0.0
Net cash from financing activities-$839.7M-$267.4M-$59.5M-$290.4M$580.5M
Other financing activities-$7.0M-$3.3M-$4.0M-$1.6M-$4.8M-$3.4M
Noncontrolling Interests Activity and Other-$7.0M-$3.3M-$4.0M-$1.6M-$4.8M-$3.4M
Repayments of Acquisition Credit Facilities$0.0$64.8M$0.0
Repurchases of common stock$75.1M$0.0$200.0M$25.0M$225.0M$98.0M
Taxes paid for net share settlement$7.7M$25.5M$3.5M$1.6M$1.3M$39.8M
Repayments of lines of credit$0.0$64.8M$0.0