Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Cash Flows

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Consolidated Statements of Cash Flows - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Cash flows from operating activities:      
Net earnings (loss) $ 38 $ (862) $ (116)
Adjustments to reconcile net earnings (loss) to net cash provided by operating activities:      
Depreciation and amortization 150 168 169
Stock-based compensation 125 112 131
Realized and unrealized (gains) losses on financial instruments, net (251) 19 (36)
Impairment of goodwill and intangible assets (note 6)   550 288
Deferred income tax expense (benefit) (49) (73) (79)
Other charges (credits), net 28 21 (18)
Changes in operating assets and liabilities      
Current and other assets (30) 74 52
Payables and other liabilities 86 (224)  
Net cash provided (used) by operating activities 97 (215) 391
Cash flows from investing activities:      
Capital expended for property and equipment, including capitalized website development (54) (55) (83)
Acquisitions, net of cash acquired (note 3)   (4) (108)
Purchases of short term investments and other marketable securities     (133)
Sales and maturities of short term investments and other marketable securities     150
Other investing activities, net   3 (2)
Net cash provided (used) by investing activities (54) (56) (176)
Cash flows from financing activities:      
Borrowings of debt 675 1,240 235
Repayments of debt   (1,052) (359)
Repurchase of Series A Preferred Stock (281)    
Cash dividend paid by Tripadvisor to noncontrolling interests (note 11)     (380)
Shares repurchased by subsidiary (note 11)   (115) (60)
Payment of withholding taxes on net share settlements of equity awards (44) (21) (29)
Derivative proceeds from counterparties     71
Issuance of Series A Preferred Stock (note 10)   325  
Subsidiary purchase of capped calls (35)    
Other financing activities, net (9) (32) (20)
Net cash provided (used) by financing activities 306 345 (542)
Effect of foreign currency exchange rates on cash, cash equivalents and restricted cash (12) 8 (4)
Net increase (decrease) in cash, cash equivalents and restricted cash 337 82 (331)
Cash, cash equivalents and restricted cash at beginning of period 423 341 672
Cash, cash equivalents and restricted cash at end of period $ 760 $ 423 $ 341