(USD in millions),Oct-2022,Oct-2021,Oct-2020,Oct-2019,Oct-2018
,,,,,
Net Income/Starting Line,1254,1210,719,1071,316
Depreciation/Depletion,317,321,308,238,210
Amortization,0,0,0,0,0
Deferred Taxes,8,14,29,-255,-16
Non-Cash Items,211,42,190,106,106
Cash Taxes Paid,279,211,361,159,102
Cash Interest Paid,85,76,71,80,80
Cash Payments,0,0,0,0,0
Cash Receipts,0,0,0,0,0
Changes in Working Capital,-478,-102,-325,-139,471
Cash from Operating Activities,1312,1485,921,1021,1087
,,,,,
Capital Expenditures,-291,-189,-119,-156,-177
Other Investing Cash Flow Items,-47,-560,-28,-1434,-527
Cash from Investing Activities,-338,-749,-147,-1590,-704
,,,,,
Financing Cash Flow Items,-67,-83,-41,-24,-30
Total Cash Dividends Paid,-250,-236,-222,-206,-191
Issuance (Retirement) of Stock,-1081,-733,-409,-669,-366
Issuance (Retirement) of Debt,26,356,-45,600,-210
Cash from Financing Activities,-1372,-696,-717,-299,-797
,,,,,
Foreign Exchange Effects,-36,3,2,2,-17
Net Change in Cash,-434,43,59,-866,-431