Cash Flow, Supplemental Note [Note Level]

Machine Readable Exemplars Available for Disclosure
Entity Name Accession number Network label Sub Category Likes Rating
3M CO 0001104659-14-009773 001060 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
AGILENT TECHNOLOGIES INC 0001090872-13-000029 2108100 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
AIRGAS INC 0000804212-13-000015 2126100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
ALCOA INC 0001193125-14-051516 1025 - Disclosure - Cash Flow Information TextBlock 1 3
ALLSTATE CORP 0001047469-14-001083 1050 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
AMERICAN TOWER CORP /MA/ 0001193125-14-068001 2125100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
ANADARKO PETROLEUM CORP 0000773910-14-000014 2120100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
AUTONATION, INC. 0000350698-14-000018 2117100 - Disclosure - Cash Flow Information TextBlock 1 3
Bank of New York Mellon Corp 0001445305-14-000745 2127100 - Disclosure - Supplemental information to the Consolidated Statement of Cash Flows TextBlock 1 3
BERKSHIRE HATHAWAY INC 0001193125-14-078778 1021 - Disclosure - Supplemental cash flow information TextBlock 1 3
CA, INC. 0000356028-13-000065 2116100 - Disclosure - Supplemental Statement of Cash Flows Information TextBlock 1 3
CABOT OIL & GAS CORP 0001047469-14-001538 1170 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
CAMERON INTERNATIONAL CORP 0001140361-14-009761 061700 - Disclosure - Summary of Non-cash Operating, Investing and Financing Activities TextBlock 1 3
CARNIVAL CORP 0001193125-14-025514 2134100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
CBS CORP 0001047469-14-000934 011700 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
CF Industries Holdings, Inc. 0001047469-14-001484 1270 - Disclosure - Other Financial Statement Data TextBlock 1 3
CHESAPEAKE UTILITIES CORP 0001445305-14-000904 2106100 - Disclosure - Supplemental Cash Flow Disclosures TextBlock 1 3
CHEVRON CORP 0000093410-14-000011 2103100 - Disclosure - Information Relating to the Consolidated Statement of Cash Flows TextBlock 1 3
CLIFFS NATURAL RESOURCES INC. 0000764065-14-000018 2121100 - Disclosure - CASH FLOW INFORMATION TextBlock 1 3
CONOCOPHILLIPS 0001193125-14-066358 102200 - Disclosure - Cash Flow Information TextBlock 1 3
CONSOL Energy Inc 0001070412-14-000005 2125100 - Disclosure - Supplemental Cash Flow TextBlock 1 3
CROWN CASTLE INTERNATIONAL CORP 0001051470-14-000008 2122100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
DAVITA HEALTHCARE PARTNERS INC. 0001193125-14-062565 1034 - Disclosure - Supplemental cash flow information TextBlock 1 3
DEAN FOODS CO 0001193125-14-065233 1027 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
DEERE & CO 0001104659-13-090354 1060 - Disclosure - CASH FLOW INFORMATION TextBlock 1 3
DENBURY RESOURCES INC 0000945764-14-000014 2116100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
DEVON ENERGY CORP/DE 0001193125-14-076267 11001 - Disclosure - Supplemental Information To Statements Of Cash Flows TextBlock 1 3
Dr Pepper Snapple Group, Inc. 0001418135-14-000008 2130100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
Duke Energy CORP 0001326160-14-000003 020101 - Disclosure - Organization and Basis of Presentation (Policy) TextBlock 1 3
EASTMAN CHEMICAL CO 0000915389-14-000013 2122100 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
EOG RESOURCES INC 0000821189-14-000007 060900 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
ESTEE LAUDER COMPANIES INC 0001104659-13-065820 1180 - Disclosure - STATEMENT OF CASH FLOWS TextBlock 1 3
EXXON MOBIL CORP 0000034088-14-000012 010401 - Disclosure - Cash Flow Information TextBlock 1 3
FEDERAL EXPRESS CORP 0001193125-13-290880 050700 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
FIFTH THIRD BANCORP 0001193125-14-063748 110100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
FIRST SOLAR, INC. 0001274494-14-000011 2124100 - Disclosure - Note 22. Statement of Cash Flows TextBlock 1 3
FLUOR CORP 0001047469-14-000988 1020 - Disclosure - Consolidated Statement of Cash Flows TextBlock 1 3
Fossil Group, Inc. 0001047469-14-001392 1170 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
GameStop Corp. 0001445305-14-001259 2144100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
GANNETT CO INC /DE/ 0000039899-14-000010 2110100 - Disclosure - Supplemental cash flows information TextBlock 1 3
GENERAL ELECTRIC CO 0000040554-14-000023 102500 - Disclosure - Supplemental Cash Flows Information TextBlock 1 3
GENWORTH FINANCIAL INC 0001193125-14-078864 1023 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
HCP, INC. 0001047469-14-000766 1200 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
HEINZ H J CO 0000046640-14-000006 2111100 - Disclosure - Supplemental Cash Flows Information TextBlock 1 3
HEINZ H J CO 0000046640-13-000018 2109100 - Disclosure - Supplemental Cash Flows Information TextBlock 1 3
HELMERICH & PAYNE INC 0001047469-13-010895 1110 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
HEWLETT PACKARD CO 0001047469-13-011417 8090 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
HONEYWELL INTERNATIONAL INC 0000930413-14-000634 000390 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
J C PENNEY CO INC 0001166126-14-000017 2122100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
KIMBERLY CLARK CORP 0000055785-14-000015 2318301 - Disclosure - Supplemental Data (Tables) TextBlock 1 3
KIMCO REALTY CORP 0001398432-14-000081 025 - Disclosure - Note 17 - Supplemental Schedule of Non-Cash Investing/Financing Activities TextBlock 1 3
LABORATORY CORP OF AMERICA HOLDINGS 0000920148-14-000021 2120100 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
LINCOLN NATIONAL CORP 0000059558-14-000011 12301 - Disclosure - Supplemental Disclosures of Cash Flow TextBlock 1 3
LOEWS CORP 0001193125-14-064964 1035 - Disclosure - Summary of Significant Accounting Policies (Policies) TextBlock 1 3
MARATHON OIL CORP 0000101778-14-000014 2118100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
Marathon Petroleum Corp 0001510295-14-000004 2122100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
MARSH & MCLENNAN COMPANIES, INC. 0000062709-14-000008 2102100 - Disclosure - Supplemental Disclosures TextBlock 1 3
MASTERCARD INC 0001141391-14-000003 2104100 - Disclosure - Supplemental Cash Flows TextBlock 1 3
MEADWESTVACO Corp 0001193125-14-065010 1029 - Disclosure - Cash flow TextBlock 1 3
MONSANTO CO /NEW/ 0001110783-13-000205 2126100 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
MOSAIC CO 0001193125-13-292097 010900 - Disclosure - Cash Flow Information TextBlock 1 3
MOSAIC CO 0001193125-14-057263 010800 - Disclosure - Cash Flow Information TextBlock 1 3
NABORS INDUSTRIES LTD 0001047469-14-001701 3210 - Disclosure - Supplemental Balance Sheet, Income Statement and Cash Flow Information (Tables) TextBlock 1 3
NetApp, Inc. 0001193125-13-261334 1013 - Disclosure - Statements of Cash Flows TextBlock 1 3
NEWFIELD EXPLORATION CO /DE/ 0000912750-14-000014 2132100 - Disclosure - Supplemental Cash Flows Information TextBlock 1 3
NEWMONT MINING CORP /DE/ 0001193125-14-061205 102700 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
NISOURCE INC/DE 0001111711-14-000016 2130100 - Disclosure - Supplemental Cash Flow TextBlock 1 3
NRG ENERGY, INC. 0001013871-14-000003 2125100 - Disclosure - Cash Flow Information (Notes) TextBlock 1 3
OCCIDENTAL PETROLEUM CORP /DE/ 0000797468-14-000011 8080 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
OMNICOM GROUP INC. 0000029989-14-000002 2116100 - Disclosure - Supplemental Cash Flow Data TextBlock 1 3
OWENS-ILLINOIS GROUP INC 0001104659-14-009776 1180 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
PAYCHEX INC 0000723531-13-000021 2111100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
PENTAIR LTD 0000077360-14-000010 2118100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
Phillips 66 0001534701-14-000042 2122100 - Disclosure - Cash Flow Information TextBlock 1 3
PROGRESSIVE CORP/OH/ 0000080661-14-000010 2216201 - Disclosure - Reporting And Accounting Policies (Policies) TextBlock 1 3
Prologis, Inc. 0001193125-14-070012 1031 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
QEP RESOURCES, INC. 0001108827-14-000016 2301302 - Disclosure - Summary of Significant Accounting Policies (Tables) TextBlock 1 3
QUEST DIAGNOSTICS INC 0001022079-14-000013 2109100 - Disclosure - SUPPLEMENTAL CASH FLOW & OTHER DATA TextBlock 1 3
RALPH LAUREN CORP 0001037038-13-000009 2125100 - Disclosure - Additional Financial Information TextBlock 1 3
RANGE RESOURCES CORP 0001564590-14-000349 100220 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
ROWAN COMPANIES PLC 0000085408-14-000003 2114100 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
RYDER SYSTEM INC 0000085961-14-000006 2128100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
TESORO CORP /NEW/ 0000050104-14-000013 2128100 - Disclosure - Supplemental Cash Flow Information Supplemental Cash Flow Information (Notes) TextBlock 1 3
TEXTRON INC 0001104659-14-009908 1140 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
THERMO FISHER SCIENTIFIC INC. 0000097745-14-000014 011300 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
TIFFANY & CO 0000098246-14-000096 2105100 - Disclosure - Supplemental Cash Flow Information (Notes) TextBlock 1 3
TJX COMPANIES INC /DE/ 0001193125-13-138497 124 - Disclosure - Supplemental Cash Flows Information TextBlock 1 3
TORCHMARK CORP 0001193125-14-076801 1020 - Disclosure - Supplemental Disclosures of Cash Flow Information TextBlock 1 3
TOTAL SYSTEM SERVICES INC 0001193125-14-067465 1031 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
TRAVELERS COMPANIES, INC. 0001047469-14-000854 51170 - Disclosure - Noncash Investing and Financing Activities TextBlock 1 3
TYSON FOODS INC 0000100493-13-000079 2118100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
UNITED STATES STEEL CORP 0001163302-14-000010 2120100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
V F CORP 0001193125-14-069474 1030 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
VALERO ENERGY CORP/TX 0001035002-14-000008 2143100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
Viacom Inc. 0001193125-13-441356 001090 - Disclosure - Supplemental Cash Flow and Other Information TextBlock 1 3
Vulcan Materials CO 0001396009-14-000006 11601 - Disclosure - SUPPLEMENTAL CASH FLOW INFORMATION TextBlock 1 3
WISCONSIN ENERGY CORP 0000107815-14-000041 2119100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3
XZERES Corp. 0001255294-13-000616 0029 - Disclosure - SUPPLEMENTAL CASH FLOWS TextBlock 1 3
YUM BRANDS INC 0001041061-14-000007 2105100 - Disclosure - Supplemental Cash Flow Data TextBlock 1 3
ZIONS BANCORPORATION /UT/ 0000109380-14-000048 2104100 - Disclosure - Supplemental Cash Flow Information TextBlock 1 3

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