Financial Fundamentals - Cash Flow


  Year Ending Jan 2026 (Update) Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update) Year Ending Jan 2022 (Update)
Net Income/Starting Line 3.08 61.13 259.06 178.88 95.92
Depreciation – Supplemental 35.48 38.74 34.43 29.32 24.43
Depreciation/Depletion 35.48 38.74 34.43 29.32 24.43
Deferred Taxes 5.19 -12.07 -58.61
Unusual Items 3.50 16.34 -- 1.15 --
Equity in Net Earnings (Loss)
Other Non-Cash Items 123.57 67.82 77.21 62.68 52.82
Non-Cash Items 127.07 84.15 77.21 63.83 52.82
Accounts Receivable -21.22 23.31 -10.36 -14.16 -12.01
Inventories 14.21 -4.58 11.55 -42.78 -3.00
Prepaid Expenses 5.36 -11.07 -6.00 -6.28 1.92
Accounts Payable 19.69 2.34 -7.55 7.44 7.05
Accrued Expenses -13.37 -21.71 -30.15 22.55 0.59
Payable/Accrued
Taxes Payable -0.38 -19.37
Other Liabilities
Changes in Working Capital 4.29 -31.08 -42.51 -33.23 -5.45
Cash from Operating Activities 175.11 140.88 269.59 238.81 167.72
Purchase of Fixed Assets -42.53 -20.99 -20.10 -23.34 -9.84
Capital Expenditures -42.53 -20.99 -20.10 -23.34 -9.84
Acquisition of Business -68.10
Sale of Business -- --
Sale of Fixed Assets
Sale/Maturity of Investment
Investment, Net --
Purchase of Investments
Intangible, Net -19.78 -16.71 -13.15 -11.59 -11.86
Other Investing Cash Flow
Other Investing Cash Flow Items, Total -19.78 -16.71 -13.15 -11.59 -79.96
Cash from Investing Activities -62.31 -37.69 -33.25 -34.93 -89.80
Other Financing Cash Flow -23.29 -33.65 -52.08 -54.95 -54.19
Financing Cash Flow Items -23.29 -33.65 -52.08 -54.95 -54.19
Sale/Issuance of Common 7.59 6.18 8.37 7.16 8.83
Repurchase/Retirement of Common -100.00 -67.00 -80.00 -110.13 -70.12
Common Stock, Net -92.41 -60.81 -71.64 -102.97 -61.30
Issuance (Retirement) of Stock, Net -92.41 -60.81 -71.64 -102.97 -61.30
Long Term Debt Issued -- -- 148.60 --
Long Term Debt Reduction -- -- -130.00 -178.75 -13.13
Long Term Debt, Net -- -- -130.00 -30.15 -13.13
Issuance (Retirement) of Debt, Net -- -- -130.00 -30.15 -13.13
Cash from Financing Activities -115.70 -94.46 -253.72 -188.07 -128.61
Foreign Exchange Effects 0.49 -0.75 -0.03 -1.65 -0.08
Net Change in Cash -2.41 7.97 -17.41 14.15 -50.76
Net Cash - Beginning Balance 136.29 128.32 145.72 131.57 182.33
Net Cash - Ending Balance 133.89 136.29 128.32 145.72 131.57
Cash Interest Paid -- -- 3.24 3.97 2.31
Cash Taxes Paid 7.77 8.59 15.75 4.62 3.30

For a more complete picture of our financial results, please review our SEC Filings

In millions of USD (except for per share items)

Source: LSEG