AAF.L Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
03-31
2022
03-31
2021
03-31
2020
03-31
2019
03-31
2018
03-31
2017
03-31
Report Filing: 2023-03-31 2022-03-31 2021-03-31 2020-03-31 2019-03-31 2018-03-31 2017-03-31
Net Income/Starting Line 1034000000 1224000000 697000000 598000000 372000000 -9000000 -652000000
Cash From Operating Activities 2208000000 2011000000 1666000000 1387000000 1030000000 831000000 421000000
Depreciation and Amortization 818000000 744000000 681000000 632000000 573000000 577000000 660000000
Deferred Income Tax -1000000 -2000000 -1000000 0 0 0 0
Stock Based Compensation 1000000 2000000 1000000 0 0 0 0
Other Non-Cash Items 328000000 12000000 212000000 144000000 263000000 446000000 773000000
Changes in Working Capital 28000000 31000000 76000000 13000000 -178000000 -183000000 -360000000
Accounts Receivable -45000000 -18000000 -8000000 -11000000 0 0 0
Inventory -13000000 4000000 -4000000 -1000000 -1000000 3000000 10000000
Accounts Payable 45000000 18000000 8000000 11000000 0 0 0
Deferred Revenue 41000000 27000000 80000000 14000000 -177000000 -186000000 -370000000
Other Working Capital 0 0 0 0 0 0 0
Cash From Investing Activities -1026000000 -557000000 -1158000000 -801000000 -630000000 -283000000 -398000000
Investments in Property Plant and Equipment -1281000000 -739000000 -915000000 -811000000 -693000000 -346000000 -574000000
Payments for Acquisitions 502000000 79000000 0 -19000000 0 -19000000 7000000
Purchases of Securities -126000000 -388000000 -257000000 0 0 0 0
Proceeds from Sales and Maturities of Securities 350000000 301000000 0 0 0 0 0
Other Investing Activities -471000000 190000000 14000000 29000000 63000000 82000000 169000000
Cash From Financing Activities -1118000000 -1607000000 -575000000 -370000000 179000000 -409000000 -60000000
Debt Repayment -1018000000 -2115000000 -265000000 -720000000 -2148000000 -425000000 -1730000000
Common Stock Issued -8000000 -6000000 -4000000 680000000 2387000000 0 0
Common Stock Repurchased 152000000 -6000000 -4000000 -355000000 0 0 0
Dividends Paid -195000000 -169000000 -169000000 -113000000 0 0 0
Other Financing Activities -49000000 689000000 -133000000 138000000 -60000000 16000000 1670000000
Effect of Forex Changes on Cash -70000000 -3000000 -17000000 1000000 4000000 1000000 -17000000
Net Change in Cash -6000000 -156000000 -84000000 217000000 583000000 140000000 -54000000
Cash at Beginning of Period 847000000 1003000000 1087000000 870000000 49000000 -91000000 -37000000
Cash at End of Period 841000000 847000000 1003000000 1087000000 632000000 49000000 -91000000
Free Cash Flow 927000000 1272000000 751000000 576000000 337000000 485000000 -153000000
Operating Cash Flow 2208000000 2011000000 1666000000 1387000000 1030000000 831000000 421000000
Capital Expenditure -1281000000 -739000000 -915000000 -811000000 -693000000 -346000000 -574000000

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