BDEV.L Cash Flow Statement


* In Millions (except for per share items) of GBP
Period Ending: LTM
(Last Twelve Months)
2023
06-30
2022
06-30
2021
06-30
2020
06-30
2019
06-30
2018
06-30
2017
06-30
2016
06-30
2015
06-30
2014
06-30
2013
06-30
2012
06-30
2011
06-30
2010
06-30
2009
06-30
2008
06-30
2007
06-30
2006
06-30
2005
06-30
2004
06-30
2003
06-30
2002
06-30
2001
06-30
2000
06-30
1999
06-30
1998
06-30
1997
06-30
1996
06-30
1995
06-30
1994
06-30
1993
06-30
1992
06-30
Report Filing: 2023-06-30 2022-06-30 2021-06-30 2020-06-30 2019-06-30 2018-06-30 2017-06-30 2016-06-30 2015-06-30 2014-06-30 2013-06-30 2012-06-30 2011-06-30 2010-06-30 2009-06-30 2008-06-30 2007-06-30 2006-06-30 2005-06-30 2004-06-30 2003-06-30 2002-06-30 2001-06-30 2000-06-30 1999-06-30 1998-06-30 1997-06-30 1996-06-30 1995-06-30 1994-06-30 1993-06-30 1992-06-30
Net Income/Starting Line 530299999 515100000 659800000 399700000 740000000 671700000 615800000 550300000 449400000 305400000 249900000 67400000 127300000 74300000 -485300000 295200000 487100000 413500000 406300000 375600000 298700000 227900000 186200000 150800000 115000000 96600000 72900000 58700000 54600000 40700000 27300000 28500000
Cash From Operating Activities 521799999 436300000 1105500000 -93300000 361300000 514299999 388600000 652900000 184000000 242300000 165800000 149700000 64500000 230300000 407800000 -168600000 -12300000 -182100000 47000000 107500000 -9700000 44900000 46100000 -23900000 -13800000 -5800000 3200000 -7400000 -37800000 23600000 42700000 95400000
Depreciation and Amortization 28900000 23500000 20700000 20300000 4300000 5400000 4099999 4500000 3300000 2000000 1600000 -1900000 1800000 3800000 5500000 7600000 4900000 2100000 6500000 1200000 800000 600000 600000 400000 300000 300000 400000 400000 300000 400000 500000 900000
Deferred Income Tax -296300000 -604500000 305800000 -504100000 280100000 73000000 219900000 149700000 722600000 265200000 -27700000 -26500000 -108700000 -108500000 -104700000 -263700000 173700000 421200000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Stock Based Compensation 10200000 24200000 20400000 6800000 14100000 11000000 9100000 12800000 11600000 9000000 4400000 3100000 1400000 -600000 4300000 2300000 4400000 3100000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 313600000 596200000 -308200000 412500000 -383000000 -162800001 -11399999 247800000 453900000 200100000 -33400000 96800000 -30100000 -61700000 -29300000 -14800000 -351500000 -595600000 -121300000 -155600000 -123900000 -100500000 -86600000 -75900000 -60300000 -50700000 -39600000 -33600000 -31200000 -20000000 -14200000 -1200000
Changes in Working Capital -64900000 -118200000 407000000 -428500000 -294200000 -84000000 -229000000 -162500000 -734200000 -274200000 -29000000 10800000 72800000 323000000 1017300000 -195200000 -330900000 -426400000 -244500000 -113700000 -185300000 -83100000 -54100000 -99200000 -68800000 -52000000 -30500000 -32900000 -61500000 2500000 29100000 67200000
Accounts Receivable 60400000 20800000 -93100000 128900000 -2300000 -39400000 -66700000 -900000 -57500000 -39200000 -23300000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory 48900000 -543400000 385900000 -211800000 -291900000 -44600000 -162300000 -161600000 -676700000 -235000000 4000000 71700000 72100000 186300000 795500000 -230500000 -267400000 -253800000 -528700000 -254400000 -286300000 -280900000 -191100000 -159900000 -145700000 -131300000 -61300000 -60700000 -80900000 -22700000 25300000 72900000
Accounts Payable -337600000 -10700000 74800000 -373800000 -53300000 -102300000 -9700000 188500000 0 0 23300000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue 163400000 415100000 39400000 28200000 53300000 102300000 19400000 -377000000 0 0 -9700000 -60900000 700000 136700000 221800000 35300000 -63500000 -172600000 284200000 140700000 101000000 197800000 137000000 60700000 76900000 79300000 30800000 27800000 19400000 25200000 3800000 -5700000
Other Working Capital 0 0 0 0 0 0 -9700000 188500000 0 0 -23300000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -900000 -241100000 -9700000 33500000 81500000 -9700000 65900000 12700000 42200000 -36200000 -8500000 -500000 -20200000 7900000 -20800000 -51400000 -826900000 700000 86700000 -5400000 -7500000 -7100000 3900000 -11500000 -100000 3700000 -2200000 -500000 1000000 1500000 -1100000 500000
Investments in Property Plant and Equipment -23100000 -29900000 -7200000 -7500000 -7200000 -7500000 -4000000 -6100000 -5400000 -4700000 -2000000 -2400000 -700000 -400000 -2100000 -5400000 -7900000 -3300000 -1900000 -3700000 -9400000 -1100000 -600000 -1900000 -1100000 -200000 -3100000 -500000 -800000 -1000000 -200000 -400000
Payments for Acquisitions 100000 -204600000 -2500000 41000000 -11200000 -46900000 -17700000 -11900000 18300000 -900000 0 9600000 -23900000 1800000 -24700000 -78200000 -811600000 0 83200000 0 0 3400000 0 0 1000000 3900000 0 0 100000 2500000 -1000000 -200000
Purchases of Securities -18100000 -17900000 -7900000 -31200000 -51000000 -58600000 -54900000 -11900000 0 -59200000 -11200000 0 -22800000 0 0 0 -14200000 0 0 -1700000 0 -6000000 -1000000 -10700000 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 40200000 11300000 5400000 72200000 85500000 11700000 37200000 23800000 0 1300000 0 0 22800000 1800000 0 0 -14200000 0 0 0 1900000 3700000 4800000 0 0 0 900000 0 0 0 0 0
Other Investing Activities 0 0 2500000 -41000000 65400000 91600000 105300000 42600000 29300000 27300000 4700000 -7700000 4400000 4700000 6000000 32200000 21000000 4000000 5400000 0 0 -7100000 700000 1100000 0 0 0 0 1700000 0 100000 1100000
Cash From Financing Activities -590600000 -378400000 -197000000 -456400000 -483000000 -306600000 -428100000 -268000000 -140500000 -225800000 -13200000 -71600000 -518100000 129500000 -241000000 70700000 978000000 -60400000 -79000000 -15400000 12400000 5600000 6400000 9700000 -3100000 -6500000 -9000000 45100000 51100000 -21000000 -18900000 -91800000
Debt Repayment -13900000 -5300000 -112400000 -60000000 -16100000 -69600000 -105600000 -10900000 -27900000 -118800000 0 -77400000 -518100000 -561300000 -241000000 -200100000 0 0 -32500000 -19100000 0 0 0 -16800000 -4000000 -13400000 -9200000 -47000000 0 -22100000 -19000000 -95000000
Common Stock Issued 100000 8500000 8100000 6000000 7100000 8500000 2500000 3900000 5100000 1900000 3500000 6200000 0 720500000 0 500000 14500000 6900000 9100000 3700000 2100000 5600000 2800000 0 900000 1900000 200000 92100000 1200000 1100000 100000 0
Common Stock Repurchased -215300000 -28500000 -14800000 -5900000 -21700000 -3300000 -3600000 -1000000 22800000 116900000 0 0 0 -2200000 0 -300000 0 0 -1700000 15400000 0 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid -360000000 -337000000 -76300000 -373200000 -277700000 -259899999 -197000000 -163200000 -117700000 -55900000 0 0 0 -33600000 0 -126000000 -77100000 -67500000 -55600000 -45000000 -34300000 -30800000 0 0 0 0 0 0 0 0 0 0
Other Financing Activities -1500000 -16100000 -1600000 -23300000 -174600000 17699999 -124400000 -96800000 0 -53000000 -16700000 -400000 0 6100000 0 396600000 1040600000 200000 1700000 45000000 44600000 30800000 3600000 26500000 0 5000000 0 0 49900000 0 0 3200000
Effect of Forex Changes on Cash 1 17300000 0 0 193800000 1 0 0 0 0 0 0 518100000 0 227700000 0 0 0 0 2300000 2100000 2600000 -2600000 -1600000 -200000 0 0 0 0 0 0 0
Net Change in Cash -83600000 -165900000 898800000 -516200000 153600000 198000000 26400000 397600000 85700000 -19700000 144100000 77600000 44300000 367700000 373700000 -149300000 138800000 -241800000 54700000 108100000 -13000000 49700000 53800000 -27300000 -17200000 -8600000 -8000000 37200000 14300000 4100000 22700000 4100000
Cash at Beginning of Period 1352700000 1518600000 619800000 1136000000 982400000 784400000 758000000 360400000 274700000 294400000 150300000 72700000 -366900000 178800000 -1650600000 182100000 43300000 285100000 230400000 81600000 94600000 44900000 19500000 46800000 48200000 72600000 68900000 16500000 29100000 25000000 2300000 -1800000
Cash at End of Period 1269100000 1352700000 1518600000 619800000 1136000000 982400000 784400000 758000000 360400000 274700000 294400000 150300000 -322600000 546500000 -1276900000 32800000 182100000 43300000 285100000 189700000 81600000 94600000 73300000 19500000 31000000 64000000 60900000 53700000 43400000 29100000 25000000 2300000
Free Cash Flow 498699999 406400000 1098300000 -100800000 354100000 506799999 384600000 646800000 178600000 237600000 163800000 147300000 63800000 229900000 405700000 -174000000 -20200000 -185400000 45100000 103800000 -19100000 43800000 45500000 -25800000 -14900000 -6000000 100000 -7900000 -38600000 22600000 42500000 95000000
Operating Cash Flow 521799999 436300000 1105500000 -93300000 361300000 514299999 388600000 652900000 184000000 242300000 165800000 149700000 64500000 230300000 407800000 -168600000 -12300000 -182100000 47000000 107500000 -9700000 44900000 46100000 -23900000 -13800000 -5800000 3200000 -7400000 -37800000 23600000 42700000 95400000
Capital Expenditure -23100000 -29900000 -7200000 -7500000 -7200000 -7500000 -4000000 -6100000 -5400000 -4700000 -2000000 -2400000 -700000 -400000 -2100000 -5400000 -7900000 -3300000 -1900000 -3700000 -9400000 -1100000 -600000 -1900000 -1100000 -200000 -3100000 -500000 -800000 -1000000 -200000 -400000

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