CYD Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
2009
12-31
2008
12-31
2007
12-31
2006
12-31
2005
12-31
2004
12-31
2003
12-31
2002
12-31
2001
12-31
2000
12-31
1999
12-31
1998
12-31
1997
12-31
1996
12-31
Report Filing: 2023-04-26 2022-04-22 2021-04-23 2020-04-30 2019-04-22 2018-04-16 2017-04-17 2016-04-15 2015-04-15 2014-04-22 2013-04-22 2012-04-19 2011-05-09 2010-04-30 2009-07-15 2009-01-30 2008-07-17 2006-08-08 2005-07-15 2004-06-29 2003-07-15 2002-06-25 2000-12-31 1999-12-31 1998-12-31 1997-12-31 1996-12-31
Net Income/Starting Line 394726000 451710000 971864000 1033319000 1181067000 1625237000 883878000 686138000 1201385000 1162119000 913576000 1299282000 1765203000 979690000 252450000 561643770.72 126514437.5 68511721 491490321.8 438261817.3 412505004.48 250428476.16 37029684.6 43691706.24 5795230 -450410240 -71366240
Cash From Operating Activities -119419000 504556000 1415368000 1583016000 670601000 1370167000 2276087000 1686718000 535686000 589642000 1512192000 -1762386000 1464964000 3969358000 632685000 90371144.68 720894470 242770145 589735406 1075464135.4 659605692.48 59287608.96 170506857.6 233342519.04 185447360 55473320 -13277440
Depreciation and Amortization 624692000 573596000 494607000 465209000 421161000 431815000 465341000 456002000 418675000 377110000 335337000 301557000 275136000 285314000 266621000 238678878.84 162406330 139776505.5 132822916.75 125538144.75 118881506.88 130561877.76 142662254.4 144725672.64 149848090 182151200 161818800
Deferred Income Tax 0 0 0 0 0 -652088000 -116398000 35863000 -188690000 0 0 0 0 0 2627000 37022145.44 -22729712.5 -11851898 1117550.25 6250003.25 -31224917.76 -94419780.48 -1868432.4 -620856 0 3311840 -8298400
Stock Based Compensation 0 0 0 0 0 1592000 5301000 10275000 5360000 0 0 0 0 0 71301000 175190428.56000003 138959247.5 48763940 0 0 0 -0.000000007450580596923828 0 0 0 0 0
Other Non-Cash Items -147798000 -270205000 -366145000 -380588000 -251839000 -20651000 35519000 88470000 28235000 -32099000 -62579000 195385000 -8309000 -130149000 145552000 25816152.71999997 -30215312.5 217403208 170331214.40000004 161589488.00000012 160197404.15999997 82648350.72 17427679.199999988 22408762.560000002 14902020 303861320 4149200
Changes in Working Capital -991039000 -250545000 315042000 465076000 -679788000 -15738000 1002446000 409970000 -929279000 -917488000 325858000 -3558610000 -567066000 2834503000 -105866000 -947980231.6 345959480 -219833331.5 -206026597.2 343824682.1 -753305.28 -309931315.2 -24744328.2 23137233.6 14902020 16559200 -99580800
Accounts Receivable -7436000 1300268000 -238646000 -514234000 0 1110934000 116487000 732413000 -85712000 -1322998000 179389000 -2447246000 0 0 536617000 -1615859000 0 -270662000 -25954000 153524000 -229346000 0 0 0 0 0 0
Inventory 185854000 -741037000 -1687714000 -314975000 51738000 -897060000 55299000 168176000 434458000 -293770000 431933000 229216000 -409118000 -49006000 -603005000 -87478333 117375767.5 -289854797 -469304879.8 -34105978 -298615179.84 -175801584.96 -76605728.4 9172112.64 24836700 827960 -29874240
Accounts Payable 7436000 -1300268000 238646000 514234000 0 0 774134000 -495825000 -1140069000 790171000 -329148000 -1330324000 0 0 102966000 377164000 332355000 0 357751000 103065000 279588000 0 0 0 0 0 0
Deferred Revenue -1176893000 490492000 2002756000 780051000 -731526000 -229612000 56526000 5206000 -137956000 -90891000 43684000 -10256000 -157948000 2883509000 -142444000 378193101.4 -103771287.5 340683465.5 -68518717.39999998 121341660.10000002 247619874.55999997 -134129730.23999998 51861400.2 13965120.96 -9934680 15731240 -69706560
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0.0 0.0 0.0 0.0 0.0 -0.000000029802322387695312 0.0 0.0 0.0 0 0 0
Cash From Investing Activities -133048000 -738848000 -785753000 -810477000 -79992000 126570000 -572031000 -25496000 -523019000 -553591000 -506135000 -523239000 -386041000 -800445000 -261776000 -180099442.32 -1466421242.5 -677487752.5 -753518603.75 -372433968.5 -174187359.36 -42690058.56 -14054580 -24792849.6 -3311560 -60441080 -114517920
Investments in Property Plant and Equipment -597249000 -859527000 -1084823000 -1264026000 -588373000 -289472000 -351472000 -397817000 -690745000 -505015000 -760100000 -818639000 -643015000 -780836000 -432423000 -283517459.88 -368080987.5 -515573710 -553013532.6 -372839597.85 -174874440 -43054294.08 -14939191.8 -32657025.6 -7451010 -4139800 -23235520
Payments for Acquisitions -950000 -17640000 -320268000 -41274000 0 442834000 -10331000 147376000 -17239000 -10216000 38056000 -33295000 -186004000 -67494000 -870000 0 5146350 0 0 0 0 0 0 0 0 0 0
Purchases of Securities 0 -79695000 -5341000 -327228000 0 0 -290169000 -66901000 -97069000 -319619000 32404000 0 17021000 -82000 0 0 -1049387550 -161421559 -1349338.45 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 124200000 6485000 1354000 154508000 0 0 7360000 193589000 197513000 45436000 6786000 0 169000 64745000 134542000 94754192.68 13536460 0 0 0 0 0 0 0 827890 0 0
Other Investing Activities 340951000 211529000 623325000 667543000 508381000 -26792000 72581000 98257000 84521000 235823000 176719000 328695000 425788000 -16778000 36975000 8663824.879999995 -67635515 -492483.5 -199155732.69999993 405629.35000002384 687080.6399999857 364235.5199999958 884611.8000000007 7864176 3311560 -56301280 -91282400
Cash From Financing Activities -140365000 -838563000 -461832000 -589429000 -449525000 280862000 -1553986000 -485535000 -314749000 -553179000 -2010937000 2357951000 -666628000 -332725000 -193161000 -144362990.96 762400562.5 452963717.5 254544834.35 -714288450.9 -251372177.28 -25082582.4 -24777397.8 -95769107.52 -156471210 -108462760 167627680
Debt Repayment -1934597000 -1989041000 -2091643000 -2049138000 -1611789000 -1100171000 -2793267000 -2772947000 -1939125000 -3078311000 -4835507000 -477328000 -926285000 -1256460000 -1284686000 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 0 0 0 0 0 6617000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Repurchased 0 0 0 0 0 1707372000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid -109684000 -448712000 -245871000 -238758000 -597459000 -235947000 -118193000 -142007000 -158493000 -207708000 -211729000 -365683000 -63078000 -16220000 -59357000 -30294166.76 -32936640 -120343591 -8509938.2 -697285130.8 -121348374.72 -25239865.92 -25207302.6 0 0 0 -14937120
Other Financing Activities 1903916000 1599190000 1875682000 1698467000 1759723000 -97009000 1357474000 2429419000 1782869000 2732840000 3036299000 3200962000 322735000 939955000 1150882000 -114068824.20000002 795337202.5 573307308.5 263054772.54999998 -17003320.100000024 -130023802.56 157283.52000000328 429904.80000000075 -95769107.52 -156471210 -108462760 182564800
Effect of Forex Changes on Cash 56102000 -16573000 -43404000 10268000 28482000 -41189000 29480000 7332000 -3109000 -13938000 7706000 -8540000 -9286000 -1902000 -5257000 -6384639.92 -5801340 -4714924 0.000000029802322387695312 -0.00000011920928955078125 8278.079999953508 0 -0.00000004470348358154297 0.000000014901161193847656 0 0 0
Net Change in Cash -336730000 -1089428000 124379000 193378000 169566000 1736410000 179550000 1183019000 -305191000 -531066000 -997174000 63786000 403009000 2834286000 172491000 -240475928.51999998 11072450 13531186 90761636.60000002 -11258284 234054433.91999996 -8485032 131674879.79999995 112780561.92000002 25664590 -113430520 39832320
Cash at Beginning of Period 4788219000 5877647000 5753268000 5559890000 5390324000 3653914000 3474364000 2291345000 2596536000 3127602000 4124776000 4060990000 3657981000 823695000 520945000 797283736.28 836913472.5 722965778 632053308.8 643311592.8 409259997.12 417745029.12 285465054.6 173011872 147364420 260807400 220737440
Cash at End of Period 4451489000 4788219000 5877647000 5753268000 5559890000 5390324000 3653914000 3474364000 2291345000 2596536000 3127602000 4124776000 4060990000 3657981000 693436000 556807807.76 847985922.5 736496964 722814945.4 632053308.8 643314431.04 409259997.12 417139934.4 285792433.92 173029010 147376880 260569760
Free Cash Flow -716668000 -354971000 330545000 318990000 82228000 1080695000 1924615000 1288901000 -155059000 84627000 752092000 -2581025000 821949000 3188522000 200262000 -193146315.2 352813482.5 -272803565 36721873.399999976 702624537.5500001 484731252.48 16233314.880000003 155567665.79999998 200685493.44 177996350 51333520 -36512960
Operating Cash Flow -119419000 504556000 1415368000 1583016000 670601000 1370167000 2276087000 1686718000 535686000 589642000 1512192000 -1762386000 1464964000 3969358000 632685000 90371144.68 720894470 242770145 589735406 1075464135.4 659605692.48 59287608.96 170506857.6 233342519.04 185447360 55473320 -13277440
Capital Expenditure -597249000 -859527000 -1084823000 -1264026000 -588373000 -289472000 -351472000 -397817000 -690745000 -505015000 -760100000 -818639000 -643015000 -780836000 -432423000 -283517459.88 -368080987.5 -515573710 -553013532.6 -372839597.85 -174874440 -43054294.08 -14939191.8 -32657025.6 -7451010 -4139800 -23235520

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