LUCE.L Cash Flow Statement


* In Millions (except for per share items) of GBP
Period Ending: LTM
(Last Twelve Months)
2023 (Q4)
12-31
2023 (Q2)
06-30
2022 (Q4)
12-31
2022 (Q2)
06-30
2021 (Q4)
12-31
2021 (Q2)
06-30
2020 (Q4)
12-31
2020 (Q2)
06-30
2019 (Q4)
12-31
2019 (Q2)
06-30
2018 (Q4)
12-31
2018 (Q2)
06-30
2017 (Q4)
12-31
2017 (Q2)
06-30
2016 (Q4)
12-31
2016 (Q2)
06-30
2016 (Q4)
01-31
2015 (Q2)
06-30
2015 (Q4)
01-31
Report Filing: 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30
1234
Net Income/Starting Line 11400000 5300000 6800000 4200000 13700000 13400000
1234
Cash From Operating Activities 31800000 -5600000 36600000 -700000 16399999 8000000
1234
Depreciation and Amortization 4500000 4800000 4800000 4099999 4600000 3100000
1234
Deferred Income Tax -200000 -27900000 -400000 -18799999 -400000 -16800000
1234
Stock Based Compensation 300000 600000 300000 700000 900000 800000
1234
Other Non-Cash Items -11500000 29300000 -10200000 19000000 -1500001 500000
1234
Changes in Working Capital 18300000 -17700000 22600000 -9900000 -900000 -9800000
1234
Accounts Receivable 7900000 -11000000 10000000 9200000 4800000 1400000
1234
Inventory 5100000 800000 7600000 4400000 -900000 -12200000
1234
Accounts Payable 5300000 -7500000 5000000 -23500000 -4800000 1000000
1234
Deferred Revenue 0 0 0 0 0 0
1234
Other Working Capital 0 0 0 0 0 0
1234
Cash From Investing Activities -7500000 -2400000 -3100000 -10300000 -21800000 -3000000
1234
Investments in Property Plant and Equipment -5700000 -2500000 -3300000 -2500000 -3500000 -3100000
1234
Payments for Acquisitions -100000 100000 200000 -7800000 -16200000 100000
1234
Purchases of Securities -1700000 0 0 0 -2100000 0
1234
Proceeds from Sales and Maturities of Securities 0 0 0 0 18900000 0
1234
Other Investing Activities -3000000 -500000 -800000 -700000 0 0
1234
Cash From Financing Activities -23000000 6000000 -33600000 9200000 11000000 -10400000
1234
Debt Repayment -17800000 -11700000 -30100000 -21200000 -15700000 -1200000
1234
Common Stock Issued 0 0 31800000 -17800000 0 3200000
1234
Common Stock Repurchased -1600000 0 -100000 -2300000 0 -1300000
1234
Dividends Paid -2500000 -4700000 -2400000 -8500000 -4000000 -7200000
1234
Other Financing Activities -20400000 -1300000 -32700000 -1100000 -700000 -700000
1234
Effect of Forex Changes on Cash 100000 -100000 100000 200000 100000 -100000
1234
Net Change in Cash 1400000 -2100000 0 -1600000 4500000 -4300000
1234
Cash at Beginning of Period 3200000 5300000 5300000 6900000 2400000 6700000
1234
Cash at End of Period 4600000 3200000 5300000 5300000 6900000 2400000
1234
Free Cash Flow 26100000 -8100000 33300000 -3200000 12899999 4900000
1234
Operating Cash Flow 31800000 -5600000 36600000 -700000 16399999 8000000
1234
Capital Expenditure -5700000 -2500000 -3300000 -2500000 -3500000 -3100000
1234

Disclaimer: The data contained in this website is not necessarily real-time nor accurate. All derived (stocks, indexes, futures) and Forex prices are not provided by exchanges but rather by our third party API www.financialmodellingprep.com, and so prices may not be accurate and may differ from the actual market price, meaning prices are indicative and not appropriate for trading purposes. Therefore, Discounting Cash Flows Inc. doesn't bear any responsibility for any trading losses you might incur as a result of using this data. Discounting Cash Flows Inc. or anyone involved with Discounting Cash Flows Inc. will not accept any liability for loss or damage as a result of reliance on the information including data, quotes, charts and buy/sell signals contained within this website. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.