QSR.TO Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
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
Report Filing: 2023-12-31 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
Net Income/Starting Line 1718000000 1482000000 1253000000 750000000 1111000000 1144000000 1235300000 955900000 511700000 -269300000 233700000 117700000
Cash From Operating Activities 1323000000 1490000000 1726000000 921000000 1476000000 1165000000 1382000000 1269000000 1204800000 259300000 325200000 224400000
Depreciation and Amortization 191000000 190000000 201000000 189000000 185000000 180000000 181100000 172100000 182000000 68800000 65800000 114200000
Deferred Income Tax -430000000 -60000000 -5000000 -208000000 58000000 29000000 -742400000 80100000 -32300000 -61900000 32100000 8900000
Stock Based Compensation 194000000 136000000 102000000 74000000 68000000 48000000 48300000 35100000 50800000 43100000 14800000 12200000
Other Non-Cash Items -113000000 52000000 17000000 300000000 -77000000 -113000000 265700000 23400000 179200000 515700000 71400000 122600000
Changes in Working Capital -237000000 -310000000 158000000 -184000000 131000000 -123000000 394000000 2400000 313400000 -37100000 -92600000 -151200000
Accounts Receivable 0 -110000000 8000000 -30000000 -53000000 -200000000 331000000 -27100000 62600000 62700000 -23600000 -94800000
Inventory -43000000 -61000000 12000000 -10000000 -15000000 -7000000 2900000 7700000 9200000 -24100000 -7800000 -7000000
Accounts Payable 0 110000000 -8000000 30000000 53000000 41000000 19900000 27500000 191200000 -17900000 -30600000 -23900000
Deferred Revenue -194000000 -249000000 146000000 -174000000 146000000 43000000 40200000 -5700000 50400000 -57800000 -30600000 -25500000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities 11000000 -64000000 -1103000000 -79000000 -30000000 -44000000 -857800000 26900000 -61500000 -7790800000 43000000 33600000
Investments in Property Plant and Equipment -120000000 -100000000 -106000000 -117000000 -62000000 -86000000 -36700000 -33700000 -115300000 -30900000 -25500000 -70200000
Payments for Acquisitions 0 -12000000 -1004000000 0 0 0 -1635900000 0 0 -7378600000 -11900000 -15300000
Purchases of Securities 0 -71000000 0 0 0 0 0 0 0 -388900000 0 0
Proceeds from Sales and Maturities of Securities 112000000 71000000 5000000 33000000 24000000 33000000 788200000 27600000 30500000 15500000 15400000 14200000
Other Investing Activities 19000000 48000000 2000000 5000000 8000000 9000000 26600000 33000000 23300000 -7900000 65000000 104900000
Cash From Financing Activities -1374000000 -1307000000 -1093000000 -821000000 -842000000 -1285000000 -935200000 -590900000 -2115200000 8565600000 -132700000 -174600000
Debt Repayment -92000000 -94000000 -889000000 -4708000000 -2266000000 -74000000 -2741500000 -69700000 -2627800000 -3102000000 -57200000 -1879600000
Common Stock Issued 115000000 30000000 1395000000 0 0 136000000 5878700000 0 2100000 0 6000000 0
Common Stock Repurchased -500000000 -326000000 -551000000 0 0 -60000000 -3005700000 0 1253000000 0 -7300000 0
Dividends Paid -990000000 -971000000 -974000000 -959000000 -901000000 -728000000 -663500000 -538100000 -362400000 -105600000 -84300000 -14000000
Other Financing Activities 93000000 54000000 -74000000 4846000000 2325000000 -559000000 -403200000 16900000 -380100000 11773200000 10100000 1719000000
Effect of Forex Changes on Cash 1000000 -28000000 -3000000 6000000 16000000 -20000000 24000000 -2400000 -73500000 -17800000 4700000 4300000
Net Change in Cash -39000000 91000000 -473000000 27000000 620000000 -184000000 -387000000 702600000 -1045400000 1016300000 240200000 87700000
Cash at Beginning of Period 1178000000 1087000000 1560000000 1533000000 913000000 1097000000 1460400000 757800000 1803200000 786900000 546700000 459000000
Cash at End of Period 1139000000 1178000000 1087000000 1560000000 1533000000 913000000 1073400000 1460400000 757800000 1803200000 786900000 546700000
Free Cash Flow 1203000000 1390000000 1620000000 804000000 1414000000 1079000000 1345300000 1235300000 1089500000 228400000 299700000 154200000
Operating Cash Flow 1323000000 1490000000 1726000000 921000000 1476000000 1165000000 1382000000 1269000000 1204800000 259300000 325200000 224400000
Capital Expenditure -120000000 -100000000 -106000000 -117000000 -62000000 -86000000 -36700000 -33700000 -115300000 -30900000 -25500000 -70200000

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