SPG 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
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
1995
12-31
1994
12-31
1993
12-31
Report Filing: 2024-02-22 2023-02-23 2022-02-24 2021-02-25 2020-02-21 2019-02-22 2018-02-23 2017-02-24 2016-02-26 2015-02-27 2014-02-27 2013-02-28 2012-02-28 2011-02-25 2010-02-25 2009-02-26 2008-02-26 2007-02-28 2006-03-08 2005-03-16 2004-03-15 2003-03-07 2002-03-29 2001-03-29 2000-03-29 1999-03-31 1997-12-31 1996-12-31 1995-12-31 1994-12-31 1993-12-31
Net Income/Starting Line 2283126000 2452385000 2568707000 1277324000 2423188000 2822343000 2244903000 2134706000 2139375000 1651526000 1551590000 1719632000 1245900000 753514000 387262000 463636000 546300000 563840000 329642000 342993000 368715000 408281000 198905000 354007000 229805000 228654000 203100000 134700000 101500000 60400000 6900000
Cash From Operating Activities 3930793000 3766604000 3637402000 2326698000 3807831000 3750796000 3593788000 3372694000 3024685000 2730420000 2700996000 2513072000 2005887000 1755210000 1720520000 1606233000 1455745000 1273367000 1172861000 1082858000 951967000 882990000 803813000 701516000 627056000 529415000 370900000 236500000 194300000 155200000 7000000
Depreciation and Amortization 1262107000 1292113000 1325895000 1354991000 1394172000 1349776000 1357351000 1327946000 1239214000 1285784000 1332950000 1301304000 1112438000 1016027000 1009490000 956827000 875284000 812718000 806638000 611090000 518560000 491306000 464892000 430472000 394004000 278812000 208500000 143600000 101300000 83200000 2100000
Deferred Income Tax 0 -24700000 -24800000 -1900000 -26800000 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
Stock Based Compensation 0 24700000 24800000 1900000 26800000 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
Other Non-Cash Items 127426000 -126780000 -648928000 119405000 26866000 -412674000 50718000 15351000 -276687000 -105014000 -181984000 -534963000 -215198000 46463000 310603000 182907000 44177000 -36036000 129204000 122712000 81741000 -12373000 62874000 -101707000 14852000 -15705000 51500000 24200000 4900000 41400000 5400000
Changes in Working Capital 258134000 148886000 391728000 -425022000 -36395000 -8649000 -59184000 -105309000 -77217000 -101876000 -1560000 27099000 -137253000 -60794000 13165000 2863000 -10016000 -67155000 -92623000 6063000 -17049000 -4224000 77142000 18744000 -11605000 37654000 -92200000 -66000000 -13400000 -29800000 -7400000
Accounts Receivable -11802000 63350000 265351999 -415911000 -157000 0 0 0 0 0 0 0 0 0 0 0 -123769000 -136369000 -1294000 -84178000 7881000 -1541000 -37564000 -3151000 -60100000 -20700000 -82500000 -19200000 -8800000 -2700000 -22700000
Inventory 11802000 -63350000 -265351999 415911000 157000 0 0 0 0 0 0 0 0 0 0 0 72777000 0 0 53075000 9347000 11554000 115074000 28830000 11485000 45500000 0 0 0 0 0
Accounts Payable 245513000 190103000 203968000 19080000 13100000 84307000 99931000 -77789000 35542000 -29577000 42391000 165679000 -58959000 0 3789000 39873000 113753000 69214000 -91329000 90241000 -24930000 -2683000 110886000 25552000 48400000 76900000 36400000 -13800000 2100000 -12200000 19000000
Deferred Revenue 12621000 -41217000 187760000 -444102000 -49495000 -92956000 -159115000 -27520000 -112759000 -72299000 -43951000 -138580000 -78294000 -60794000 9376000 -37010000 -72777000 67155000 92623000 -53075000 -9347000 -11554000 -111254000 -32487000 -11390000 -64046000 -46100000 -33000000 -6700000 -14900000 -3700000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -67155000 -92623000 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -1363181000 -626564000 -552764000 -3978398000 -1076707000 -236506000 -761467000 -969026000 -1462720000 -897266000 -948088000 -3580671000 -994042000 -1246695000 -418991000 -1020872000 -2036921000 -601851000 -52434000 -2745697000 -761663000 -785730000 -279432000 -75941000 -612876000 -2102032000 -1243800000 -199700000 -222700000 -266800000 -229400000
Investments in Property Plant and Equipment -793283000 -650024000 -527935000 -484119000 -876011000 -781909000 -732100000 -798465000 -1020924000 -796736000 -841209000 -802427000 -445495000 -256312000 -376275000 -874286000 -1017472000 -767710000 -726386000 -549304000 -353903000 -213990000 -565387000 -829115000 -1348261000 -2638008000 -1285600000 -195800000 -98200000 0 0
Payments for Acquisitions -149790000 -439156000 -313981000 -3798062000 -76589000 -114457000 -421661000 -812136000 -1740809000 -325285000 -1009690000 -3937048000 -727715000 -949261000 94346000 171708000 -263098000 0 0 -2305360000 -812362000 -684273000 124665000 360766000 -117358000 -1747167000 0 0 0 0 0
Purchases of Securities -1031742000 -66140000 -33605000 -32955000 -374231000 -21563000 -25000000 -38809000 -59523000 -391188000 -44117000 -184804000 -62822000 -672615000 -252984000 -353594000 -687327000 -157309000 -76710000 -84876000 -81480000 -90113000 -147933000 -161580000 -83125000 -55523000 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 304129000 26086000 65504000 30000000 876011000 25000000 56268000 42600000 504012000 495882000 47495000 415848000 241990000 375674000 82816000 35300000 0 0 0 600575000 631969000 0 -282545000 49998000 -504561000 63209000 600000 0 0 0 0
Other Investing Activities 307505000 502670000 257253000 306738000 -625887000 656423000 361026000 637784000 854524000 120061000 899433000 927760000 0 255819000 33106000 0 -69024000 323168000 750662000 -406732000 -145887000 202646000 591768000 503990000 1440429000 2275457000 41200000 -3900000 -124500000 -266800000 -229400000
Cash From Financing Activities -2020249000 -3052348000 -3562315000 1993940000 -2576086000 -4482264000 -1910071000 -2544743000 -1473113000 -2937735000 -1220563000 1453467000 -1009913000 -3669515000 1882645000 -313799000 153798000 -79204000 -1303463000 1647300000 -51810000 40109000 -487732000 -560096000 14257000 1592113000 918300000 -35100000 -14100000 106100000 293600000
Debt Repayment -2658525000 -3721864000 -10076809000 -12955275000 -12427699000 -9118685000 -10456671000 -14650168000 -9112020000 -5323186000 -2446191000 -4560562000 -1398697000 -6227814000 -2678639000 -3692136000 -4177763000 -4442332000 -4197795000 -3221906000 -1926974000 -2103586000 -2347065000 -1426131000 -1593889000 -1867913000 -2030800000 -1267900000 -531600000 -283300000 -588900000
Common Stock Issued 3629840000 0 338121000 1556148000 13312301000 7973719000 11668026000 -328000 -285000 277000 99000 1213840000 5313000 4166000 1642228000 11106000 156710000 217237000 11321000 103306000 193679000 341445000 8003000 1474527000 2100000 92600000 344400000 201700000 242400000 106800000 0
Common Stock Repurchased -518288000 -189355000 -4866000 -169549000 -369902000 -438854000 -410119000 -259894000 -509277000 -14435000 2919364000 -248000000 1655203000 -10994000 -87689000 -17854000 -684929000 -803266000 -206316000 -162987000 -93954000 2408685000 2454994000 -50828000 2168069000 3782314000 2976200000 0 456500000 405400000 0
Dividends Paid -2441133000 -2592472000 -2690700000 -1664193000 -2949401000 -2821642000 -2571776000 -2355885000 -2196041000 -1877158000 -1690553000 -1485240000 -1032659000 -919443000 -216756000 -1075895000 -216403000 -204652000 -194697000 -724478000 -655061000 -595874000 -563679000 -501902000 -515819000 -409348000 -227900000 -262500000 -177700000 -120700000 0
Other Financing Activities -32143000 3451343000 8871939000 15226809000 -141385000 -76802000 -139531000 14721532000 10344510000 4276767000 -3282000 6533429000 -239073000 3484570000 3223501000 4460980000 5076183000 5153809000 3284024000 5653365000 2430500000 -10561000 -39985000 -55762000 -46204000 -5540000 -143600000 1293600000 -3700000 -2100000 882500000
Effect of Forex Changes on Cash 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 0 0 0 0 0
Net Change in Cash 547363000 87692000 -477677000 342240000 155038000 -967974000 922250000 -141075000 88852000 -1104581000 532345000 385868000 1932000 -3161000000 3184174000 271562000 -427378000 592312000 -183036000 -15539000 138494000 137369000 36649000 65479000 28437000 19496000 45400000 1700000 -42500000 -5500000 71200000
Cash at Beginning of Period 621628000 533936000 1011613000 669373000 514335000 1482309000 560059000 701134000 612282000 1716863000 1184518000 798650000 796718000 3957718000 773544000 501982000 929360000 337048000 520084000 535623000 397129000 259760000 223111000 157632000 129195000 109699000 64300000 62700000 105100000 110600000 39400000
Cash at End of Period 1168991000 621628000 533936000 1011613000 669373000 514335000 1482309000 560059000 701134000 612282000 1716863000 1184518000 798650000 796718000 3957718000 773544000 501982000 929360000 337048000 520084000 535623000 397129000 259760000 223111000 157632000 129195000 109700000 64400000 62600000 105100000 110600000
Free Cash Flow 3137510000 3116580000 3109467000 1842579000 2931820000 2968887000 2861688000 2574229000 2003761000 1933684000 1859787000 1710645000 1560392000 1498898000 1344245000 731947000 438273000 505657000 446475000 533554000 598064000 669000000 238426000 -127599000 -721205000 -2108593000 -914700000 40700000 96100000 155200000 7000000
Operating Cash Flow 3930793000 3766604000 3637402000 2326698000 3807831000 3750796000 3593788000 3372694000 3024685000 2730420000 2700996000 2513072000 2005887000 1755210000 1720520000 1606233000 1455745000 1273367000 1172861000 1082858000 951967000 882990000 803813000 701516000 627056000 529415000 370900000 236500000 194300000 155200000 7000000
Capital Expenditure -793283000 -650024000 -527935000 -484119000 -876011000 -781909000 -732100000 -798465000 -1020924000 -796736000 -841209000 -802427000 -445495000 -256312000 -376275000 -874286000 -1017472000 -767710000 -726386000 -549304000 -353903000 -213990000 -565387000 -829115000 -1348261000 -2638008000 -1285600000 -195800000 -98200000 0 0

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