SVC 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
Report Filing: 2024-02-28 2023-02-28 2022-02-24 2021-03-01 2020-03-02 2019-02-27 2018-03-01 2017-03-01 2016-02-24 2015-02-27 2014-02-28 2013-03-01 2012-02-29 2011-02-22 2010-02-24 2009-03-02 2008-02-28 2007-03-01 2006-03-14 2005-03-11 2004-03-15 2003-03-31 2002-03-28 2001-03-30 2000-03-30 1999-03-31 1998-03-31 1997-03-31 1996-03-29
Net Income/Starting Line -32779000 -132381000 -544603000 -311382000 259750000 185734000 215143000 223110000 166418000 197185000 133178000 151923000 190440000 21351000 193341000 133995000 330968000 169039000 129903000 126888000 238213000 142202000 131956000 126271000 111929000 87982000 59153000 51664000 11349000
Cash From Operating Activities 485549000 243127000 49904000 37604000 617722000 596953000 554223000 532520000 530893000 461745000 391089000 363908000 355102000 341444000 320116000 375436000 388229000 271553000 242306000 223118000 219405000 210245000 205362000 188345000 171621000 134400000 81225000 61743000 14140000
Depreciation and Amortization 384060000 401108000 485965000 498908000 428448000 403077000 386659000 357342000 329776000 315878000 299323000 260831000 228342000 238089000 245868000 239166000 218319000 144404000 134686000 114883000 107343000 99124000 93812000 84303000 76930000 54757000 33289000 20739000 5844000
Deferred Income Tax -1291000 -1091000 -1688000 13850000 -127000 -1047000 -236000 9000 -69000 143000 -7069000 0 16377000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Stock Based Compensation 3417000 2775000 2964000 3206000 2849000 0 2759000 2834000 2475000 2437000 2400000 1888000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 78292000 -8850000 21032000 -158522000 -2327000 1695000 -44326000 -46866000 -51549000 -43661000 -23415000 -48925000 -85269000 87486000 -109189000 8971000 -168846000 -46593000 -27990000 -29730000 -134336000 -24110000 -26540000 -23685000 -20931000 -18540000 -14643000 -12169000 -4037000
Changes in Working Capital 201346000 -18434000 43694000 -58167000 1275000 -8888000 6792000 -1166000 60580000 -8431000 -18602000 79000 3846000 -5482000 -9904000 -6696000 7788000 4703000 5707000 11077000 8185000 -6971000 6134000 1456000 3693000 10201000 3426000 1509000 984000
Accounts Receivable 21135000 -8000 -5875000 -33000 3272000 -572000 -1215000 -1213000 -2106000 0 0 0 0 0 0 0 -14089000 -2488000 -1091000 2262000 -1339000 -762000 -498000 -541000 1200000 1400000 -500000 -1600000 -200000
Inventory 0 0 5875000 33000 -3272000 0 0 0 0 0 0 0 0 0 0 0 0 2974000 5401000 0 0 0 0 0 3700000 254101000 3400000 326000 196000
Accounts Payable 144079000 -11512000 -5061000 2296000 60484000 5824000 -572000 8752000 362000 -7117000 1842000 17918000 6696000 -4424000 -11048000 -10767000 21877000 7191000 6798000 8815000 9524000 -6209000 6632000 1997000 2500000 3700000 3900000 3000000 400000
Deferred Revenue 36132000 -6914000 48755000 -60463000 -59209000 -14712000 7364000 -9918000 60218000 -1314000 -20444000 -17839000 -2850000 -1058000 1144000 4071000 -7788000 -2974000 -5401000 -11077000 -8185000 6971000 -6134000 -1456000 -3707000 -249000000 -3374000 -217000 588000
Other Working Capital 0 0 0 0 0 572000 1215000 1213000 2106000 0 0 0 0 0 0 0 7788000 0 0 11077000 8185000 -6971000 6134000 1456000 0 0 0 0 0
Cash From Investing Activities -29577000 397253000 -101310000 -51807000 -2130044000 -427742000 -733737000 -454356000 -653839000 -280890000 -570314000 -728920000 -94307000 -122203000 -78331000 -145165000 -2504066000 -393330000 -485267000 -2461000 -371610000 -142311000 -179193000 -123218000 -324977000 -557867000 -347291000 -448678000 -303652000
Investments in Property Plant and Equipment -96758000 50422000 101322000 -190030000 0 0 0 0 0 0 0 0 -69345000 -7091000 -9807000 -127133000 -2629215000 -320776000 -443104000 -10211000 -388482000 -148246000 -185799000 -134353000 -365201000 -613846000 -409799000 -491638000 -328148000
Payments for Acquisitions 96758000 -45470000 -25443000 -5314000 0 0 0 0 -15955000 -825000 -8140000 0 0 0 -5134000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities -377301000 -156834000 -152734000 -7011000 -3071963000 -445742000 -818546000 -454356000 -653839000 0 0 0 -5690000 -97892000 -63390000 -34001000 0 -2000 0 0 0 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 156432000 554087000 51412000 190030000 93892000 18000000 23438000 0 0 0 0 0 0 0 -102000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 191292000 -4952000 -75867000 -39482000 848027000 -427742000 -733737000 -454356000 -637884000 -280065000 -562174000 -728920000 -19272000 -17220000 102000 15969000 125149000 -72552000 -42163000 7750000 16872000 5935000 6606000 11135000 40224000 55979000 62508000 42960000 24496000
Cash From Financing Activities -303562000 -1542378000 907368000 24400000 1517578000 -190704000 192757000 -80950000 124794000 -191521000 181676000 376758000 -257374000 -344758000 -133836000 -231222000 1585982000 656465000 245635000 -211191000 151296000 -99559000 -11808000 -114080000 202300000 366349000 309721000 422873000 291647000
Debt Repayment -170330000 -1503860000 -62451000 -2293641000 -924000000 -738000000 -1253478000 -1613000000 -255000000 -1345000000 -738000000 -985405000 -274383000 -389626000 -1088341000 -510000000 -2264000000 -1092000000 -675000000 -715000000 -340000000 -410000000 -150000000 0 -172000000 -432000000 -261000000 -115650000 -65241000
Common Stock Issued 302760000 1504330000 984027000 2439094000 2817879000 906976000 2091890000 371956000 702000000 0 655211000 1870082000 0 0 373056000 0 343451000 641652000 199233000 267684000 0 0 159310000 0 274673000 197005000 376266000 358279000 198088000
Common Stock Repurchased -802000 -470000 -790000 -346000 -800000 -606000 -290533000 -613000 -418000 0 -167500000 -236250000 0 0 685961000 0 3374676000 1330974000 937442000 -150000000 0 0 150000000 0 0 721730000 261000000 240650000 165241000
Dividends Paid -132430000 -38044000 -6596000 -93804000 -353619000 0 -346685000 -334799000 -320631000 -312693000 -283146000 -265044000 -252119000 -252002000 -102254000 -319185000 -304087000 -220902000 -208701000 -199873000 -193824000 -185981000 -170717000 -163529000 -144580000 -107164000 -64761000 -53925000 -4556000
Other Financing Activities -302760000 -1504334000 -6822000 -26903000 -21882000 -12242000 -8437000 1495506000 -1157000 1466172000 715111000 -6625000 269128000 296870000 -2258000 597963000 435942000 -3259000 -7339000 585998000 685120000 496422000 -401000 49449000 244207000 -13222000 -1784000 -6481000 -1885000
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 289512000
Net Change in Cash 152410000 -901998000 855962000 10197000 5256000 -21493000 13243000 -2786000 1848000 -10666000 2451000 11746000 3421000 -125517000 107949000 -951000 -529855000 534688000 2674000 9466000 -909000 -31625000 14361000 -48953000 48944000 -57118000 43655000 35938000 291647000
Cash at Beginning of Period 45420000 947418000 91456000 81259000 76003000 97496000 10896000 13682000 11834000 22500000 20049000 8303000 4882000 130399000 22450000 23401000 553256000 18568000 15894000 6428000 7337000 38962000 24601000 73554000 24610000 81728000 38073000 2135000 -289512000
Cash at End of Period 197830000 45420000 947418000 91456000 81259000 76003000 24139000 10896000 13682000 11834000 22500000 20049000 8303000 4882000 130399000 22450000 23401000 553256000 18568000 15894000 6428000 7337000 38962000 24601000 73554000 24610000 81728000 38073000 2135000
Free Cash Flow 388791000 293549000 151226000 -152426000 617722000 596953000 554223000 532520000 530893000 461745000 391089000 363908000 285757000 334353000 310309000 248303000 -2240986000 -49223000 -200798000 212907000 -169077000 61999000 19563000 53992000 -193580000 -479446000 -328574000 -429895000 -314008000
Operating Cash Flow 485549000 243127000 49904000 37604000 617722000 596953000 554223000 532520000 530893000 461745000 391089000 363908000 355102000 341444000 320116000 375436000 388229000 271553000 242306000 223118000 219405000 210245000 205362000 188345000 171621000 134400000 81225000 61743000 14140000
Capital Expenditure -96758000 50422000 101322000 -190030000 0 0 0 0 0 0 0 0 -69345000 -7091000 -9807000 -127133000 -2629215000 -320776000 -443104000 -10211000 -388482000 -148246000 -185799000 -134353000 -365201000 -613846000 -409799000 -491638000 -328148000

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