AU 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
Report Filing: 2023-12-31 2023-03-17 2022-03-30 2021-03-26 2020-03-27 2019-03-29 2018-03-29 2017-03-31 2016-03-31 2015-04-02 2014-04-14 2013-04-26 2012-04-23 2011-05-31 2010-05-18 2008-12-31 2007-12-31 2006-12-31 2005-12-31 2004-12-31 2003-12-31 2003-04-07 2002-06-28 2000-12-31 1999-12-31 1998-12-31 1997-12-31
Net Income/Starting Line -235000000 489000000 958000000 1589000000 619000000 278000000 -63000000 269000000 257000000 216000000 -2533000000 848000000 2102151603 405000000 -158916818.628899 -563000000 -814000000 -142000000 -292000000 60000000 250000000 356000000 364000000 166000000 434200000 317500000 49900000
Cash From Operating Activities 981000000 1804000000 1268000000 1654000000 1047000000 857000000 997000000 1186000000 1139000000 1220000000 1246000000 1700000000 2427618858 -942000000 512245943 -3127000000 561000000 770000000 347000000 492000000 453000000 584000000 333000000 113000000 252600000 166100000 125600000
Depreciation and Amortization 658000000 633000000 477000000 570000000 583000000 630000000 823000000 809000000 777000000 786000000 799000000 794000000 693941797 692000000 627674015 615000000 655000000 699000000 593000000 412000000 321000000 333000000 249000000 237000000 196300000 135500000 42500000
Deferred Income Tax -1424000000 -18000000 -22000000 -16000000 -42000000 0 0 0 0 0 0 -74000000 299000000 138000000 -199000000 -72000000 -73000000 -34000000 -191000000 0 79000000 -62000000 0 0 0 0 0
Stock Based Compensation 15000000 18000000 22000000 16000000 42000000 0 33000000 37000000 33000000 39000000 30000000 88000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 2060000000 819000000 -220000000 -267000000 10000000 80000000 393000000 184000000 16000000 261000000 3230000000 88000000 227926230 -1996000000 -1643088811.8766265 93000000 123000000 10000000 250000000 105000000 17000000 -27000000 -263000000 -247000000 -365800000 -289800000 -17800000
Changes in Working Capital -93000000 -137000000 53000000 -238000000 -165000000 -131000000 -156000000 -76000000 89000000 -43000000 -250000000 -195000000 -124560011.89827 -299000000 -128840489.783532 -239000000 -170000000 -32000000 -13000000 -85000000 -106000000 -16000000 -17000000 -43000000 -12100000 2900000 51000000
Accounts Receivable -117000000 -149000000 -49000000 -163000000 -138000000 -72000000 -86000000 -131000000 108000000 52000000 69000000 -117000000 -13000000 -142000000 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -58000000 -54000000 58000000 -83000000 -67000000 -9000000 -67000000 -48000000 99000000 64000000 -142000000 -324000000 -460314312.627039 -236000000 85893659 -131000000 -240000000 -165000000 -58000000 -56000000 -87000000 -54000000 22000000 -35000000 4100000 51200000 43200000
Accounts Payable 82000000 66000000 44000000 8000000 40000000 -50000000 -3000000 103000000 0 0 0 0 222754300 79000000 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue 0 0 0 0 0 -50000000 -3000000 103000000 -118000000 -159000000 -177000000 246000000 126000000 0 -214734149.63922 -108000000 70000000 133000000 45000000 -29000000 -19000000 38000000 -39000000 -8000000 -16200000 -48300000 7800000
Other Working Capital 0 0 0 0 0 50000000 3000000 -103000000 0 0 0 0 0.7287690043449402 0 0.8556880056858063 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -1018000000 -1461000000 -940000000 -476000000 -743000000 -335000000 -862000000 -702000000 80000000 -943000000 -2040000000 -2651000000 -1421967180.60582 -871000000 -270957917.525829 -8640000000 -1031000000 -611000000 -624000000 -806000000 -307000000 -81000000 -148000000 -633000000 -464900000 -107700000 -109300000
Investments in Property Plant and Equipment -1042000000 -1028000000 -1028000000 -702000000 -703000000 -652000000 -830000000 -711000000 -667000000 -1018000000 -1569000000 -1837000000 -1284765257.052204 -973000000 -1172705867.051788 -9846000000 -1055000000 -811000000 -710000000 -585000000 -363000000 -261000000 -298000000 -304000000 -217600000 -184600000 -82400000
Payments for Acquisitions 14000000 8000000 2000000 29000000 -11000000 -8000000 -27000000 -1000000 802000000 40000000 -464000000 -684000000 -106464726.587675 -43000000 -358477324.886672 48000000 30000000 66000000 12000000 -171000000 6000000 1000000 -1000000 -345000000 -468300000 0 0
Purchases of Securities -9000000 -16000000 -4000000 -8000000 -9000000 -113000000 -91000000 -73000000 -86000000 -79000000 -91000000 -97000000 -147000000 -114000000 -101609219.072186 -769000000 -27000000 -20000000 -27000000 -20000000 -1000000 -34000000 -3000000 0 0 0 0
Proceeds from Sales and Maturities of Securities 20000000 -8000000 1028000000 9000000 3000000 98000000 78000000 61000000 81000000 73000000 81000000 86000000 80809082 142000000 92125691 729000000 25000000 11000000 1000000 10000000 56000000 158000000 115000000 0 0 0 0
Other Investing Activities -1000000 -417000000 -938000000 196000000 -23000000 340000000 8000000 22000000 -50000000 41000000 3000000 -119000000 35453720 117000000 1269708801 1198000000 -4000000 143000000 100000000 -40000000 -5000000 55000000 39000000 16000000 221000000 76900000 -26900000
Cash From Financing Activities 24000000 -323000000 -456000000 -329000000 -177000000 -393000000 -148000000 -763000000 -1186000000 -421000000 560000000 736000000 -434162907.143919 1194000000 220695223 13896000000 462000000 119000000 200000000 104000000 -107000000 -356000000 -131000000 260000000 487000000 -37300000 -24900000
Debt Repayment -255000000 -266000000 -883000000 -2357000000 -165000000 -967000000 -767000000 -1333000000 -1288000000 -761000000 -1486000000 -217000000 -243790590.451638 -1642000000 -3272087812.041912 -5854000000 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 0 0 0 0 0 0 0 0 0 0 0 2000000 8675821 798000000 322981837 13592000000 34000000 512000000 9000000 3000000 10000000 18000000 7000000 2000000 3500000 500000 0
Common Stock Repurchased -19000000 0 0 0 0 0 0 0 0 0 0 1432000000 -39165138.06950599 -20000000 3245398457 -421000000 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid -107000000 -203000000 -240000000 -47000000 -43000000 0 -58000000 -15000000 -5000000 -17000000 -62000000 -215000000 -159387239.105647 -117000000 -64217026.453621 -455000000 -144000000 -132000000 -169000000 -198000000 -314000000 -260000000 0 0 0 0 -75000000
Other Financing Activities -142000000 146000000 667000000 2075000000 31000000 613000000 677000000 585000000 107000000 357000000 2108000000 -266000000 -495761.24138605595 2175000000 -11380232.536085129 7034000000 572000000 -261000000 360000000 299000000 197000000 -114000000 -138000000 258000000 483500000 -37800000 50100000
Effect of Forex Changes on Cash -138000000 -68000000 -48000000 25000000 0 -5000000 3000000 10000000 -17000000 -16000000 -30000000 -5000000 59987110 105000000 -91041860.288679 63000000 14000000 -3000000 -3000000 17000000 53000000 75000000 -58000000 -38000000 -35800000 -36100000 0
Net Change in Cash -137000000 -48000000 -176000000 874000000 127000000 124000000 -10000000 -269000000 16000000 -160000000 -264000000 -220000000 631475881 -514000000 370941389 2192000000 6000000 275000000 -80000000 -193000000 92000000 222000000 -4000000 -298000000 238900000 -15000000 -8600000
Cash at Beginning of Period 1135000000 1154000000 1330000000 456000000 329000000 205000000 215000000 484000000 468000000 628000000 892000000 1112000000 477046254 1100000000 736734577 3246000000 471000000 196000000 276000000 505000000 413000000 191000000 195000000 493000000 253600000 239100000 23600000
Cash at End of Period 998000000 1106000000 1154000000 1330000000 456000000 329000000 205000000 215000000 484000000 468000000 628000000 892000000 1108522135 586000000 1107675966 5438000000 477000000 471000000 196000000 312000000 505000000 413000000 191000000 195000000 492500000 224100000 15000000
Free Cash Flow -61000000 776000000 240000000 952000000 344000000 205000000 167000000 475000000 472000000 202000000 -323000000 -137000000 1142853601 -1915000000 -660459923.9692081 -12973000000 -494000000 -41000000 -363000000 -93000000 90000000 323000000 35000000 -191000000 35000000 -18500000 43200000
Operating Cash Flow 981000000 1804000000 1268000000 1654000000 1047000000 857000000 997000000 1186000000 1139000000 1220000000 1246000000 1700000000 2427618858 -942000000 512245943 -3127000000 561000000 770000000 347000000 492000000 453000000 584000000 333000000 113000000 252600000 166100000 125600000
Capital Expenditure -1042000000 -1028000000 -1028000000 -702000000 -703000000 -652000000 -830000000 -711000000 -667000000 -1018000000 -1569000000 -1837000000 -1284765257.052204 -973000000 -1172705867.051788 -9846000000 -1055000000 -811000000 -710000000 -585000000 -363000000 -261000000 -298000000 -304000000 -217600000 -184600000 -82400000

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