HSBA.L 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
1992
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 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 1992-12-31
Net Income/Starting Line 30348000000 17528000000 18906000000 8777000000 13347000000 19890000000 17167000000 7112000000 18867000000 18680000000 22565000000 20649000000 21872000000 19037000000 7079000000 7646000000 22709000000 21240000000 20322000000 18943000000 12303989285 9039462027 7141217325 14110109230 11976628843 10301226657 6138001719 5909853752 5198096297 4243078029 3257203715 1709310967
Cash From Operating Activities 39111000000 26434000000 104312000000 182220000000 29743000000 6469000000 -10478000000 68959000000 -1122000000 -21372000000 44977000000 -9156000000 79762000000 55742000000 6898000000 30420000000 91038000000 78733000000 7021000000 59897000000 18327000000 13433000000 12915000000 22737185757 34825818843 16131223836 11862725649 12787272664 4906051053 -1952691399.715461 16286018578 -1609209348.884474
Depreciation and Amortization 3466000000 3873000000 4286000000 5241000000 10519000000 1933000000 1862000000 5212000000 2181000000 2251000000 2330000000 2531000000 3135000000 2801000000 2538000000 12500000000 2073000000 1752000000 2213000000 2050000000 3185000000 2036000000 1293000000 1290477470 1614880849 1521709353 0 0 536188886 534684114 473344772 315471766
Deferred Income Tax -10322000000 0 13010000000 -21620000000 -4156000000 6022000000 -24495000000 16809000000 0 13640000000 0 -6119000000 -2885000000 -5689000000 3214000000 5066000000 -31485000000 -27813000000 42349000000 0 0 0 0 0 0 0 0 0 0 0 0 0
Stock Based Compensation 482000000 400000000 467000000 433000000 478000000 0 500000000 534000000 791000000 732000000 662000000 988000000 1162000000 812000000 683000000 819000000 870000000 854000000 540000000 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items -4299000000 50486000000 510000000 -906000000 -2297000000 -1303000000 -381000000 -207000000 20945000000 11262000000 6554000000 246000000 19878000000 9776000000 -458000000 22275000000 -1989000000 -1332000000 -494000000 -13129000000 -9780157142.857143 -5521350648.304745 3494410386 5264966730 -817947657.5643845 -314836417.95999527 5724723930 6877418912 491377711 225130153 -980711200.5206795 -4163317306.96313
Changes in Working Capital 19436000000 -45853000000 67133000000 190295000000 11852000000 -20523000000 -5131000000 39499000000 -40934000000 -67937000000 15858000000 -27451000000 36600000000 29005000000 -6158000000 -17886000000 98860000000 84032000000 -57909000000 52033000000 12618167857 7878888620 986372288 2071632326 22052256807 4623124242 0 0 -1319611842.511898 -6955583696.824727 13536181291 529325224
Accounts Receivable 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 0
Inventory 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 0
Accounts Payable 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 0
Deferred Revenue 19436000000 -45853000000 67133000000 190295000000 11852000000 -5703000000 -91138000000 45257000000 589000000 -31996000000 -8856000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Working Capital 0 0 0 0 0 -14820000000 86007000000 -5758000000 -41523000000 -35941000000 24714000000 -27451000000 36600000000 29005000000 -6158000000 -17886000000 98860000000 84032000000 -57909000000 52033000000 12618167857 7878888620 986372288 2071632326 22052256807 4623124242 0 0 -1319611842.511898 -6955583696.824727 13536181291 529325224
Cash From Investing Activities -62912000000 -34480000000 27536000000 -22430000000 -35318000000 -16341000000 65557000000 -15060000000 -38912000000 -4961000000 -6585000000 5653000000 -9931000000 -34973000000 -57077000000 -25093000000 -20278000000 -12076000000 -15627000000 -22729000000 -15444000000 -9051000000 -9984000000 -7529287922.392162 -27999350546.784004 -19533666528.3426 -5585862593.40078 -7062369421.515909 -2974534890.907967 1344527304 -7850127211.407609 6259384526
Investments in Property Plant and Equipment -3695000000 -4410000000 -3565000000 -3510000000 -3632000000 -3044000000 -2452000000 -2057000000 -2306000000 -2380000000 -2786000000 -2326000000 -3076000000 -3712000000 -2956000000 -4154000000 -3670000000 -3252000000 -3736000000 -2938000000 -2069175000 -1486734315.857292 -1491539165.68589 -1987990949.934281 -1514658014.10638 -1767502697.31928 -1365469814.190306 -1114840565.811556 -622720810.927746 -650375998.624205 -408259866.280102 -259354192.892785
Payments for Acquisitions -453000000 -989000000 -106000000 -603000000 -83000000 4000000 165000000 4802000000 8000000 -272000000 10682000000 20786000000 151000000 -869000000 -386000000 4038000000 -718000000 -834000000 -3104000000 -4314000000 -1625923214.285714 -44023516.147218 -881543960.594569 -12888344507.707014 1018393328 -353500539.463856 -917476691.132712 6850018 -236417578.342296 234510576 -436364712.14721 10055662566
Purchases of Securities -563561000000 -520600000000 -493042000000 -496669000000 -445907000000 -383454000000 -357264000000 -457084000000 -438376000000 -384199000000 -363979000000 -342974000000 -319008000000 -341202000000 -304629000000 -277023000000 -260980000000 -286316000000 -378103000000 -330917000000 -218320005357.14285 -65117141016.34856 -74290424712.66873 -130822080742.9203 -175189516474.6991 -99609823885.79965 -32038947298.816372 -23185601260.403465 -15741084121.391928 -16501727561.246346 -16275664161.883911 -9811475285.517117
Proceeds from Sales and Maturities of Securities 504174000000 495049000000 521190000000 476990000000 413186000000 370357000000 418352000000 430085000000 399636000000 382837000000 342539000000 329926000000 311702000000 321846000000 241341000000 223138000000 238647000000 273774000000 368696000000 315437000000 206216130357 122619523234 145121558200 268915035305 147723610052 84213218358 30081663691 18327225399 13647320600 18305895595 8984675462 6030364157
Other Investing Activities 623000000 -3530000000 3059000000 1362000000 1118000000 -204000000 6756000000 9194000000 2126000000 -947000000 6959000000 241000000 300000000 -11036000000 9553000000 28908000000 6443000000 4552000000 620000000 3000000 354973214 -65022624385.92252 -78442050361.07117 -130745907027.72136 -37179438.98020172 -2016057764.1298027 -1345632480.3279762 -1096003014.0082912 -21632981.024784565 -43775307.5997076 285486065 244187281
Cash From Financing Activities -17558000000 -6286000000 -10794000000 -4643000000 -14842000000 -16781000000 -10450000000 -8918000000 -3577000000 -1868000000 -6981000000 -8232000000 -10086000000 1402000000 11270000000 352000000 -1637000000 -564000000 -4027000000 617000000 5382057142 2470219859 -1219986051.174753 5188793014 7419722822 405973275 393440454 1801554954 795784659 198552288 1732146026 492924635
Debt Repayment -2147000000 -1777000000 -864000000 -3538000000 -4210000000 -4077000000 -3574000000 -595000000 -2157000000 -3163000000 -1662000000 -1754000000 -3777000000 -2475000000 -4637000000 -350000000 -689000000 -903000000 -1121000000 -1740000000 -1464832142.857143 -1923949424.176532 -963410487.772983 0 0 0 -322356675.262845 -154125423.844916 0 0 0 0
Common Stock Issued 1996000000 0 1996000000 1497000000 -73317000000 6134000000 5196000000 2547000000 4058000000 5852000000 297000000 594000000 96000000 193000000 18410000000 2627000000 704000000 1229000000 2265000000 581000000 845480357 337166787 111815817 5660772859 4991743807 27617229 16531111 22262561 378577167 12507230 251464410 665827430
Common Stock Repurchased -10429000000 -4642000000 -5543000000 -579000000 -859000000 -8076000000 -3067000000 -4335000000 -463000000 -234000000 -32000000 -25000000 -361000000 8199000000 -227000000 -1002000000 -636000000 -575000000 -821000000 -345000000 -258146428.571429 -50024965.772731 -823640352.789039 -830445437.029514 0 0 -99186669.311645 0 0 0 0 0
Dividends Paid -12196000000 -6970000000 -6383000000 -2023000000 -9773000000 0 -9005000000 -9157000000 -7498000000 -7184000000 -6987000000 -6498000000 -5587000000 -4449000000 -4533000000 -7211000000 -6003000000 -5927000000 -5935000000 -4425000000 -4244410714.285714 -3610781992.429733 -3522188803.161734 0 0 0 0 0 0 0 0 0
Other Financing Activities 5218000000 7103000000 90699000000 223411000000 73317000000 -6399000000 106993000000 2622000000 2483000000 2861000000 1403000000 -549000000 -457000000 -66000000 2257000000 6288000000 4987000000 5612000000 1585000000 6546000000 10503966071 7717809454 3977437775 358465592 2427979015 378356046 798452687 1933417816 417207491 186045057 1480681616 -172902795.26185697
Effect of Forex Changes on Cash 10621000000 -38029000000 -15345000000 19434000000 1248000000 -9677000000 18233000000 -14294000000 -13827000000 -16779000000 -438000000 1594000000 -8372000000 1139000000 10803000000 -23816000000 12400000000 8086000000 -7016000000 5245000000 -4245057142.8571434 -3610219859.8695335 -3417013948.825247 -9239455990.261679 -494648188.171347 69043074 -6276863056.271904 -5724903243.483919 180789912 -1607179150.446352 507366428 6034914231
Net Change in Cash -30738000000 -52361000000 105709000000 174581000000 -19169000000 -36330000000 62862000000 30687000000 -57438000000 -44980000000 30973000000 -10141000000 51373000000 23310000000 -28106000000 -18137000000 81523000000 74179000000 -19649000000 43030000000 4020000000 3242000000 -1705999999.9999998 11157234859 5660973709 -10917090878.911114 393440454 1801554954 -57172878.422647476 -2856338820.880821 9990533104 11029378308
Cash at Beginning of Period 521671000000 574032000000 468323000000 293742000000 312911000000 337412000000 274550000000 243863000000 301301000000 346281000000 315308000000 325449000000 274076000000 250766000000 278872000000 297009000000 215486000000 141307000000 160956000000 117558000000 3641000000 4417000000 6185000000 -3661166539.610467 533277260 15993137687 0 0 8064466283 55619655113 42633571977 32684695069
Cash at End of Period 490933000000 521671000000 574032000000 468323000000 293742000000 301082000000 337412000000 274550000000 243863000000 301301000000 346281000000 315308000000 325449000000 274076000000 250766000000 278872000000 297009000000 215486000000 141307000000 160588000000 7661000000 7659000000 4479000000 7496068319 6194250969 5076046808 393440454 1801554954 8007293405 52763316292 52624105082 43714073377
Free Cash Flow 35416000000 22024000000 100747000000 178710000000 26111000000 3425000000 -12930000000 66902000000 -3428000000 -23752000000 42191000000 -11482000000 76686000000 52030000000 3942000000 26266000000 87368000000 75481000000 3285000000 56959000000 16257825000 11946265684 11423460834 20749194807 33311160828 14363721138 10497255835 11672432099 4283330242 -2603067398.339666 15877758712 -1868563541.777259
Operating Cash Flow 39111000000 26434000000 104312000000 182220000000 29743000000 6469000000 -10478000000 68959000000 -1122000000 -21372000000 44977000000 -9156000000 79762000000 55742000000 6898000000 30420000000 91038000000 78733000000 7021000000 59897000000 18327000000 13433000000 12915000000 22737185757 34825818843 16131223836 11862725649 12787272664 4906051053 -1952691399.715461 16286018578 -1609209348.884474
Capital Expenditure -3695000000 -4410000000 -3565000000 -3510000000 -3632000000 -3044000000 -2452000000 -2057000000 -2306000000 -2380000000 -2786000000 -2326000000 -3076000000 -3712000000 -2956000000 -4154000000 -3670000000 -3252000000 -3736000000 -2938000000 -2069175000 -1486734315.857292 -1491539165.68589 -1987990949.934281 -1514658014.10638 -1767502697.31928 -1365469814.190306 -1114840565.811556 -622720810.927746 -650375998.624205 -408259866.280102 -259354192.892785

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