Cash Flow Statement

15 Sheets · From 2023 to 2009
Configuration
In Million CAD. Margins, Growth Rates In %
Metric 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Operating Activities
Operating Cash Flow (OCF)
12,794.00 -6,584.00 572.00 10,258.00 11,433.00 -2,927.00 2,333.00 -2,648.00 2,908.00 17,912.00 29,303.00 50,836.00 44,049.00 4,957.00 9,591.00
Operating Cash (Net)
12,794.00 -6,584.00 572.00 10,258.00 11,433.00 -2,927.00 2,333.00 -2,648.00 2,908.00 17,912.00 29,303.00 50,836.00 44,049.00 4,957.00 9,591.00
Accounts Receivable
387.00 -75.00 -20.00 10.00 122.00 -36.00 53.00 -81.00 -130.00 -366.00 -299.00 178.00 75.00 -1,170.00 1,954.00
Accounts Payable
-492.00 -119.00 64.00 -109.00 -129.00 160.00 -113.00 64.00 15.00 337.00 313.00 -352.00 -366.00 1,312.00 - -
Working Capital
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
Investing Activities
Used Cash (Net)
-10,655.00 -7,028.00 -12,768.00 -7,467.00 -1,939.00 3,293.00 4,026.00 -15,341.00 -3,155.00 -11,333.00 -19,580.00 -31,974.00 -299.00 -29,471.00 -21,157.00
Capital Expenditure
-204.00 -481.00 -640.00 -679.00 -636.00 -737.00 -524.00 -620.00 -791.00 -886.00 -1,128.00 -1,032.00 -983.00 -1,448.00 -1,677.00
Purchases of Investments
-41,041.00 -28,587.00 -27,093.00 -37,960.00 -32,007.00 -24,674.00 -16,996.00 -34,859.00 -51,917.00 -46,749.00 -63,496.00 -86,659.00 -49,620.00 -96,598.00 -50,149.00
Sale/Maturity of Investment
29,717.00 29,208.00 30,221.00 31,540.00 30,521.00 28,882.00 22,007.00 29,278.00 51,823.00 38,315.00 44,715.00 56,882.00 50,097.00 64,033.00 44,091.00
Property, Plant, Equipment (P&PE)
-204.00 -481.00 -640.00 -679.00 -636.00 -737.00 -524.00 -620.00 -791.00 -886.00 -1,128.00 -1,032.00 -983.00 -1,448.00 -1,677.00
Acquisitions (Net)
-328.00 -1,029.00 677.00 -21.00 140.00 -956.00 -345.00 -12,147.00 -25.00 -365.00 1,128.00 -186.00 63.00 1,226.00 -15,102.00
Other Investing Activities
1,201.00 -6,139.00 -15,933.00 -347.00 43.00 778.00 -116.00 3,007.00 -2,245.00 -1,648.00 -799.00 -979.00 144.00 3,316.00 1,680.00
Financing Activities
Used Cash (Net)
-63.00 -21,626.00 -13,757.00 -2,037.00 -4,832.00 -465.00 -66.00 -7,975.00 -1,996.00 -2,737.00 -2,612.00 -10,304.00 -5,122.00 -15,980.00 -268.00
Debt Repayment
-140.00 -510.00 - - -1,200.00 -1,354.00 -406.00 -500.00 -6,741.00 -2,702.00 -1,467.00 -4,765.00 -6,562.00 -6,651.00 -6,973.00 -12,275.00
Dividends Paid
-1,312.00 -1,175.00 -1,661.00 -1,419.00 -1,896.00 -1,851.00 -2,135.00 -2,219.00 -2,010.00 -2,582.00 -2,752.00 -2,475.00 -2,980.00 -2,595.00 -2,703.00
Common Stock
1,369 200 - - 484 997 558 1,422 - - 1,089 1,379 144 6,998 1,205 4,630 -6,472
Other Financing Activities
584.00 23,117.00 15,289.00 890.00 -829.00 2,084.00 4,021.00 10,057.00 7,499.00 7,989.00 4,941.00 -8,113.00 5,396.00 23,952.00 2,068.00
Cash Balances
Begin of Period
9,134.00 9,955.00 17,368.00 19,676.00 19,941.00 26,089.00 28,386.00 40,295.00 31,653.00 32,599.00 42,142.00 48,803.00 57,408.00 93,261.00 87,466.00
End of Period
9,955.00 17,368.00 19,626.00 19,941.00 26,083.00 28,386.00 40,295.00 31,653.00 32,599.00 42,142.00 48,803.00 57,408.00 93,261.00 87,466.00 77,934.00
Change
821.00 7,413.00 2,258.00 265.00 6,142.00 2,297.00 11,909.00 -8,642.00 946.00 9,543.00 6,661.00 8,605.00 35,853.00 -5,795.00 -9,532.00
Non-Cash Balances
Depreciation and Amortization
472.00 470.00 535.00 703.00 712.00 747.00 789.00 828.00 876.00 1,127.00 1,205.00 1,421.00 1,425.00 1,384.00 2,099.00
Stock Based Compensation
- - - - - - 415.00 491.00 535.00 440.00 687.00 848.00 680.00 690.00 368.00 1,569.00 760.00 597.00
Other
1,061.00 461.00 106.00 613.00 304.00 399.00 441.00 219.00 227.00 224.00 216.00 197.00 140.00 -1,078.00 1,400.00
Highlighted metrics
Free Cash Flow (FCF)
12,590.00 -7,065.00 -68.00 9,579.00 10,797.00 -3,664.00 1,809.00 -3,268.00 2,117.00 17,026.00 28,175.00 49,804.00 43,066.00 3,509.00 7,914.00
Cash Conversion Cycle (CCC)
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
Invested Capital
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
Other Operating Inflows/Outflows