Sealed Air
Cash Flow

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Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of Sealed Air generated cash of $516,200,000, which is less than the previous year. Cash used in financing activities reached the amount of $755,700,000 last year. Net change in cash is therefore -$110,000,000.

Cash Flow

Sealed Air Corporation (LSE:0L4F.L): Cash Flow
2014 -218.8M -126.3M -321.2M
2015 982.1M -60M -788.7M
2016 906.9M -314.8M -540.9M
2017 424.4M 1.81B -1.86B
2018 428M -266.7M -478.3M
2019 511.1M -665.6M 139.9M
2020 737M -159.8M -261.7M
2021 709.7M -125.7M -575.8M
2022 613.3M -243M -446.7M
2023 516.2M -1.37B 755.7M

0L4F.L Cash Flow Statement (2014 โ€“ 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
456.1M561M548.7M262.39M271.7M594M333.7M321.7M278.7M992.4M
Operating activities
Net income
341.6M491.3M491.2M483.9M293.2M149.4M57.9M288.9M333.2M258.1M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
233.4M184.6M186.4M174.1M150.9M131.6M120.1M103.5M213.3M266.7M
Stock-based compensation expense
34.2M52.3M45.8M42.3M34.4M29.9M38.2M50.9M51M62.2M
Deferred income tax benefit 34.2M52.3M45.8M42.3M34.4M29.9M38.2M50.9M51M62.2M
Changes in operating assets and liabilities:
Accounts receivable, net
73.4M2.6M-110.9M27.4M38.1M-900K-81.4M-33.9M68.9M-27.8M
Inventories
136M-178.5M-165.7M-25.2M12.4M-61.2M-55.4M-17.1M-38.3M-48.7M
Accounts payable
0-72.1M206.1M800K-37M42.6M154.1M228M81.4M0
Cash generated by operating activities
516.2M613.3M709.7M737M511.1M428M424.4M906.9M982.1M-218.8M
Investing activities
Purchases Of Investments
000-1-20.7M-18.6M-70.5M-46M00
Investments In Property Plant And Equipment
-244.2M-237.3M-213.1M-181.1M-189.7M-168.6M-183.8M-275.7M-184M-153.9M
Acquisitions Net
-1.16B-199.99K89.3M13.6M-455.2M-61.6M-116.5M6.89M100M-3.6M
Cash generated by investing activities
-1.37B-243M-125.7M-159.8M-665.6M-266.7M1.81B-314.8M-60M-126.3M
Financing activities
Common Stock Issued
0741.8M1.03B61.8M512.4M592.1M1.69B274.8M1.56B2.47B
Payments for dividends
-117.9M-118.5M-115.6M-100.4M-99.1M-104.1M-119.7M-121.6M-106.8M-110.9M
Repurchases of common stock
-101.7M-280.2M-403.1M-33M-67.3M-582.6M-1.30B-217M-802M-187M
Repayments of term debt
866M-11.7M-25.3M-116.2M333.1M-222.4M-437.8M-177.7M182.6M-8M
Cash used in financing activities
755.7M-446.7M-575.8M-261.7M139.9M-478.3M-1.86B-540.9M-788.7M-321.2M
Net Change In Cash
-110M-104.9M12.3M286.30M-9.30M-322.3M260.3M12M73M-713.7M
Cash at end of period
346.1M456.1M561M548.7M262.39M271.7M594M333.7M351.7M278.7M
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