Uniti Group
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 Uniti Group generated cash of $353,129,000, which is less than the previous year. Cash used in financing activities reached the amount of $76,643,000 last year. Net change in cash is therefore $18,461,000.

Cash Flow

Uniti Group Inc. (LSE:0LJB.L): Cash Flow
2014 0 0 0
2015 293.20M -1.07B 928.71M
2016 375.98M -535.23M 188.76M
2017 405.26M -1.01B 502.52M
2018 472.81M -480.54M -13.84M
2019 610.09M -544.78M 32.62M
2020 155.43M 1.39M -223.90M
2021 499.15M -321.22M -196.56M
2022 460.11M -396.63M -78.57M
2023 353.12M -411.31M 76.64M

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

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
43.80M58.90M77.53M142.81M38.02M59.76M171.75M142.49M18K0
Operating activities
Net income
-81.71M-9.41M122.58M-732.40M10.03M13.59M-10.94M-1.76M23.71M12.28M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
329.02M292.78M290.94M329.40M405.75M451.75M434.20M375.97M238.74M0
Stock-based compensation expense
12.49M12.75M13.84M13.72M10.80M8.06M7.71M4.84M2.90M0
Deferred income tax benefit 12.49M12.75M13.84M13.72M10.80M8.06M7.71M4.84M2.90M0
Changes in operating assets and liabilities:
Accounts receivable, net
-3.72M-4.17M24.49M12.63M25.59M-52.79M-10.52M-3.51M-215K0
Inventories
00-10000000
Accounts payable
-54.57M-30.76M27.79M37.85M-3.26M41.21M5.85M2.80M00
Cash generated by operating activities
353.12M460.11M499.15M155.43M610.09M472.81M405.26M375.98M293.20M0
Investing activities
Purchases Of Investments
-5.69M-35.54M-64.63M-318.47M-126.51M0-21.76M-11.54M00
Investments In Property Plant And Equipment
-417.00M-427.56M-385.85M-390.49M-350.48M-426.87M-235.75M-34.9M-44.41M0
Acquisitions Net
3.14M-2.26M63.6M-73.40M-324.73M-53.66M-762.44M-488.78M00
Cash generated by investing activities
-411.31M-396.63M-321.22M1.39M-544.78M-480.54M-1.01B-535.23M-1.07B0
Financing activities
Common Stock Issued
0589K672K244.12M71.50M107.83M497.09M51.85M-656K0
Payments for dividends
-107.40M-164.09M-141.37M-135.67M-138.73M-426.09M-400.21M-367.83M-156.85M0
Repurchases of common stock
-1.43M-4.91M-4.09M-1.09M-1.83M000-28.5K0
Repayments of term debt
354.07M89.41M-180.32M-314.32M135.15M-332.97M456.68M-504.74M1.08B0
Cash used in financing activities
76.64M-78.57M-196.56M-223.90M32.62M-13.84M502.52M188.76M928.71M0
Net Change In Cash
18.46M-15.1M-18.63M-65.27M104.78M-21.73M-111.98M29.25M142.48M0
Cash at end of period
62.26M43.80M58.90M77.53M142.81M38.02M59.76M171.75M142.49M0
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