Swiss Prime Site AG
Cash Flow

Last updated:

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 Swiss Prime Site AG generated cash of $430,585,000, which is more than the previous year. Cash used in financing activities reached the amount of -$137,037,000 last year. Net change in cash is therefore $868,000.

Cash Flow

Swiss Prime Site AG (LSE:0QOG.L): Cash Flow
2014 729.72M -280.35M -395.83M
2015 388.42M 100.40M -511.09M
2016 277.71M -365.52M 13.20M
2017 458.08M -394.61M -64.65M
2018 334.40M -495.63M 186.61M
2019 406.62M -338.59M -79.49M
2020 298.49M 236.02M -564.83M
2021 442.38M -108.71M -361.75M
2022 364.85M -214.28M -244.02M
2023 430.58M -292.68M -137.03M

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

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
21.20M114.65M142.75M173.06M184.53M159.14M160.32M234.92M257.19M203.66M
Operating activities
Net income
236.01M404.42M498.89M610.51M607.58M310.31M305.33M312.09M355.90M285.76M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
5.65M477K14.25M8.44M16.12M15.34M13.78M19.30M30.62M28.16M
Stock-based compensation expense
1.77M1.75M1.72M1.55M2.13M1.51M1.21M1.40M1.38M1.40M
Deferred income tax benefit 1.77M1.75M1.72M1.55M2.13M1.51M1.21M1.40M1.38M1.40M
Changes in operating assets and liabilities:
Accounts receivable, net
-8.02M14.08M10.64M-14.73M-19.47M6.37M21.90M2.02M425K1.7M
Inventories
-5.19M-3.08M16.70M-1.71M-13.51M-23.02M10.78M-2.54M47.05M-16.50M
Accounts payable
0000000000
Cash generated by operating activities
430.58M364.85M442.38M298.49M406.62M334.40M458.08M277.71M388.42M729.72M
Investing activities
Purchases Of Investments
0000000000
Investments In Property Plant And Equipment
-170K-4.01M-5.06M-6.81M-17.60M-14.92M-14.58M-17.96M-14.10M-10.83M
Acquisitions Net
0-118.73M00-36.73M-14.43M-72.64M-54.98M-145.30M411K
Cash generated by investing activities
-292.68M-214.28M-108.71M236.02M-338.59M-495.63M-394.61M-365.52M100.40M-280.35M
Financing activities
Common Stock Issued
0415.15M2.28B238.25M204.31M117.25M043.55M2.60B6.92B
Payments for dividends
-260.79M-256.97M-254.49M-288.67M-288.59M-271.61M-264.47M-259.60M-235.61M-217.80M
Repurchases of common stock
-2.69M-3.08M-2.90M-4.97M-2.50M-2.25M-2.78M-2.85M-2.43M-736K
Repayments of term debt
185.16M59.93M-26.10M-333.57M319.91M-415.5M385.20M-478.95M-578.00M-65.74M
Cash used in financing activities
-137.03M-244.02M-361.75M-564.83M-79.49M186.61M-64.65M13.20M-511.09M-395.83M
Net Change In Cash
868K-93.45M-28.09M-30.31M-11.46M25.38M-1.17M-74.60M-22.26M53.53M
Cash at end of period
22.06M21.20M114.65M142.75M173.06M184.53M159.14M160.32M234.92M257.19M
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