IHS Markit Ltd.
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 IHS Markit Ltd. generated cash of $1,486,200,000, which is more than the previous year. Cash used in financing activities reached the amount of -$697,600,000 last year. Net change in cash is therefore $167,500,000.

Cash Flow

IHS Markit Ltd. (LSE:0UAI.L): Cash Flow
2013 3.21B -1.62B -1.52B
2014 628.09M -324.01M -397.86M
2015 612.63M -495.95M 45.47M
2016 638.3M -982.8M 177.5M
2017 961.5M -646.3M -329.3M
2018 1.28B -2.11B 873M
2019 1.25B -271.5M -958M
2020 1.13B 205M -1.34B
2021 1.48B -598.4M -697.6M

0UAI.L Cash Flow Statement (2013 โ€“ 2021)

2021 2020 2019 2018 2017 2016 2015 2014 2013
Cash at beginning of period
125.6M111.5M120M133.8M138.9M293.1M153.15M258.36M562M
Operating activities
Net income
1.20B870.7M502.7M542.3M416.9M152.8M240.19M194.54M1.78B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
586.5M591.6M573.1M541.2M492.5M335.7M235.50M202.14M666M
Stock-based compensation expense
0000000023M
Deferred income tax benefit 0000000023M
Changes in operating assets and liabilities:
Accounts receivable, net
-68.7M1.6M-67.9M-11.8M-27.5M-8.5M56.05M36.41M276M
Inventories
0677.1M1.25B892M526.4M25.79M132.54M340.60M28M
Accounts payable
30.1M-17.3M30.9M10.9M-20M-12.5M-4.13M-11.42M0
Cash generated by operating activities
1.48B1.13B1.25B1.28B961.5M638.3M612.63M628.09M3.21B
Investing activities
Purchases Of Investments
000000000
Investments In Property Plant And Equipment
-294.3M-274.8M-278.1M-222.7M-260.2M-147.6M-122.92M-115.16M-1.62B
Acquisitions Net
-354.7M-4.7M-136.5M-1.87B-401.1M-823.5M-369.90M-210.39M0
Cash generated by investing activities
-598.4M205M-271.5M-2.11B-646.3M-982.8M-495.95M-324.01M-1.62B
Financing activities
Common Stock Issued
00000000665M
Payments for dividends
00000000-997M
Repurchases of common stock
0-950M-500M-672.5M-1.31B-605.8M-248.86M-59.92M-411M
Repayments of term debt
-832M-1.08B0-3.12B0-3.36B0-2.81B-254M
Cash used in financing activities
-697.6M-1.34B-958M873M-329.3M177.5M45.47M-397.86M-1.52B
Net Change In Cash
167.5M14.1M-8.5M-13.8M-5.1M-154.2M139.99M-105.21M66M
Cash at end of period
293.1M125.6M111.5M120M133.8M138.9M293.14M153.15M628M
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