Allegion
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 Allegion generated cash of $600,600,000, which is more than the previous year. Cash used in financing activities reached the amount of -$298,700,000 last year. Net change in cash is therefore $180,100,000.

Cash Flow

Allegion plc (LSE:0Y5C.L): Cash Flow
2014 255.9M -34.8M -150M
2015 257M -533.8M 195M
2016 377.5M -64M -196M
2017 347.2M -50.2M -150.9M
2018 457.8M -443.8M -183.4M
2019 488.2M -77.6M -342.2M
2020 490.3M -56.7M -321.9M
2021 488.6M -31.6M -529.3M
2022 459.5M -994.1M 437M
2023 600.6M -129.1M -298.7M

0Y5C.L Cash Flow Statement (2014 โ€“ 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
288M397.9M480.4M358.7M290.6M466.2M312.4M199.7M290.5M227.4M
Operating activities
Net income
540.4M458M483M314.3M401.8M434.9M273.3M229.1M154.3M175.2M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
111.6M97.9M83.1M81M83M86.2M66.9M66.9M53.2M36.1M
Stock-based compensation expense
26.4M24.5M23.4M23.2M23.6M18.8M18.9M17.4M14.8M14M
Deferred income tax benefit 26.4M24.5M23.4M23.2M23.6M18.8M18.9M17.4M14.8M14M
Changes in operating assets and liabilities:
Accounts receivable, net
-11.9M-53.4M31.7M-1.9M-6M-8.6M-22.7M-19.8M-13.5M-8M
Inventories
44.6M-61.7M-105.6M-7.8M5.4M-19.7M-4.4M-15.6M-5.8M3.4M
Accounts payable
-33.6M2.5M40M-1.6M-11M33.9M400K3.4M-14.7M0
Cash generated by operating activities
600.6M459.5M488.6M490.3M488.2M457.8M347.2M377.5M257M255.9M
Investing activities
Purchases Of Investments
000-3M0-14.3M0000
Investments In Property Plant And Equipment
-84.2M-64M-45.4M-47.1M-65.6M-49.1M-49.3M-42.5M-35.2M-51.5M
Acquisitions Net
-31.7M-923.1M-6.5M-12.5M-4.3M-375.9M-16.5M-35.6M-510.9M-25.2M
Cash generated by investing activities
-129.1M-994.1M-31.6M-56.7M-77.6M-443.8M-50.2M-64M-533.8M-34.8M
Financing activities
Common Stock Issued
0344.6M651.7M4.5M6.5M3.2M7.2M5.8M11M1.06B
Payments for dividends
-158.7M-143.9M-129M-117.3M-100.6M-79.4M-60.9M-46M-38.3M-30M
Repurchases of common stock
-59.9M-61M-412.8M-208.8M-226M-67.3M-60M-85.1M-30M-50.3M
Repayments of term debt
-81.6M646.2M-9.2M-200K-22.1M-36.1M600K-64.7M269.3M-56M
Cash used in financing activities
-298.7M437M-529.3M-321.9M-342.2M-183.4M-150.9M-196M195M-150M
Net Change In Cash
180.1M-109.9M-82.5M121.7M68.1M-175.6M153.8M112.7M-90.8M63.1M
Cash at end of period
468.1M288M397.9M480.4M358.7M290.6M466.2M312.4M199.7M290.5M
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