Antofagasta
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 Antofagasta generated cash of $2,333,000,000, which is more than the previous year. Cash used in financing activities reached the amount of -$402,000,000 last year. Net change in cash is therefore -$165,700,000.

Cash Flow

Antofagasta PLC (LSE:70GD.L): Cash Flow
2014 1.82B -1.23B -326.3M
2015 392.6M -638.9M 244.8M
2016 1.13B -1.16B -76.3M
2017 2.09B -679.3M -1.05B
2018 1.31B -399.8M -934.1M
2019 2.09B -1.65B -809.6M
2020 2.05B -2.18B 717.1M
2021 3.67B -2.20B -1.94B
2022 1.87B -477.5M -1.33B
2023 2.33B -2.09B -402M

70GD.L Cash Flow Statement (2014 – 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
810.4M743.4M1.24B653.7M1.03B1.08B716.3M807.5M845.4M613.7M
Operating activities
Net income
1.96B2.55B3.47B1.41B1.34B1.25B1.83B319.7M1.11B1.57B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
1.21B1.14B1.07B1.04B914.3M760.5M581.1M578.4M576.1M606M
Stock-based compensation expense
12.6M13.1M9M17.2M7.7M3.9M10.1M3.4M4M5.8M
Deferred income tax benefit 12.6M13.1M9M17.2M7.7M3.9M10.1M3.4M4M5.8M
Changes in operating assets and liabilities:
Accounts receivable, net
-57.9M27M-206.8M-259.89M211.5M-151.5M5.9M-124.9M137.7M124.8M
Inventories
-31.6M-180.7M10.9M-13.6M-7.6M-81.7M-55M3.9M60.5M32.1M
Accounts payable
57.9M-27M206.8M259.89M-211.5M00000
Cash generated by operating activities
2.33B1.87B3.67B2.05B2.09B1.31B2.09B1.13B392.6M1.82B
Investing activities
Purchases Of Investments
-964.3M-66.5M-543.7M-886.3M-676.5M00-408.1M-200K-5.9M
Investments In Property Plant And Equipment
-2.12B-1.87B-1.77B-1.30B-1.07B-872.9M-901.3M-802.1M-1.12B-1.64B
Acquisitions Net
883.4M-66.5M-33.5M-7.2M-1.8M145.2M3.1M30M-29.9M-38.5M
Cash generated by investing activities
-2.09B-477.5M-2.20B-2.18B-1.65B-399.8M-679.3M-1.16B-638.9M-1.23B
Financing activities
Common Stock Issued
0000000000
Payments for dividends
-613.3M-1.26B-710.9M-131.2M-470.4M-467M-252.4M-30.7M-127.4M-964.4M
Repurchases of common stock
0000000000
Repayments of term debt
680.5M114.6M-694.7M-1.39B153.3M-733.8M-453.5M-693.1M449.5M-570.9M
Cash used in financing activities
-402M-1.33B-1.94B717.1M-809.6M-934.1M-1.05B-76.3M244.8M-326.3M
Net Change In Cash
-165.7M67M-503.4M593.1M-380.7M-49.2M367.3M-91.2M-37.9M231.7M
Cash at end of period
644.7M810.4M743.4M1.24B653.7M1.03B1.08B716.3M807.5M845.4M
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