B&M European Value Retail S.A.
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 B&M European Value Retail S.A. generated cash of $746,000,000, which is less than the previous year. Cash used in financing activities reached the amount of -$680,000,000 last year. Net change in cash is therefore -$55,000,000.

Cash Flow

B&M European Value Retail S.A. (LSE:BME.L): Cash Flow
2015 165.63M -138.27M 32.30M
2016 142.60M -54.69M -61.70M
2017 223.64M -65.74M -77.48M
2018 197.99M -218.87M -49.97M
2019 489.34M -236.44M -257.44M
2020 542.75M 29.69M -226.94M
2021 826.62M -69.59M -969.31M
2022 491M -85M -450M
2023 782M -87M -634M
2024 746M -118M -680M

BME.L Cash Flow Statement (2015 โ€“ 2024)

2024 2023 2022 2020 2019 2019 2017 2017 2015 2015
Cash at beginning of period
237M173M218M427.27M80.55M118.84M155.55M128.75M64.94M0
Operating activities
Net income
498M436M525M428.10M139.82M252.47M229.31M178.46M154.54M57.51M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
258M242M227M215.24M213.62M236.50M36.88M34.20M20.42M52.66M
Stock-based compensation expense
3.78M3M2M2M1.42M1.24M615K317.15K235K276.84K
Deferred income tax benefit 3.78M3M2M2M1.42M1.24M615K317.15K235K276.84K
Changes in operating assets and liabilities:
Accounts receivable, net
-23M1M-12M9M693K-41.84M-1.16M-8.32M7.85M-15.39M
Inventories
-14M103M-260M-20.35M29.34M-53.32M-79.09M-124.44M-67.18M-79.33M
Accounts payable
000105.89M77.07M039.37M037.15M0
Cash generated by operating activities
746M782M491M826.62M542.75M489.34M197.99M223.64M142.60M165.63M
Investing activities
Purchases Of Investments
000-316K003.36M000
Investments In Property Plant And Equipment
-123M-93M-96M-87.91M-124.63M-134.55M-114.63M-61.38M-56.71M-53.08M
Acquisitions Net
0009.39M-8.98M-98.82M-106.43M-2.96M538K-80.90M
Cash generated by investing activities
-118M-87M-85M-69.59M29.69M-236.44M-218.87M-65.74M-54.69M-138.27M
Financing activities
Common Stock Issued
00030K60K01.32M000
Payments for dividends
-348M-366M-430M-697M-76.04M-97.73M-63.01M-188.54M-41M-13.39M
Repurchases of common stock
0001.23B-148.81M023.15M000
Repayments of term debt
-36M-3M225M-638.43M-2.03M-47.76M-9.79M136.48M-1.00M-27.80M
Cash used in financing activities
-680M-634M-450M-969.31M-226.94M-257.44M-49.97M-77.48M-61.70M32.30M
Net Change In Cash
-55M64M-45M-209.59M346.72M-13.92M-70.84M65.46M26.20M96.66M
Cash at end of period
182M237M173M217.68M427.27M104.91M84.70M194.22M91.14M96.66M
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