Baytex Energy Corp.
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 Baytex Energy Corp. generated cash of $1,172,872,000, which is more than the previous year. Cash used in financing activities reached the amount of -$678,416,000 last year. Net change in cash is therefore $5,464,000.

Cash Flow

Baytex Energy Corp. (OTC:BTEGF): Cash Flow
2013 638.47M -456.60M -163.32M
2014 974.56M -2.36B 1.37B
2015 549.42M -597.72M 46.45M
2016 247.36M -292.27M 49.02M
2017 325.20M -352.67M 24.76M
2018 485.32M -463.27M -22.05M
2019 834.93M -617.50M -211.85M
2020 353.09M -314.46M -44.19M
2021 712.38M -310.76M -401.62M
2022 1.17B -488.99M -678.41M

BTEGF Cash Flow Statement (2013 – 2022)

2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Cash at beginning of period
005.57M002.70M247K1.14M18.36M1.83M
Operating activities
Net income
855.60M1.61B-2.43B-12.45M-325.30M87.17M-485.18M-1.13B-132.80M164.84M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
587.05M-985.77M2.87B937.33M831.50M385.63M986.27M1.97B825.74M329.67M
Stock-based compensation expense
3.15M6.38M7.21M15.89M19.53M15.50M13.88M15.34M27.46M32.34M
Deferred income tax benefit 3.15M6.38M7.21M15.89M19.53M15.50M13.88M15.34M27.46M32.34M
Changes in operating assets and liabilities:
Accounts receivable, net
0000000000
Inventories
0000000000
Accounts payable
0000000000
Cash generated by operating activities
1.17B712.38M353.09M834.93M485.32M325.20M247.36M549.42M974.56M638.47M
Investing activities
Purchases Of Investments
0000000000
Investments In Property Plant And Equipment
-524.04M-315.76M-282.62M-556.51M-498.22M-398.14M-224.9M-523.10M-789.68M-558.12M
Acquisitions Net
00000000-1.86B-3.58M
Cash generated by investing activities
-488.99M-310.76M-314.46M-617.50M-463.27M-352.67M-292.27M-597.72M-2.36B-456.60M
Financing activities
Common Stock Issued
000000109.93M606.09M1.41B10.58M
Payments for dividends
0000000-109.80M-307.10M-237.86M
Repurchases of common stock
-158.97M00000001.36B0
Repayments of term debt
0-256.30M-839.59M0-21.29M0-60.91M0-1.01B0
Cash used in financing activities
-678.41M-401.62M-44.19M-211.85M-22.05M24.76M49.02M46.45M1.37B-163.32M
Net Change In Cash
5.46M0-5.57M5.57M0-2.70M2.45M-895K-17.22M16.53M
Cash at end of period
5.46M005.57M002.70M247K1.14M18.36M