B2Gold 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 B2Gold Corp. generated cash of $714,453,000, which is more than the previous year. Cash used in financing activities reached the amount of -$192,510,000 last year. Net change in cash is therefore -$345,051,000.

Cash Flow

B2Gold Corp. (TSX:BTO.TO): Cash Flow
2014 113.7M -290.14M 56.27M
2015 175.40M -294.91M 75.39M
2016 411.81M -391.84M 40.47M
2017 155M -346.84M 193.02M
2018 450.86M -273.46M -220.50M
2019 491.97M -262.79M -192.06M
2020 950.64M -337.95M -278.86M
2021 724.11M -286.27M -234.22M
2022 595.79M -388.78M -211.28M
2023 714.45M -845.33M -192.51M

BTO.TO Cash Flow Statement (2014 โ€“ 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
651.94M672.99M479.68M140.59M102.75M147.46M144.67M85.14M132.56M252.73M
Operating activities
Net income
41.58M286.72M460.82M672.41M308.85M45.12M61.56M38.6M-145.11M-666.38M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
0383.85M331.92M-69.23M-33.62M306.42M160.46M172.32M144.29M112.55M
Stock-based compensation expense
20.92M24.67M22.57M17.12M17.13M018.12M13.65M15.21M16.10M
Deferred income tax benefit 20.92M24.67M22.57M17.12M17.13M018.12M13.65M15.21M16.10M
Changes in operating assets and liabilities:
Accounts receivable, net
147K-3.91M568K3.97M-16.18M3.34M-6.76M3.72M3.05M10.09M
Inventories
-42.86M-50.27M-24.04M-24.82M-18.44M-41.18M-58.05M-17.85M7.64M-7.49M
Accounts payable
-21.37M1.18M12.07M7.03M5.30M1.36M20.38M11.93M7.17M-3.56M
Cash generated by operating activities
714.45M595.79M724.11M950.64M491.97M450.86M155M411.81M175.40M113.7M
Investing activities
Purchases Of Investments
-33.28M-7.73M0000000-1.69M
Investments In Property Plant And Equipment
-824.85M-390.32M-302.31M-352.57M-261.16M-271.59M-372.39M-350.94M-210.40M-244.22M
Acquisitions Net
35.26M25.28M-5.94M15.52M51.53M-2.5M-1.5M-6M-6.13M17.29M
Cash generated by investing activities
-845.33M-388.78M-286.27M-337.95M-262.79M-273.46M-346.84M-391.84M-294.91M-290.14M
Financing activities
Common Stock Issued
000000044.46M563K2.82M
Payments for dividends
-186.72M-170.63M-168.37M-115.26M-10.26M00000
Repurchases of common stock
0000000000
Repayments of term debt
130.51M-26.41M-36.05M-482.08M-29.39M-286.42M196.78M-135.14M89.14M-22.33M
Cash used in financing activities
-192.51M-211.28M-234.22M-278.86M-192.06M-220.50M193.02M40.47M75.39M56.27M
Net Change In Cash
-345.05M-21.05M193.31M339.08M37.84M-44.71M2.79M59.52M-47.42M-120.17M
Cash at end of period
306.89M651.94M672.99M479.68M140.59M102.75M147.46M144.67M85.14M132.56M
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