Canaccord Genuity Group
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 Canaccord Genuity Group generated cash of -$12,883,000, which is more than the previous year. Cash used in financing activities reached the amount of -$110,596,000 last year. Net change in cash is therefore -$152,828,000.

Cash Flow

Canaccord Genuity Group Inc. (TSX:CF-PC.TO): Cash Flow
2013 -176.53M -13.10M -130.35M
2016 205.62M -14.73M -86.11M
2018 244.06M -63.65M -10.29M
2020 365.24M -49.91M -143.91M
2021 1.09B -12.53M -191.23M
2023 -584.41M -288.11M 71.22M
2024 -12.88M -32.78M -110.59M

CF-PC.TO Cash Flow Statement (2013 – 2023)

2023 2022 2020 2019 2017 2015 2013
Cash at beginning of period
1.00B1.78B997.11M820.73M677.76M322.32M814.23M
Operating activities
Net income
-13.16M-54.74M269.80M86.55M17.07M-358.56M-18.77M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
68.06M67.96M51.19M55.46M24.00M25.33M33.77M
Stock-based compensation expense
964K59.49M146.40M42.82M95.35M51.9M60.35M
Deferred income tax benefit 964K59.49M146.40M42.82M95.35M51.9M60.35M
Changes in operating assets and liabilities:
Accounts receivable, net
9.14M83.45M-699.17M-618.63M1.18B410.70M590.09M
Inventories
0000000
Accounts payable
-238.79M-1.13B1.38B542.72M-1.05B-296.63M0
Cash generated by operating activities
-12.88M-584.41M1.09B365.24M244.06M205.62M-176.53M
Investing activities
Purchases Of Investments
0-336.15M-3M-498K-2.5M00
Investments In Property Plant And Equipment
-23.70M-28.35M-7.11M-6.35M-7.10M-14.73M-6.97M
Acquisitions Net
-7.11M-246.80M-2.41M-43.06M-56.55M0-6.13M
Cash generated by investing activities
-32.78M-288.11M-12.53M-49.91M-63.65M-14.73M-13.10M
Financing activities
Common Stock Issued
001.23M0000
Payments for dividends
-67.35M-62.25M-33.32M-41.85M-22.93M-28.83M-37.72M
Repurchases of common stock
-30.11M-76.04M-46.68M-87.04M-28.09M-50.05M-14.87M
Repayments of term debt
-19.19M113.05M-37.13M-8.80M40.73M0-13.58M
Cash used in financing activities
-110.59M71.22M-191.23M-143.91M-10.29M-86.11M-130.35M
Net Change In Cash
-152.82M-779.82M886.18M176.37M185.06M106.00M-323.22M
Cash at end of period
855.60M1.00B1.88B997.11M862.83M428.32M491.01M
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