Croda International
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 Croda International generated cash of $337,500,000, which is more than the previous year. Cash used in financing activities reached the amount of -$52,400,000 last year. Net change in cash is therefore -$131,400,000.

Cash Flow

Croda International Plc (LSE:CRDA.L): Cash Flow
2014 174.6M -67M -85.3M
2015 207.6M -196.5M -3.5M
2016 263.8M -107.3M -162.6M
2017 262.5M -189.5M -72.6M
2018 262M -185.1M -95.4M
2019 304.8M -112.9M -164.6M
2020 287.5M -992.4M 722.4M
2021 349.2M -218.4M -111.9M
2022 313.3M 418.1M -550.9M
2023 337.5M -409.8M -52.4M

CRDA.L Cash Flow Statement (2014 โ€“ 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
281.6M112.8M106.5M81.9M71.2M54.9M56.4M55.8M45.6M23M
Operating activities
Net income
171M649.3M320.8M201.6M223.9M238.5M237M196.7M180.7M165.3M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
126.2M120.7M113.3M81.8M66.4M54.4M51.6M47.2M36.3M35.1M
Stock-based compensation expense
-4.2M-11M29.1M4.1M-5.2M8.3M9.2M9.5M4.7M0
Deferred income tax benefit -4.2M-11M29.1M4.1M-5.2M8.3M9.2M9.5M4.7M0
Changes in operating assets and liabilities:
Accounts receivable, net
-19M-43.3M-53.2M-15.6M8.3M-26.3M-14.4M-10.9M-6.9M-11M
Inventories
117.8M-98.1M-140.9M-7M12.2M-22.2M-31M8.4M-15.1M-7.2M
Accounts payable
-69.7M7.6M91.6M15.3M-18.9M-20.8M12.1M9.7M20.6M0
Cash generated by operating activities
337.5M313.3M349.2M287.5M304.8M262M262.5M263.8M207.6M174.6M
Investing activities
Purchases Of Investments
-23.9M00-1.5M-1.3M-3.2M-1.4M399.99K00
Investments In Property Plant And Equipment
-180.4M-152.4M-158.7M-121.2M-111M-100.2M-155.8M-103.8M-92.7M-62.9M
Acquisitions Net
-200.3M583.9M-58.59M-868M500K-78.8M-26.9M-499.99K-101.6M-1.9M
Cash generated by investing activities
-409.8M418.1M-218.4M-992.4M-112.9M-185.1M-189.5M-107.3M-196.5M-67M
Financing activities
Common Stock Issued
00-14.4M615.5M0400K700K1.2M1.2M1.1M
Payments for dividends
-150.7M-144.4M-132.5M-115.9M-266.89M-110.5M-100M-230.2M-90.9M-88.1M
Repurchases of common stock
-9.8M-7.3M-2.4M-6.9M-4.3M422M0631.7M0183.7M
Repayments of term debt
125.1M-381.8M-37.6M-237.3M106.6M-422.4M27.5M-632.9M86.4M-184.8M
Cash used in financing activities
-52.4M-550.9M-111.9M722.4M-164.6M-95.4M-72.6M-162.6M-3.5M-85.3M
Net Change In Cash
-131.4M207.8M6.3M24.6M10.7M-14.6M-1.5M600K10.2M22.6M
Cash at end of period
150.2M320.6M112.8M106.5M81.9M40.3M54.9M56.4M55.8M45.6M
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