CGI
Cash Flow

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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 CGI generated cash of $2,204,983,000, which is more than the previous year. Cash used in financing activities reached the amount of -$1,607,657,000 last year. Net change in cash is therefore -$143,354,000.

Cash Flow

CGI Inc. (TSX:GIB-A.TO): Cash Flow
2015 1.28B -257.12M -1.30B
2016 1.33B -382.73M -666.30M
2017 1.35B -592.25M -1.18B
2018 1.49B -577.41M -879.04M
2019 1.63B -950.80M -629.10M
2020 1.93B -572.45M 94.17M
2021 2.11B -397.54M -1.65B
2022 1.86B -911.94M -1.59B
2023 2.11B -561.85M -1.19B
2024 2.20B -775.38M -1.60B

GIB-A.TO Cash Flow Statement (2015 – 2024)

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Cash at beginning of period
1.83B1.47B2.15B1.70B213.83M184.09M165.87M596.52M305.26M535.71M
Operating activities
Net income
1.69B1.63B1.46B1.36B1.11B1.26B1.14B1.03B1.06B977.55M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
506.36M519.64M474.62M510.57M565.69M392.30M392.67M377.20M400.06M424.04M
Stock-based compensation expense
058.21M48.99M45.59M37.35M39.44M034.44M38.29M30.41M
Deferred income tax benefit 058.21M48.99M45.59M37.35M39.44M034.44M38.29M30.41M
Changes in operating assets and liabilities:
Accounts receivable, net
97.36M-31.12M-47.78M-42.33M225.44M205.54M-106.07M-164.45M-35.82M23.33M
Inventories
076.55M-116.26M-12.35M79.80M-161.03M8.29M-8.05M-102.35M23.55M
Accounts payable
22.15M-117.64M018.48M-37.74M-61.25M121.23M-81.19M-18.50M-54.24M
Cash generated by operating activities
2.20B2.11B1.86B2.11B1.93B1.63B1.49B1.35B1.33B1.28B
Investing activities
Purchases Of Investments
-161.84M-174.40M-16.78M-6.95M-10.59M-10.41M-16.23M-5.15M-14.70M-14.99M
Investments In Property Plant And Equipment
-360.69M-306.96M-293.75M-235.74M-242.59M-268.03M-238.70M-218.93M-266.47M-193.84M
Acquisitions Net
-374.58M-13.03M-571.91M-98.92M-266.93M-620.01M-244.63M-283.06M-38.44M-56.10M
Cash generated by investing activities
-775.38M-561.85M-911.94M-397.54M-572.45M-950.80M-577.41M-592.25M-382.73M-257.12M
Financing activities
Common Stock Issued
76.52M88.31M41.69M61.13M57.30M63.60M77.72M53.71M89.48M53.68M
Payments for dividends
0000000000
Repurchases of common stock
-1.00B-862.47M-983.69M-1.53B-1.12B-1.16B-818.86M-1.24B-549.08M-334.16M
Repayments of term debt
-569.95M-296.40M-668.68M-2.05B-310.09M468.83M-150.38M9.96M-223.15M-901.56M
Cash used in financing activities
-1.60B-1.19B-1.59B-1.65B94.17M-629.10M-879.04M-1.18B-666.30M-1.30B
Net Change In Cash
-143.35M366.89M-684.54M-8.77M1.49B29.74M18.21M-430.65M291.26M-230.45M
Cash at end of period
1.69B1.83B1.47B1.69B1.70B213.83M184.09M165.87M596.52M305.26M
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