GasLog Partners LP
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 GasLog Partners LP generated cash of $277,744,000, which is more than the previous year. Cash used in financing activities reached the amount of -$302,251,000 last year. Net change in cash is therefore $52,592,000.

Cash Flow

GasLog Partners LP (NYSE:GLOP): Cash Flow
2012 -110.10K 110.10K 0
2014 78.27M -334.12M 268.62M
2015 113.23M 14.59M -114.66M
2016 144.06M -6.61M -149.66M
2017 180.12M 2.22M -96.31M
2018 185.10M -31.85M -173.58M
2019 239.06M 5.47M -281.02M
2020 166.61M -23.29M -136.47M
2021 233.38M 98.16M -289.76M
2022 277.74M 76.41M -302.25M

GLOP Cash Flow Statement (2012 – 2022)

2022 2021 2020 2019 2018 2017 2016 2015 2014 2012
Cash at beginning of period
145.53M103.73M96.88M133.37M149.45M56.50M62.67M47.24M14.40M2.29K
Operating activities
Net income
118.98M5.72M56.85M-34.76M115.51M112.83M77.34M72.04M29.16M-861.06K
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
87.49M85.49M83.05M89.30M81.59M67.72M50.01M44.25M24.63M0
Stock-based compensation expense
760K378K1.90M1.15M1.03M850K479.85K205.19K00
Deferred income tax benefit 760K378K1.90M1.15M1.03M850K479.85K205.19K00
Changes in operating assets and liabilities:
Accounts receivable, net
08.11M-7.84M6.60M-9.63M579K2.46M-3.70M-922.70K-33.86K
Inventories
97K45K317K26K-90K243K-232.43K189.24K-359.78K0
Accounts payable
-366K-2.40M-1.80M3.65M230K1.19M-843.73K-611.47K789.52K1.92M
Cash generated by operating activities
277.74M233.38M166.61M239.06M185.10M180.12M144.06M113.23M78.27M-110.10K
Investing activities
Purchases Of Investments
-50M-2.5M0-33M-38M0-1.5M-4M-26.82M-11.62M
Investments In Property Plant And Equipment
-2.54M-19.44M-23.61M-13.94M-24.17M-4.76M-5.29M-7.14M-317.95M0
Acquisitions Net
0117.56M07.46M000000
Cash generated by investing activities
76.41M98.16M-23.29M5.47M-31.85M2.22M-6.61M14.59M-334.12M110.10K
Financing activities
Common Stock Issued
16K10.20M479.98M1.99M62.51M144.29M53.82M176.53M325.93M0
Payments for dividends
-29.10M-31.87M-69.55M-231.59M-246.57M-282.44M-141.51M-231.66M-207.06M0
Repurchases of common stock
-49.24M-18.38M-996K-22.89M000000
Repayments of term debt
0-207.39M-541.24M0-197.79M0-488.32M0-611.89M0
Cash used in financing activities
-302.25M-289.76M-136.47M-281.02M-173.58M-96.31M-149.66M-114.66M268.62M0
Net Change In Cash
52.59M41.79M6.85M-36.48M-20.33M86.04M-12.21M13.16M12.78M0
Cash at end of period
198.12M145.53M103.73M96.88M129.12M142.54M50.45M60.40M27.18M2.29K
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