LandBridge Company
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 LandBridge Company generated cash of $53,042,000, which is more than the previous year. Cash used in financing activities reached the amount of -$37,798,000 last year. Net change in cash is therefore $12,472,000.

Cash Flow

LandBridge Company LLC (NYSE:LB): Cash Flow
2010 1.17B -162M -387M
2011 1.28B -106M -1.85B
2011 1.28B -106M -1.85B
2012 1.26B -226M -1.23B
2016 1.86B -443M -558M
2018 1.40B -698M -1.12B
2020 1.23B -480M -666M
2021 2.03B -219M 610M
2022 20.5M -696K -7.70M
2023 53.04M -2.77M -37.79M

LB Cash Flow Statement (2010 – 2023)

2023 2022 2020 2019 2017 2015 2012 2011 2011 2010
Cash at beginning of period
25.35M13.25M1.49B1.41B1.93B1.68B1.13B1.80B1.80B1.17B
Operating activities
Net income
63.17M-6.36M844M-366M983M1.25B850M805M805M448M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
8.76M6.72M521M588M571M457M391M394M394M393M
Stock-based compensation expense
-17.23M36.36M50M87M102M97M51M64M64M40M
Deferred income tax benefit -17.23M36.36M50M87M102M97M51M64M64M40M
Changes in operating assets and liabilities:
Accounts receivable, net
-2.08M-6.34M38M31M-13M-10M-152M-11M-11M22M
Inventories
003M-40M-137M-92M-27M9M9M156M
Accounts payable
362K-1.58M166M-93M50M49M00112M17M
Cash generated by operating activities
53.04M20.5M2.03B1.23B1.40B1.86B1.26B1.28B1.28B1.17B
Investing activities
Purchases Of Investments
0000-10M-60M00-207M0
Investments In Property Plant And Equipment
-2.78M-3.29M-228M-458M-707M-727M00-274M0
Acquisitions Net
02.59M00085M032M32M9M
Cash generated by investing activities
-2.77M-696K-219M-480M-698M-443M-226M-106M-106M-162M
Financing activities
Common Stock Issued
008M1M629M00000
Payments for dividends
-105.16M-1.13M-83M-332M-686M-1.17B-1.14B-1.48B-1.48B-193M
Repurchases of common stock
00-12M-13M-446M-483M-1.19B-207M-119M0
Repayments of term debt
72.58M-6.5M-2.49B-973M-584M-995M0-659M-645M-675M
Cash used in financing activities
-37.79M-7.70M610M-666M-1.12B-558M-1.23B-1.85B-1.85B-387M
Net Change In Cash
12.47M12.09M2.43B86M-419M867M-195M-674M-674M631M
Cash at end of period
37.82M25.35M3.93B1.49B1.51B2.54B935M1.13B1.13B1.80B
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