Reliance Infrastructure Limited
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 Reliance Infrastructure Limited generated cash of $40,974,700,000, which is more than the previous year. Cash used in financing activities reached the amount of -$36,475,900,000 last year. Net change in cash is therefore $8,647,300,000.

Cash Flow

Reliance Infrastructure Limited (LSE:RIFS.L): Cash Flow
2016 67.66B -57.35B -10.92B
2018 81.58B -7.58B -74.63B
2020 28.74B -7.94B -19.79B
2021 14.36B 4.46B -15.31B
2023 34.58B -13.33B -22.41B
2024 40.97B -4.48B -36.47B

RIFS.L Cash Flow Statement (2015 – 2023)

2023 2022 2020 2019 2017 2015
Cash at beginning of period
8.65B9.81B7.13B6.34B6.05B3.77B
Operating activities
Net income
-6.04B-24.65B-3.11B8.17B10.89B17.49B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
15.02B14.48B13.52B13.86B19.34B10.00B
Stock-based compensation expense
000000
Deferred income tax benefit 000000
Changes in operating assets and liabilities:
Accounts receivable, net
000000
Inventories
-267.6M-80.6M-103.2M-44.6M92M-565.7M
Accounts payable
000000
Cash generated by operating activities
40.97B34.58B14.36B28.74B81.58B67.66B
Investing activities
Purchases Of Investments
0-3.11B-2.78B-4.81B-6.21B-71.98B
Investments In Property Plant And Equipment
-9.26B-13.43B-9.81B-13.22B-21.48B-22.81B
Acquisitions Net
02.12B8.83B1.83B9.05B-19.61B
Cash generated by investing activities
-4.48B-13.33B4.46B-7.94B-7.58B-57.35B
Financing activities
Common Stock Issued
04.12B0000
Payments for dividends
-88.2M-79.8M-225M-196.5M-2.96B-2.60B
Repurchases of common stock
000000
Repayments of term debt
-13.55B-12.80B-11.36B-3.38B-44.08B-1.62B
Cash used in financing activities
-36.47B-22.41B-15.31B-19.79B-74.63B-10.92B
Net Change In Cash
8.64B-1.16B-773.5M1.01B-810.5M-591.3M
Cash at end of period
17.30B8.65B6.36B7.36B5.24B3.18B
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