Public Joint Stock Company Rostelecom
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 Public Joint Stock Company Rostelecom generated cash of $171,407,000,000, which is more than the previous year. Cash used in financing activities reached the amount of -$36,397,000,000 last year. Net change in cash is therefore -$12,380,000,000.

Cash Flow

Public Joint Stock Company Rostelecom (LSE:RKMD.L): Cash Flow
2014 79.54B -21.10B -49.66B
2015 80.85B -65.56B -25.11B
2016 67.17B -56.95B -12.67B
2017 71.76B -53.45B -18.60B
2018 77.24B -69.18B -1.84B
2019 99.42B -103.27B 13.41B
2020 136.79B -235.72B 110.55B
2021 152.47B -126.95B -7.17B
2022 141.06B -104.46B -33.23B
2023 171.40B -142.51B -36.39B

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

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
52.32B49.57B31.21B19.95B10.08B3.81B4.25B7.16B16.94B7.96B
Operating activities
Net income
34.41B31.02B40.81B34.00B18.52B19.43B18.90B16.94B16.82B47.75B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
151.95B141.09B140.05B119.70B67.31B60.32B56.62B55.58B60.59B60.63B
Stock-based compensation expense
4.29B4.44B3.50B3.86B4.02B3.5B2.30B1.01B1.25B1.85B
Deferred income tax benefit 4.29B4.44B3.50B3.86B4.02B3.5B2.30B1.01B1.25B1.85B
Changes in operating assets and liabilities:
Accounts receivable, net
-8.53B652M00952M00000
Inventories
-11.43B-4.88B-1.76B-243M-1.67B-1.41B232M-2.35B892M-907M
Accounts payable
0000000000
Cash generated by operating activities
171.40B141.06B152.47B136.79B99.42B77.24B71.76B67.17B80.85B79.54B
Investing activities
Purchases Of Investments
00-24.35B-14.19B-8.15B-7.35B-12.76B-9.73B-15.94B-2.11B
Investments In Property Plant And Equipment
-147.19B-116.88B-147.84B-135.98B-100.51B-73.17B-60.75B-61.85B-62.72B-57.66B
Acquisitions Net
-7.42B-3.74B-2.72B-121.09B-23.55B-8.37B-2.30B-5.21B-2.68B-391M
Cash generated by investing activities
-142.51B-104.46B-126.95B-235.72B-103.27B-69.18B-53.45B-56.95B-65.56B-21.10B
Financing activities
Common Stock Issued
00586.42B66B001M157M0815M
Payments for dividends
-11.49B-14.93B-16.79B-16.66B-11.73B-11.54B-12.19B-13.29B-7.67B-7.29B
Repurchases of common stock
-781M-580M-4.34B881.09B00-981M-314M-2.86B-14.48B
Repayments of term debt
235M-16.38B-567.98B-854.81B30.52B-576.00B1.97B-668.67B-6.55B-498.94B
Cash used in financing activities
-36.39B-33.23B-7.17B110.55B13.41B-1.84B-18.60B-12.67B-25.11B-49.66B
Net Change In Cash
-12.38B2.75B18.35B11.26B9.47B6.26B-442M-2.90B-9.78B8.98B
Cash at end of period
39.94B52.32B49.57B31.21B19.55B10.08B3.81B4.25B7.16B16.94B
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