SunOpta
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 SunOpta generated cash of $14,844,000, which is less than the previous year. Cash used in financing activities reached the amount of -$50,801,000 last year. Net change in cash is therefore $8,075,000.

Cash Flow

SunOpta Inc. (NASDAQ:STKL): Cash Flow
2012 30.97M -49.74M 23.16M
2013 30.05M -33.00M 4.49M
2016 31.24M -523.02M 485.87M
2016 1.47M -19.85M 15.59M
2017 31.46M -40.12M 10.56M
2018 -11.14M -28.77M 40.03M
2019 9.80M 27.21M -38.76M
2021 91.69M 324.51M -417.68M
2022 60.57M -106.82M 46.70M
2023 14.84M 44.03M -50.80M

STKL Cash Flow Statement (2012 – 2023)

2023 2022 2020 2019 2018 2017 2016 2015 2013 2012
Cash at beginning of period
679K227K128K3.28M3.22M1.25M2.27M7.76M6.84M2.37M
Operating activities
Net income
-21.91M-9.51M-47.30M-604K-109.14M-134.56M-50.56M-3.13M-8.65M24.51M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
31.03M37.67M30.30M33.95M32.78M32.82M34.15M21.00M22.39M20.22M
Stock-based compensation expense
11.77M13.83M11.67M7.48M7.93M5.70M4.14M4.36M3.25M2.75M
Deferred income tax benefit 11.77M13.83M11.67M7.48M7.93M5.70M4.14M4.36M3.25M2.75M
Changes in operating assets and liabilities:
Accounts receivable, net
0-2.30M-746K5.06M-3.05M35.77M-39.85M17.40M4.02M-18.90M
Inventories
0-762K6.13M21.96M-16.03M27.47M-16.10M-25.73M-17.41M-19.18M
Accounts payable
0-3.40M10.18M-5.91M-6.22M-20.43M23.22M15.24M7.07M9.54M
Cash generated by operating activities
14.84M60.57M91.69M9.80M-11.14M31.46M1.47M31.24M30.05M30.97M
Investing activities
Purchases Of Investments
-394K0-12.65M0000000
Investments In Property Plant And Equipment
-46.12M-128.62M-24.75M-32.76M-31.60M-41.13M-22.56M-31.18M-34.11M-24.25M
Acquisitions Net
07.83M059.98M1.23M-1.73M254K-491.65M-5.09M-30.52M
Cash generated by investing activities
44.03M-106.82M324.51M27.21M-28.77M-40.12M-19.85M-523.02M-33.00M-49.74M
Financing activities
Common Stock Issued
0-756K28.85M979K1.30M5.03M80.44M94.08M2.56M787K
Payments for dividends
-1.73M-2.43M-4.07M-6.8M-6.8M-6.69M0000
Repurchases of common stock
-191K-756K-4.08M-394K-632K00000
Repayments of term debt
-38.89M100.46M-407.42M-12.34M-1.81M17.38M-514.68M405.08M-7.32M-100.78M
Cash used in financing activities
-50.80M46.70M-417.68M-38.76M40.03M10.56M15.59M485.87M4.49M23.16M
Net Change In Cash
8.07M452K123K-1.78M52K1.97M-1.02M-5.49M1.69M4.46M
Cash at end of period
8.75M679K251K1.49M3.28M3.22M1.25M2.27M8.53M6.84M
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