Travis Perkins
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 Travis Perkins generated cash of $217,600,000, which is less than the previous year. Cash used in financing activities reached the amount of -$250,400,000 last year. Net change in cash is therefore -$91,700,000.

Cash Flow

Travis Perkins plc (LSE:TPK.L): Cash Flow
2014 245.1M -151.7M -64.9M
2015 282.6M -276.4M -30.7M
2016 367.4M -193.9M -6.8M
2017 287.1M -133.4M -127.4M
2018 249.7M -103.8M -167.3M
2019 370.2M -115M -302.7M
2020 487.2M -9M -180.5M
2021 332.3M 139.8M -517.9M
2022 257.5M -116.6M -377.5M
2023 217.6M -58.9M -250.4M

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

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
223.2M459.8M505.6M207.9M255.4M276.8M250.5M83.8M108.3M79.8M
Operating activities
Net income
38.1M192.2M240.8M-35.6M121.1M-85.6M232.8M12.7M167.6M258.5M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
181.9M169.6M170M158.1M300.2M109.6M113.2M113.2M100.1M91.6M
Stock-based compensation expense
14.6M17M19.1M17.3M19.9M19.6M15.6M17.5M13.7M9.9M
Deferred income tax benefit 14.6M17M19.1M17.3M19.9M19.6M15.6M17.5M13.7M9.9M
Changes in operating assets and liabilities:
Accounts receivable, net
36.3M-19.2M-171.5M500.4M12.5M-141.4M-106.3M-83.3M-43M-107.7M
Inventories
200K-3.4M-204.5M70M-104.2M-49.5M-47M-5.7M-14.1M-48.5M
Accounts payable
-58.7M-53.9M224.2M-373M-36.4M83.8M-76.8M93.9M-38.8M0
Cash generated by operating activities
217.6M257.5M332.3M487.2M370.2M249.7M287.1M367.4M282.6M245.1M
Investing activities
Purchases Of Investments
0000-20.6M-17.6M-11.3M-5.7M-8.8M0
Investments In Property Plant And Equipment
-131.1M-139.1M-164.7M-102.3M-133.6M-146.9M-179M-197.5M-268.7M-150.9M
Acquisitions Net
022.5M316.8M56.7M39.2M104.4M104.2M39.69M24.79M-17.8M
Cash generated by investing activities
-58.9M-116.6M139.8M-9M-115M-103.8M-133.4M-193.9M-276.4M-151.7M
Financing activities
Common Stock Issued
03.8M17.4M6.4M200K2M15M9.7M10M14.3M
Payments for dividends
-82.1M-81.7M-105.4M0-116.2M-116.1M-113M-110.5M-100.2M-81.1M
Repurchases of common stock
0-172.1M-70.5M0-7.7M-43.4M-19.2M226.6M0231.2M
Repayments of term debt
-80M-45M-12M-14.4M0-6.5M-7M-236.3M66.1M-245.5M
Cash used in financing activities
-250.4M-377.5M-517.9M-180.5M-302.7M-167.3M-127.4M-6.8M-30.7M-64.9M
Net Change In Cash
-91.7M-224.1M-45.8M297.7M-47.5M-21.4M26.3M166.7M-24.5M28.5M
Cash at end of period
131.5M235.7M459.8M505.6M207.9M255.4M276.8M250.5M83.8M108.3M
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