The Weir Group
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 The Weir Group generated cash of $394,300,000, which is more than the previous year. Cash used in financing activities reached the amount of -$322,500,000 last year. Net change in cash is therefore -$30,100,000.

Cash Flow

The Weir Group PLC (OTC:WEGRY): Cash Flow
2014 306M -226.8M 18M
2015 310.1M -87.9M -188M
2016 216M 7.9M -191.7M
2017 128.4M -127.5M 52.6M
2018 217.9M -509.9M 288.5M
2019 263.5M 146.5M -394.6M
2020 273.4M -70.8M -85.4M
2021 156.1M 195.2M -217.3M
2022 320.8M -68.3M -303.8M
2023 394.3M -70.6M -322.5M

WEGRY Cash Flow Statement (2014 – 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
477.5M500M374.1M272.1M277.2M284.5M257M179.3M166.6M68.6M
Operating activities
Net income
367.1M307.5M257.2M-20.7M-325.5M94.4M223M86.5M-158.3M192.5M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
109.2M120M110.8M148.1M183.1M131.8M113.6M106.5M115.9M106M
Stock-based compensation expense
7M8M10.9M9.3M12.9M8.6M7M4.1M-2.3M4.4M
Deferred income tax benefit 7M8M10.9M9.3M12.9M8.6M7M4.1M-2.3M4.4M
Changes in operating assets and liabilities:
Accounts receivable, net
15.2M49.8M-61.7M130M64.5M36.5M-113M57.5M189.3M-86.4M
Inventories
42M-128.6M-84.9M44.2M-36.8M-53.2M-64.2M7.1M25.2M-45.5M
Accounts payable
030.2M31.8M-194.1M-83.1M-22.8M62.4M-33M-127.2M0
Cash generated by operating activities
394.3M320.8M156.1M273.4M263.5M217.9M128.4M216M310.1M306M
Investing activities
Purchases Of Investments
00-24M-100K00-1.4M000
Investments In Property Plant And Equipment
-79.1M-62.7M-52.8M-78.9M-116.6M-89.1M-85.4M-65.9M-92.1M-108M
Acquisitions Net
-6.9M-17.3M214.6M-6.7M244.6M-429.3M-56.2M20.8M-14.1M-137.7M
Cash generated by investing activities
-70.6M-68.3M195.2M-70.8M146.5M-509.9M-127.5M7.9M-87.9M-226.8M
Financing activities
Common Stock Issued
00720.3M-10.9M0355.5M90M-100K0-200K
Payments for dividends
-95.9M-66.7M-29.8M0-121.7M-79.6M-74.2M-45.8M-94M-102.7M
Repurchases of common stock
0-20M-15M-10.9M-10M-800K01.28B0361.3M
Repayments of term debt
-115M-166.6M-903.4M-1.45B-153.4M-1.33B109.7M-1.42B-50.5M-237.5M
Cash used in financing activities
-322.5M-303.8M-217.3M-85.4M-394.6M288.5M52.6M-191.7M-188M18M
Net Change In Cash
-30.1M-22.5M125.9M102M-5.1M-7.3M27.5M77.7M12.7M98M
Cash at end of period
447.4M477.5M500M374.1M272.1M277.2M284.5M257M179.3M166.6M