Thursday the 26th of December, 2024
 
 
   
 

Fundamentals - Annual Cash Flow

  Year Ending Dec 2018 (Update) Year Ending Dec 2017 (Update) Year Ending Dec 2016 (Update) Year Ending Dec 2015 (Update) Year Ending Dec 2014 (Update)
Net Income/Starting Line -39.22 176.74 63.71 128.85 79.21
Depreciation – Supplemental 106.52 112.82 115.74 119.72 118.21
Depreciation/Depletion 106.52 112.82 115.74 119.72 118.21
Amortization of Intangibles 3.69 2.83 4.83 6.66 6.66
Amortization 3.69 2.83 4.83 6.66 6.66
Deferred Taxes -- -- 1.76 -1.76
Unusual Items 50.00 -- 7.02
Other Non-Cash Items 1.41 1.41 -0.92 -4.06 7.10
Non-Cash Items 51.41 1.41 -0.92 2.96 7.10
Accounts Receivable 323.45 -94.12 99.90 15.96 -173.02
Inventories -1,007.11 168.44 -163.79 57.91 -143.55
Prepaid Expenses 559.24 -300.76 87.67 -276.21 208.04
Accounts Payable -26.72 13.25 1.35 5.24 -12.22
Accrued Expenses -74.17 5.22 -32.65 -8.71 -16.16
Taxes Payable -42.93 54.48 -13.93 19.97 -2.91
Other Operating Cash Flow -- -- -3.74 0.24 -0.55
Changes in Working Capital -268.24 -153.49 -25.19 -185.60 -140.37
Cash from Operating Activities -145.85 140.31 159.93 70.84 70.81
Purchase of Fixed Assets -- -0.95 -3.59 -22.45 -74.57
Purchase/Acquisition of Intangibles --
Capital Expenditures -- -0.95 -3.59 -22.45 -74.57
Sale of Fixed Assets 7.62 -- 3.74 5.01 0.63
Sale/Maturity of Investment -- -- 15.81
Purchase of Investments -- -- -- -98.72 --
Other Investing Cash Flow -- -- -- 62.37 -20.33
Other Investing Cash Flow Items, Total 7.62 -- 3.74 -31.34 -3.88
Cash from Investing Activities 7.62 -0.95 0.15 -53.79 -78.45
Other Financing Cash Flow
Financing Cash Flow Items
Cash Dividends Paid - Common
Total Cash Dividends Paid
Sale/Issuance of Common
Common Stock, Net
Sale/Issuance of Preferred
Preferred Stock, Net
Issuance (Retirement) of Stock, Net
Short Term Debt Issued 34.19 880.87 961.87 793.20 1.17M
Short Term Debt Reduction -- -1,087.37 -893.90 -965.00 -851.20
Short Term Debt, Net 34.19 -206.50 -153.31 -351.80 316.80
Long Term Debt Issued -- -- 292.92 -- --
Long Term Debt, Net -- -- 292.92 -- --
Issuance (Retirement) of Debt, Net 34.19 -206.50 139.62 -351.80 316.80
Cash from Financing Activities 34.19 -206.50 139.62 -351.80 316.80
Foreign Exchange Effects 0.06 0.00 -0.05 0.00
Net Change in Cash -104.04 -67.08 299.70 -334.80 309.16
Net Cash - Beginning Balance 728.25 795.33 495.63 830.43 521.27
Net Cash - Ending Balance 624.21 728.25 795.33 495.63 830.43
Cash Interest Paid 16.52 4.44 33.41 65.68 102.89
Cash Taxes Paid 62.38 64.80 76.58 24.74 29.32
For a more complete picture of our financial results, please review our SEC Filings

Source: LSEG

 
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