REA Group Limited (REA.AX)

AUD 237.43

(-2.52%)

Annual Cash Flows

(In AUD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow 589.4 Million 472.7 Million 487.6 Million 321.4 Million 419.14 Million 364.05 Million
Net Income 302.8 Million 356.1 Million 384.8 Million 322.7 Million 112.37 Million 104.99 Million
Depreciation & Amortization 113.5 Million 91.8 Million 93.1 Million 82.6 Million 78.62 Million 12.52 Million
Deferred income taxes - 800 Thousand -11.8 Million 25.2 Million -8.56 Million -2.59 Million
Stock-based compensation 12.6 Million 9.7 Million 10.4 Million 9.1 Million 4.93 Million 2.21 Million
Change in working capital -14.2 Million 7.9 Million 28.5 Million -96.9 Million 64.54 Million 2.27 Million
Other non-cash items 523.5 Million 6.4 Million -17.4 Million -21.3 Million 167.23 Million 244.63 Million
Investing Cash Flow -205.2 Million -133.6 Million -194.7 Million -381.5 Million -101.17 Million -64.73 Million
Investments in PPE -125 Million -117.6 Million -95 Million -66.9 Million -73.35 Million -4.01 Million
Acquisitions -58.9 Million -1 Million 400 Thousand -268.8 Million -16.51 Million 3.23 Million
Investment purchases -22.7 Million -16 Million -100.1 Million -45.8 Million -11.3 Million -9000.00
Sales/Maturities of investments 1.4 Million 127.1 Million 187.1 Million 378.8 Million 90.34 Million -3.22 Million
Other Investing Activities -142.1 Million -126.1 Million -187.1 Million -378.8 Million -90.34 Million -60.72 Million
Financing Cash Flow -439.4 Million -329.3 Million -219.4 Million 11.9 Million -233.51 Million -277.69 Million
Debt repayment -192.5 Million -103.8 Million -9 Million -166.2 Million -76.96 Million -122.67 Million
Dividends payments -224.6 Million -216.7 Million -194.2 Million -150.4 Million -155.42 Million -154.43 Million
Common Stock Repurchased -22 Million -8.4 Million -16 Million -3.7 Million -344 Thousand -587 Thousand
Common Stock Issuance - - - 332.4 Million - 123.26 Million
Other Financing Activities -300 Thousand -400 Thousand -200 Thousand -200 Thousand -782 Thousand -123.59 Million
Accounts receivables -141.4 Million -800 Thousand -13.1 Million -34 Million 19.17 Million 2.27 Million
Accounts payables 32.2 Million 9.5 Million 13.3 Million 26.1 Million 30.19 Million 2.12 Million
Inventory - - - - - -4.56 Million
Other working capital 95 Million -800 Thousand 28.3 Million -89 Million 15.17 Million 2.44 Million
Cash at beginning of period 259.8 Million 248.2 Million 168.9 Million 222.84 Million 137.89 Million 115.84 Million
Cash at end of period 204.2 Million 259.8 Million 248.2 Million 168.9 Million 222.84 Million 137.89 Million
Capital Expenditure -125 Million -117.6 Million -95 Million -66.9 Million -73.35 Million -4.01 Million
Effect of forex changes on cash -400 Thousand 1.8 Million 900 Thousand -800 Thousand 491 Thousand 435 Thousand
Net cash flow / Change in cash -55.6 Million 11.6 Million 79.3 Million -53.94 Million 84.94 Million 22.05 Million
Free Cash Flow 464.4 Million 355.1 Million 392.6 Million 254.5 Million 345.79 Million 360.04 Million

Cash Flow Charts