TAV Havalimanlari Holding A.S. (TAVHL.IS)

TRY 288.5

(-1.03%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 58.6 Million 278.37 Million 238.11 Million 3.18 Million 132.26 Million 387.75 Million
Net Income 258.5 Million 130.6 Million 49.95 Million -284.92 Million 362.39 Million 250.71 Million
Depreciation & Amortization 137.67 Million 95.56 Million 76.23 Million 96.22 Million 148.62 Million 101.35 Million
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital -219.26 Million 22.45 Million 160.05 Million 131.44 Million -225.08 Million 20.25 Million
Other non-cash items -118.31 Million 29.74 Million -48.12 Million 60.43 Million -153.66 Million 15.43 Million
Investing Cash Flow -32.66 Million -525.84 Million -445.46 Million -67.4 Million 44.53 Million -446.49 Million
Investments in PPE -214.42 Million -134.7 Million -22.42 Million -37.15 Million -66.97 Million -86.94 Million
Acquisitions 124.61 Million - -306.65 Million - -1.18 Million -323.96 Million
Investment purchases -86.3 Million -418.12 Million -50 Million -50 Million - -
Sales/Maturities of investments 50.26 Million - 50 Million - - -
Other Investing Activities 93.18 Million 26.99 Million -116.39 Million 19.74 Million 112.69 Million -35.57 Million
Financing Cash Flow 254.99 Million 412.58 Million -304.04 Million 85.7 Million -147.96 Million 254.61 Million
Debt repayment -349.94 Million -248.53 Million -289.71 Million -150.23 Million -66.73 Million -235.73 Million
Dividends payments -13.67 Million -6.83 Million -4.07 Million -57.33 Million -124.79 Million -83.94 Million
Common Stock Repurchased - - - -4.28 Million - -
Common Stock Issuance - 7.61 Million - 256.11 Million - -
Other Financing Activities 618.61 Million 660.33 Million -10.26 Million 41.43 Million 43.56 Million 574.29 Million
Accounts receivables 970.01 Thousand -18.75 Million -9.12 Million 31.6 Million 54.46 Million -
Accounts payables - - - - - -
Inventory -3.77 Million -24.41 Million 753 Thousand 920 Thousand 190.24 Thousand 707.19 Thousand
Other working capital -215.49 Million 46.87 Million 159.29 Million 130.52 Million -225.27 Million 19.54 Million
Cash at beginning of period 257.63 Million 92.51 Million 603.91 Million 582.42 Million 499.37 Million 256.82 Million
Cash at end of period 538.56 Million 257.63 Million 92.51 Million 603.91 Million 581.15 Million 549.96 Million
Capital Expenditure -214.42 Million -134.7 Million -22.42 Million -37.15 Million -66.97 Million -86.94 Million
Effect of forex changes on cash 158.88 Million 43.46 Million - - 52.94 Million 97.25 Million
Net cash flow / Change in cash 280.93 Million 165.12 Million -511.39 Million 21.48 Million 81.78 Million 293.13 Million
Free Cash Flow -155.82 Million 143.66 Million 215.68 Million -33.97 Million 65.29 Million 300.81 Million

Cash Flow Charts