ASOS Plc (ASC.L)

GBp 402.2

(0.55%)

Annual Cash Flows

(In GBP)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -12.7 Million -130.6 Million 209.7 Million 395.8 Million 89.7 Million 93.9 Million
Net Income -223.1 Million -30.8 Million 128.4 Million 113.3 Million 24.6 Million 82.4 Million
Depreciation & Amortization 172.5 Million 149.8 Million 135.5 Million 117.4 Million 25.3 Million 17 Million
Deferred income taxes -332 Million -572.9 Million -352.8 Million -105.4 Million 156.89 Million 89.4 Million
Stock-based compensation 5.2 Million 600 Thousand 7.6 Million 10.9 Million 2.5 Million 8.9 Million
Change in working capital 35 Million -272.7 Million -74.2 Million 140.3 Million -159.39 Million -98.3 Million
Other non-cash items 329.7 Million 595.4 Million 365.2 Million 119.3 Million 39.8 Million -5.5 Million
Investing Cash Flow -177.9 Million -182.9 Million -443.5 Million -116.6 Million -221.6 Million -212.7 Million
Investments in PPE -177.9 Million -182.9 Million -157.1 Million -116.6 Million -96.7 Million -105.6 Million
Acquisitions - - -286.4 Million - - -
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities -131.7 Million -108.3 Million -286.4 Million -87.9 Million -124.9 Million -107.1 Million
Financing Cash Flow 222.7 Million -26.3 Million 489.1 Million 143.7 Million 73.9 Million 1.5 Million
Debt repayment -167.5 Million -26.3 Million -512.9 Million -75 Million -75 Million -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 77.6 Million - 100 Thousand 240.1 Million 300 Thousand 1.7 Million
Other Financing Activities 312.6 Million -37.4 Million 1 Billion -21.4 Million 148.6 Million -200 Thousand
Accounts receivables 12.7 Million -34.2 Million 1.9 Million 6.5 Million -30.2 Million -14 Million
Accounts payables -304.9 Million 20.2 Million 150.6 Million 129.4 Million 143.3 Million 35.9 Million
Inventory 310.4 Million -258.7 Million -226.7 Million 4.4 Million -129.19 Million -84.3 Million
Other working capital 16.8 Million -1.3 Million - - -143.3 Million -35.9 Million
Cash at beginning of period 323 Million 662.7 Million 407.5 Million -15.5 Million 42.7 Million 160.3 Million
Cash at end of period 353.3 Million 323 Million 662.7 Million 407.5 Million -15.5 Million 42.7 Million
Capital Expenditure -177.9 Million -182.9 Million -157.1 Million -116.6 Million -96.7 Million -105.6 Million
Effect of forex changes on cash -1.8 Million 100 Thousand -100 Thousand 100 Thousand -200 Thousand -300 Thousand
Net cash flow / Change in cash 30.3 Million -339.7 Million 255.2 Million 423 Million -58.2 Million -117.6 Million
Free Cash Flow -190.6 Million -313.5 Million 52.6 Million 279.2 Million -7 Million -11.7 Million

Cash Flow Charts