Motorpoint Group Plc (MOTR.L)

GBp 136.5

(0.37%)

Annual Cash Flows

(In GBP)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow 11.1 Million 33.1 Million -11.3 Million 6.7 Million 23.3 Million 20.9 Million
Net Income -8.4 Million -600 Thousand 16.9 Million 7.6 Million 15.2 Million 17.7 Million
Depreciation & Amortization 9.9 Million 9.4 Million 7.3 Million 5.7 Million 5 Million 4.5 Million
Deferred income taxes -1.7 Million 1.1 Million -52.6 Million -17.8 Million -4 Million -
Stock-based compensation 1 Million 100 Thousand 100 Thousand 200 Thousand -100 Thousand -
Change in working capital 8.6 Million 25 Million -37.9 Million -6.2 Million 5.9 Million -13 Million
Other non-cash items 13.9 Million -1.9 Million 54.9 Million 17.2 Million 1.3 Million 11.7 Million
Investing Cash Flow -2.6 Million 300 Thousand -6.9 Million 2.5 Million -12.3 Million -4.2 Million
Investments in PPE -2.6 Million -9.4 Million -6.9 Million -3.6 Million -12.3 Million -4.2 Million
Acquisitions - 9.7 Million - 6.1 Million - -
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities - 9.7 Million - 6.1 Million -4.5 Million -
Financing Cash Flow -4.9 Million -35.6 Million 20 Million -14 Million -14 Million -18.5 Million
Debt repayment -4.6 Million -29 Million -29 Million -10 Million -10 Million -2.8 Million
Dividends payments - - - - -7 Million -6.9 Million
Common Stock Repurchased -300 Thousand -700 Thousand -5 Million -400 Thousand -14 Million -8.8 Million
Common Stock Issuance - -700 Thousand -5 Million -400 Thousand -900 Thousand 11.6 Million
Other Financing Activities -4.6 Million 25.2 Million 78 Million 7.6 Million 17.9 Million -11.6 Million
Accounts receivables -800 Thousand -4.8 Million -5.9 Million -3.3 Million 8.6 Million -800 Thousand
Accounts payables -36.8 Million -50 Million 68 Million 13.7 Million -7.1 Million 11.7 Million
Inventory 46.2 Million 79.8 Million -100 Million -16.6 Million 4.4 Million -12.2 Million
Other working capital -36.8 Million - - - - -11.7 Million
Cash at beginning of period 5.6 Million 7.8 Million 6 Million 10.8 Million 13.8 Million 15.6 Million
Cash at end of period 9.2 Million 5.6 Million 7.8 Million 6 Million 10.8 Million 13.8 Million
Capital Expenditure -2.6 Million -9.4 Million -6.9 Million -3.6 Million -12.3 Million -4.2 Million
Effect of forex changes on cash - - - - - -
Net cash flow / Change in cash 3.6 Million -2.2 Million 1.8 Million -4.8 Million -3 Million -1.8 Million
Free Cash Flow 8.5 Million 23.7 Million -18.2 Million 3.1 Million 11 Million 16.7 Million

Cash Flow Charts