Pearson plc (PSON.L)

GBp 1278.5

(0.2%)

Annual Cash Flows

(In GBP)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 845 Million 361 Million 326 Million 389 Million 369 Million 462 Million
Net Income 378 Million 323 Million 160 Million 310 Million 266 Million 590 Million
Depreciation & Amortization 523 Million 618 Million 408 Million 317 Million 389 Million 253 Million
Deferred income taxes -1.12 Billion - -280 Million -282 Million -181 Million 34 Million
Stock-based compensation 40 Million 35 Million 28 Million 29 Million 25 Million 37 Million
Change in working capital -96 Million -66 Million -12 Million 8 Million -118 Million 10 Million
Other non-cash items 1.12 Billion -549 Million 22 Million 7 Million -12 Million -428 Million
Investing Cash Flow -621 Million 13 Million -80 Million 591 Million -325 Million 211 Million
Investments in PPE -426 Million -147 Million -176 Million -134 Million -193 Million -200 Million
Acquisitions -204 Million 100 Million 18 Million 625 Million -186 Million 96 Million
Investment purchases -13 Million -12 Million -4 Million -6 Million -12 Million -12 Million
Sales/Maturities of investments 7 Million 17 Million 48 Million -64 Million 7 Million 16 Million
Other Investing Activities 15 Million 55 Million 34 Million 170 Million 59 Million 311 Million
Financing Cash Flow -450 Million -804 Million -414 Million -299 Million -102 Million -729 Million
Debt repayment -285 Million -171 Million -167 Million -230 Million -48 Million -441 Million
Dividends payments -154 Million -156 Million -149 Million -146 Million -147 Million -136 Million
Common Stock Repurchased -221 Million -390 Million -16 Million -182 Million -52 Million -153 Million
Common Stock Issuance 9 Million 7 Million 6 Million 6 Million 7 Million 6 Million
Other Financing Activities 201 Million -94 Million -88 Million 253 Million 138 Million -5 Million
Accounts receivables -24 Million 33 Million -71 Million -1 Million 59 Million -15 Million
Accounts payables -20 Million -84 Million 37 Million -26 Million -157 Million 35 Million
Inventory 9 Million -34 Million 22 Million 35 Million -20 Million -10 Million
Other working capital -61 Million 19 Million 14 Million -37 Million 54 Million 20 Million
Cash at beginning of period 269 Million 937 Million 1.11 Billion 434 Million 525 Million 630 Million
Cash at end of period 312 Million 543 Million 937 Million 1.11 Billion 434 Million 525 Million
Capital Expenditure -426 Million -147 Million -176 Million -134 Million -193 Million -200 Million
Effect of forex changes on cash -8 Million 36 Million -8 Million -2 Million -33 Million -49 Million
Net cash flow / Change in cash 43 Million -394 Million -176 Million 679 Million -91 Million -105 Million
Free Cash Flow 419 Million 214 Million 150 Million 255 Million 176 Million 262 Million

Cash Flow Charts