Companhia Energética de Minas Gerais (CIG-C)

USD 2.3

(-3.41%)

Annual Cash Flows

(In BRL)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 6.64 Billion 6.61 Billion 3.68 Billion 8.6 Billion 2.03 Billion 1 Billion
Net Income 5.76 Billion 1.4 Billion 3.75 Billion 2.86 Billion 3.12 Billion 1.7 Billion
Depreciation & Amortization 1.27 Billion 1.18 Billion 1.04 Billion 989 Million 958 Million 849 Million
Deferred income taxes -825 Million -734 Million -210 Million 252 Million -2.84 Billion -650 Million
Stock-based compensation - - - - - -
Change in working capital 1.06 Billion 841 Million 4.53 Billion 5.25 Billion 980 Million 820 Million
Other non-cash items -365 Million 3.91 Billion -4.96 Billion -391 Million 740 Million 581 Million
Investing Cash Flow -3.96 Billion -3.2 Billion 1.37 Billion -5.07 Billion -1.18 Billion -211 Million
Investments in PPE -1.26 Billion -292 Million -233 Million -173 Million -1.92 Billion -877 Million
Acquisitions 632 Million -3.45 Billion 1.31 Billion 27 Million - 70 Million
Investment purchases -12.01 Billion -14.15 Billion -51 Million -3.36 Billion - 30 Million
Sales/Maturities of investments 12.36 Billion 200 Million 2.04 Billion -41 Million 80 Million 596 Million
Other Investing Activities -3.67 Billion 342 Million -1.7 Billion -1.52 Billion 659 Million -30 Million
Financing Cash Flow -2.58 Billion -2.79 Billion -5.91 Billion -2.38 Billion -1.2 Billion -937 Million
Debt repayment -758 Million -2.67 Billion -4.5 Billion -2.61 Billion -4.97 Billion -3.52 Billion
Dividends payments -1.82 Billion -2.09 Billion -1.41 Billion -598.13 Million -701.13 Million -509 Million
Common Stock Repurchased - - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities - 1.98 Billion 13 Million 826 Million 4.47 Billion 3.09 Billion
Accounts receivables -839 Million -440 Million -90 Million -78 Million -666 Million -391 Million
Accounts payables 185 Million 149 Million 325 Million 278 Million 279 Million -553 Million
Inventory - - 4.36 Billion 3.88 Billion 1.78 Billion 2.73 Billion
Other working capital 45 Million 1.13 Billion -70 Million 1.17 Billion -413 Million -971 Million
Cash at beginning of period 1.44 Billion 825 Million 1.68 Billion 536 Million 891 Million 1.03 Billion
Cash at end of period 1.53 Billion 1.44 Billion 825 Million 1.68 Billion 536 Million 890 Million
Capital Expenditure -1.26 Billion -292 Million -233 Million -173 Million -1.92 Billion -877 Million
Effect of forex changes on cash - - - - - 1 Million
Net cash flow / Change in cash 96 Million 616 Million -855 Million 1.14 Billion -355 Million -140 Million
Free Cash Flow 5.38 Billion 6.32 Billion 3.45 Billion 8.43 Billion 109 Million 131 Million

Cash Flow Charts