Bâloise Holding AG (BLHEY)

USD 19.0

(0.0%)

Annual Cash Flows

(In CHF)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 495.5 Million -388 Million 477 Million 80.8 Million 439.7 Million 1.13 Billion
Net Income 318.2 Million 682.9 Million 697.9 Million 568.6 Million 686.2 Million 697.6 Million
Depreciation & Amortization 76 Million 98.2 Million 102 Million 97.1 Million 90.8 Million 67.1 Million
Deferred income taxes -1.87 Billion - -3.54 Billion -1.16 Billion -27 Million -
Stock-based compensation 4 Million 5.9 Million 5.3 Million 9 Million 27 Million 24 Million
Change in working capital 1.97 Billion -2.79 Billion 3.16 Billion 497.4 Million 3.13 Billion -528.1 Million
Other non-cash items -10.2 Million 1.61 Billion 56.4 Million 69.4 Million -3.47 Billion 896 Million
Investing Cash Flow -191.6 Million -74.3 Million -94.3 Million 382.9 Million -472.6 Million -142.4 Million
Investments in PPE -56.3 Million -45.9 Million -49.4 Million -71.3 Million -82 Million -83.4 Million
Acquisitions -145.3 Million -40 Million -59.7 Million 440.5 Million -418.6 Million -73.3 Million
Investment purchases -1.19 Billion -22.95 Billion -9.78 Billion -9.49 Billion -12.49 Billion -10.75 Billion
Sales/Maturities of investments 1.86 Billion 22.66 Billion 7.41 Billion 9.26 Billion 11.37 Billion 10.62 Billion
Other Investing Activities -659.7 Million 300.3 Million 2.38 Billion 241 Million 1.14 Billion 14.3 Million
Financing Cash Flow -596.9 Million -155.8 Million -238.9 Million -431.5 Million 58 Million -441.7 Million
Debt repayment -800 Million -350 Million -375 Million -300 Million -175 Million -35.9 Million
Dividends payments -335.3 Million -316.5 Million -288.4 Million -287.4 Million -278.6 Million -264 Million
Common Stock Repurchased -33.3 Million -45.3 Million -51.6 Million -158 Million -266.7 Million -192 Million
Common Stock Issuance 54.2 Million 54.5 Million 65.2 Million 68.2 Million 79.1 Million 58.5 Million
Other Financing Activities 517.5 Million 501.5 Million 410.9 Million 245.7 Million 699.2 Million -8.3 Million
Accounts receivables 1.12 Billion -99.2 Million -87.4 Million -52 Million -131.4 Million 140.4 Million
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital 852.3 Million -2.69 Billion 3.24 Billion 549.4 Million 3.26 Billion -656.1 Million
Cash at beginning of period 3.37 Billion 4.07 Billion 4 Billion 3.98 Billion 4.03 Billion 3.55 Billion
Cash at end of period 2.98 Billion 3.37 Billion 4.07 Billion 4 Billion 3.98 Billion 4.03 Billion
Capital Expenditure -56.3 Million -45.9 Million -49.4 Million -71.3 Million -82 Million -83.4 Million
Effect of forex changes on cash -92.5 Million -85.2 Million -74.3 Million -16.3 Million -73.2 Million -63.9 Million
Net cash flow / Change in cash -385.5 Million -703.3 Million 69.5 Million 16 Million -48.1 Million 484.5 Million
Free Cash Flow 439.2 Million -433.9 Million 427.6 Million 9.5 Million 357.7 Million 1.04 Billion

Cash Flow Charts