Clairvest Group Inc. (CVTGF)

USD 48.82

(0.0%)

Annual Cash Flows

(In CAD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -29.04 Million 104.93 Million 12.54 Million -4.31 Million 27.89 Million 164.68 Million
Net Income -3.35 Million 52.36 Million 330.2 Million 104.83 Million 69.49 Million 119.24 Million
Depreciation & Amortization 1.3 Million 1.17 Million 1.14 Million 1.2 Million 1.21 Million 867 Thousand
Deferred income taxes - -23.1 Million 43.27 Million 4.27 Million 7.93 Million -20.16 Million
Stock-based compensation -5.36 Million 28.57 Million 13.5 Million 43.43 Million 6.03 Million 13.1 Million
Change in working capital -25.69 Million -784 Thousand -1.77 Million 7.87 Million -52.56 Million -89.13 Million
Other non-cash items 1.34 Million 75.9 Million -335.64 Million -117.55 Million 28.92 Million 119.63 Million
Investing Cash Flow -5.61 Million -91.74 Million 28 Million 2.61 Million -33.1 Million 20.76 Million
Investments in PPE -854 Thousand -452 Thousand -466 Thousand -114 Thousand - -5.94 Million
Acquisitions - - - - 432 Thousand -
Investment purchases -40.77 Million -91.29 Million -54.13 Million -35.76 Million -57.52 Million -15.1 Million
Sales/Maturities of investments 36.01 Million - 82.6 Million 38.49 Million 23.98 Million 41.81 Million
Other Investing Activities - - - - 1.00 -
Financing Cash Flow -38.07 Million -13.72 Million -8.92 Million -84.44 Million -10.77 Million -7.87 Million
Debt repayment - - - - - -
Dividends payments -12.17 Million -11.78 Million -8.57 Million -83.66 Million -7.78 Million -6.67 Million
Common Stock Repurchased -25.9 Million -1.94 Million -350 Thousand -786 Thousand -2.98 Million -1.2 Million
Common Stock Issuance - - - - - -
Other Financing Activities - - - - - -
Accounts receivables -2.43 Million -5.26 Million -20.67 Million 760 Thousand -21.82 Million 8.92 Million
Accounts payables 2.39 Million 6.98 Million -1.7 Million -3.3 Million -2.86 Million 6.87 Million
Inventory - - - - - -
Other working capital -25.65 Million -2.5 Million 20.6 Million 10.42 Million -27.86 Million -104.93 Million
Cash at beginning of period 217.87 Million 218.41 Million 186.79 Million 272.93 Million 288.92 Million 111.34 Million
Cash at end of period 145.13 Million 217.87 Million 218.41 Million 186.79 Million 272.93 Million 288.92 Million
Capital Expenditure -854 Thousand -452 Thousand -466 Thousand -114 Thousand - -5.94 Million
Effect of forex changes on cash - - - - -1.00 -
Net cash flow / Change in cash -72.73 Million -547 Thousand 31.62 Million -86.14 Million -15.98 Million 177.58 Million
Free Cash Flow -29.89 Million 104.47 Million 12.08 Million -4.42 Million 27.89 Million 158.74 Million

Cash Flow Charts