LPP SA (LPPSY)

USD 20.41

(0.0%)

Annual Cash Flows

(In PLN)
Breakdown 2024 2023 2022 2021 2020 2018
Operating Cash Flow 4.34 Billion 622.36 Million 3 Billion 1.07 Billion 1.57 Billion 1.21 Billion
Net Income 2.04 Billion 1.36 Billion 1.23 Billion -116.51 Million 737.11 Million 723.68 Million
Depreciation & Amortization 1.38 Billion 1.12 Billion 1.14 Billion 1.07 Billion 1.01 Billion 349.16 Million
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital 1.23 Billion -2.28 Billion 173.02 Million 50.63 Million 7.68 Million 195.72 Million
Other non-cash items -323.6 Million 416.71 Million 451.06 Million 67.36 Million -189.97 Million -56.55 Million
Investing Cash Flow -983.6 Million -897.05 Million -1.32 Billion -1 Billion -753.12 Million -704.39 Million
Investments in PPE -1.08 Billion -1.15 Billion -1.32 Billion -824.77 Million -944.92 Million -798.85 Million
Acquisitions 125.7 Million 116.37 Million 161.94 Million 156.74 Million 185.44 Million 146.43 Million
Investment purchases -20 Million -15.35 Million -289.92 Million -556.02 Million -237.62 Million -540 Million
Sales/Maturities of investments -125.7 Million 162.21 Million 116.14 Million 215.72 Million 293 Million 485.06 Million
Other Investing Activities 126.2 Million -3.35 Million 8.16 Million 1.27 Million -49.01 Million 634.45 Million
Financing Cash Flow -2.74 Billion -609.29 Million -1.63 Billion -139.54 Million -547.01 Million 20.92 Million
Debt repayment -805.6 Million -295.7 Million -56.04 Million -768.49 Million -537.21 Million -260.7 Million
Dividends payments -797.7 Million -648.3 Million -833.59 Million - -110.06 Million -73.34 Million
Common Stock Repurchased - - - - - -
Common Stock Issuance - 4000.00 - 112.34 Million 2000.00 -
Other Financing Activities -1.14 Billion 334.74 Million -745.05 Million 516.6 Million 100.26 Million 354.97 Million
Accounts receivables 272.2 Million 386.77 Million -426.2 Million -579.28 Million -66.12 Million 4.12 Million
Accounts payables 725.9 Million -3.37 Billion 2.08 Billion 910.71 Million 650.15 Million 254.2 Million
Inventory 239.4 Million 698.14 Million -1.99 Billion -218.25 Million -762.91 Million -133.16 Million
Other working capital -300 Thousand 6.46 Million 514.51 Million -62.53 Million 186.57 Million 328.88 Million
Cash at beginning of period 390.4 Million 1.31 Billion 1.27 Billion 1.34 Billion 1.07 Billion 515.4 Million
Cash at end of period 1 Billion 390.45 Million 1.31 Billion 1.27 Billion 1.34 Billion 1.04 Billion
Capital Expenditure -1.08 Billion -1.15 Billion -1.32 Billion -824.77 Million -944.92 Million -798.85 Million
Effect of forex changes on cash - -42.52 Million - - - -
Net cash flow / Change in cash 610 Million -926.51 Million 40.72 Million -72.06 Million 272.41 Million 528.54 Million
Free Cash Flow 3.25 Billion -534.57 Million 1.67 Billion 249.75 Million 627.62 Million 413.15 Million

Cash Flow Charts