Canadian Pacific Railway Limited (CP.TO)

CAD 105.43

(0.23%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 4.13 Billion 4.14 Billion 3.68 Billion 2.8 Billion 2.99 Billion 2.71 Billion
Net Income 3.92 Billion 3.51 Billion 2.85 Billion 2.44 Billion 2.44 Billion 1.95 Billion
Depreciation & Amortization 1.55 Billion 853 Million 811 Million 779 Million 706 Million 696 Million
Deferred income taxes -7.88 Billion 136 Million 242 Million 221 Million 181 Million 256 Million
Stock-based compensation 122 Million 113 Million 131 Million 170 Million 133 Million 75 Million
Change in working capital -308 Million -92 Million -66 Million -389 Million -26 Million 65 Million
Other non-cash items 9.93 Billion -385 Million -36 Million 11 Million 143 Million -79 Million
Investing Cash Flow -2.16 Billion -1.49 Billion -13.73 Billion -2.03 Billion -1.8 Billion -1.45 Billion
Investments in PPE -2.49 Billion -1.55 Billion -1.53 Billion -1.67 Billion -1.64 Billion -1.55 Billion
Acquisitions 355 Million 58 Million -12.29 Billion -379 Million -174 Million 78 Million
Investment purchases -267 Million - -12.29 Billion -19 Million -174 Million -
Sales/Maturities of investments 274 Million - 12.29 Billion 19 Million 174 Million -
Other Investing Activities -25 Million 3 Million 101 Million 20 Million 18 Million 93 Million
Financing Cash Flow -1.95 Billion -2.29 Billion 9.93 Billion -764 Million -1.11 Billion -1.54 Billion
Debt repayment -1.3 Billion -1.62 Billion -10.94 Billion -84 Million -500 Million -753 Million
Dividends payments -707 Million -707 Million -507 Million -467 Million -412 Million -348 Million
Common Stock Repurchased - - - -1.5 Billion -1.13 Billion -1.1 Billion
Common Stock Issuance 69 Million 32 Million 25 Million 52 Million 26 Million 24 Million
Other Financing Activities -17 Million -383 Million -504 Million 1.24 Billion 909 Million 638 Million
Accounts receivables -317 Million -147 Million 32 Million -61 Million 27 Million -107 Million
Accounts payables 57 Million 95 Million -108 Million -308 Million -21 Million 153 Million
Inventory 1 Million -27 Million -14 Million -15 Million -8 Million -11 Million
Other working capital -49 Million -13 Million 24 Million -5 Million -24 Million 183 Million
Cash at beginning of period 451 Million 82 Million 147 Million 133 Million 61 Million 338 Million
Cash at end of period 464 Million 451 Million 82 Million 147 Million 133 Million 61 Million
Capital Expenditure -2.49 Billion -1.55 Billion -1.53 Billion -1.67 Billion -1.64 Billion -1.55 Billion
Effect of forex changes on cash -7 Million 20 Million 41 Million 6 Million -4 Million 11 Million
Net cash flow / Change in cash 13 Million 369 Million -65 Million 14 Million 72 Million -277 Million
Free Cash Flow 1.63 Billion 2.58 Billion 2.15 Billion 1.13 Billion 1.34 Billion 1.16 Billion

Cash Flow Charts