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Pennon Group Plc (PEGRY)

Other OTC - Other OTC Delayed price. Currency in USD
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17.28+0.47 (+2.77%)
As of 12:18PM EDT. Market open.
Annual

Cash flow

All numbers in thousands
Breakdown
ttm
31/03/2023
31/03/2022
31/03/2021
Cash flows from operating activities
Net income
-16,800
100
15,400
1,762,200
Depreciation & amortisation
159,800
154,700
146,700
119,400
Stock-based compensation
1,500
2,400
2,200
3,100
Change in working capital
-13,800
47,600
-50,900
-73,400
Inventory
-1,200
-2,300
-600
-4,000
Other working capital
-314,600
-178,600
23,300
20,200
Other non-cash items
145,800
138,900
109,500
-1,533,500
Net cash provided by operating activities
131,700
152,600
252,300
210,500
Cash flows from investing activities
Investments in property, plant and equipment
-446,300
-331,200
-229,000
-190,300
Acquisitions, net
-
0
-421,200
0
Other investing activities
-
146,100
89,100
-23,600
Net cash used for investing activities
-409,300
-179,500
-547,900
3,423,300
Net change in cash
-117,000
-207,500
-2,317,300
2,196,500
Cash at beginning of period
189,700
351,200
2,668,500
472,000
Cash at end of period
72,700
143,700
351,200
2,668,500
Free cash flow
Operating cash flow
131,700
152,600
252,300
210,500
Capital expenditure
-446,300
-331,200
-229,000
-190,300
Free cash flow
-314,600
-178,600
23,300
20,200