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FTSE 100
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FTSE 250
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AIM
778.20
+1.78
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GBP/USD
1.2490
-0.0019
(-0.15%)
Bitcoin GBP
49,874.56
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Silgan Holdings Inc. (SLGN)
NYSE - NYSE Delayed price. Currency in USD
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47.14
+0.50
(+1.07%)
At close: 04:00PM EDT
47.73
+0.59
(+1.25%)
Pre-market:
07:16AM EDT
Summary
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Statistics
Historical data
Profile
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Sustainability
Show
:
Income statement
Balance sheet
Cash flow
Annual
Quarterly
Cash flow
All numbers in thousands
Breakdown
ttm
31/12/2023
31/12/2022
31/12/2021
31/12/2020
Cash flows from operating activities
Net income
325,965
325,965
340,848
359,081
308,722
Depreciation & amortisation
263,233
263,233
262,788
250,360
219,098
Deferred income taxes
33,108
33,108
-32,181
59,577
24,119
Stock-based compensation
15,572
15,572
16,832
20,921
18,780
Change in working capital
-169,059
-169,059
79,106
-155,048
9,733
Accounts receivable
73,697
73,697
30,367
-81,473
-49,415
Inventory
-162,266
-162,266
5,797
-109,548
11,363
Accounts payable
-3,820
-3,820
20,245
171,972
21,303
Other working capital
255,786
255,786
532,651
324,577
378,330
Other non-cash items
13,777
13,777
79,538
20,578
20,574
Net cash provided by operating activities
482,596
482,596
748,412
556,841
602,507
Cash flows from investing activities
Investments in property, plant and equipment
-226,810
-226,810
-215,761
-232,264
-224,177
Acquisitions, net
0
0
-2,504
-745,670
-940,875
Other investing activities
2,997
2,997
2,660
1,975
1,868
Net cash used for investing activities
-223,813
-223,813
-215,605
-975,959
-1,163,184
Cash flows from financing activities
Debt repayment
-1,182,048
-1,182,048
-1,287,124
-2,096,064
-1,820,690
Common stock repurchased
-183,993
-183,993
-45,124
-8,573
-
Dividends paid
-78,894
-78,894
-71,948
-62,495
-53,643
Other financing activities
-
-
-
-11,073
-10,265
Net cash used provided by (used for) financing activities
-211,391
-211,391
-569,593
648,604
759,860
Net change in cash
57,301
57,301
-45,817
221,958
205,657
Cash at beginning of period
585,622
585,622
631,439
409,481
203,824
Cash at end of period
642,923
642,923
585,622
631,439
409,481
Free cash flow
Operating cash flow
482,596
482,596
748,412
556,841
602,507
Capital expenditure
-226,810
-226,810
-215,761
-232,264
-224,177
Free cash flow
255,786
255,786
532,651
324,577
378,330
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