Cash Flow

  Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update) Year Ending Dec 2021 (Update) Year Ending Dec 2020 (Update) Year Ending Dec 2019 (Update)
Net Income/Starting Line -49.10 104.50 112.90 63.90 87.10
Depreciation – Supplemental 48.60 51.70 51.30 58.10 48.10
Depreciation/Depletion 48.60 51.70 51.30 58.10 48.10
Deferred Taxes -39.30 -1.40 14.30 -3.20 6.50
Unusual Items 4.80 1.00 -2.00 1.10 0.10
Equity in Net Earnings (Loss) 3.10 -10.50 3.80 -12.80 -9.30
Other Non-Cash Items 1.20 16.70 19.30 23.10 20.40
Non-Cash Items 9.10 7.20 21.10 11.40 11.20
Accounts Receivable -43.90 85.70 -58.60 -4.70 -6.80
Inventories 56.30 -198.40 65.80 13.30 -7.10
Prepaid Expenses 6.30 -12.50 -20.50 -3.00 0.30
Other Assets 0.80 -0.30 -5.10 -4.60 --
Accounts Payable -26.00 8.70 -26.30 -4.30 -0.70
Payable/Accrued 33.90 36.70 47.20 -33.20 24.60
Taxes Payable 8.20 -0.10 -1.60 6.60 -3.10
Other Liabilities 0.60 -0.70 6.00 2.20 0.20
Other Operating Cash Flow 0.60
Changes in Working Capital 36.20 -80.30 6.90 -27.70 7.40
Cash from Operating Activities 5.50 81.70 206.50 102.50 160.30
Purchase of Fixed Assets -47.40 -63.20 -58.60 -62.80 -55.10
Capital Expenditures -47.40 -63.20 -58.60 -62.80 -55.10
Other Investing Cash Flow -- 0.10 1.50 2.60
Other Investing Cash Flow Items, Total -- 0.10 1.50 2.60
Cash from Investing Activities -47.40 -63.10 -58.60 -61.30 -52.50
Other Financing Cash Flow -0.10 -0.10 -1.90 -- --
Financing Cash Flow Items -0.10 -0.10 -1.90 -- --
Cash Dividends Paid - Common -87.50 -87.80 -83.20 -83.20 -83.40
Total Cash Dividends Paid -87.50 -87.80 -83.20 -83.20 -83.40
Repurchase/Retirement of Common -2.90 -2.30 -0.20 -1.00 -3.00
Common Stock, Net -2.90 -2.30 -0.20 -1.00 -3.00
Issuance (Retirement) of Stock, Net -2.90 -2.30 -0.20 -1.00 -3.00
Long Term Debt Issued --
Long Term Debt Reduction -1.10 -1.30 -1.40 -1.10 -1.50
Long Term Debt, Net -1.10 -1.30 -1.40 -1.10 -1.50
Issuance (Retirement) of Debt, Net -1.10 -1.30 -1.40 -1.10 -1.50
Cash from Financing Activities -91.60 -91.50 -86.70 -85.30 -87.90
Foreign Exchange Effects 1.00 -5.10 -10.60 13.80 -2.30
Net Change in Cash -132.50 -78.00 50.60 -30.30 17.60
Net Cash - Beginning Balance 334.60 412.60 362.00 392.30 374.70
Net Cash - Ending Balance 202.10 334.60 412.60 362.00 392.30
Cash Interest Paid 15.80 15.70 18.00 18.00 17.40
Cash Taxes Paid 17.30 37.30 41.60 15.30 35.80
For a more complete picture of our financial results, please review our SEC Filings

In millions of USD (except for per share items)

Source: LSEG