CI Financial Corp.

NYSE: CIXX · Real-Time Price · USD
11.42
-0.08 (-0.70%)
At close: Jan 19, 2023, 10:00 PM

CI Financial Cash Flow Statement

Financials in CAD. Fiscal year is January - December.
Fiscal Year Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
-68.33M -53.73M -178.77M 5.82M 59.82M 86.93M 191.76M 299.76M 432.94M 463.49M 424.9M 410.93M 392.24M 477.39M 479.94M
Depreciation & Amortization
216.49M 207.49M 198.99M 191.67M 179.31M 171.85M 164.34M 155.11M 145.53M 132.05M 114.12M 97.25M 78.98M 62.75M 51.4M
Stock-Based Compensation
28.94M 32.34M 27.3M 25.78M 26.59M 24.16M 23.59M 24.58M 23.86M 23.2M 23.53M 22M 18.42M 14.71M 10.89M
Other Working Capital
-12.28M -13.63M -79.52M -113.13M -91.48M -42.94M -34.99M -85.63M -6.99M 1.93M -48.98M 15.74M -474K -52.04M 56.09M
Other Non-Cash Items
496.07M 416.59M 587.11M 369.4M 279.18M 243.09M 142.62M 76.55M -203K 39.36M 132.96M 161.81M 124.52M 53.51M 29.12M
Deferred Income Tax
-29.21M -20.29M -21.18M -30.13M -16.66M -37.66M -19.71M -4.78M -23.44M -9.1M -29.61M -42.4M -34.11M -19.12M -11.63M
Change in Working Capital
-12.28M -13.63M -79.52M -113.13M -91.48M -42.94M -34.99M -85.63M -6.99M 1.93M -48.98M 15.74M -474K -52.04M 56.09M
Operating Cash Flow
523.47M 460.56M 425.73M 449.41M 436.63M 445.31M 467.5M 478.92M 585.87M 665.11M 631.09M 665.96M 579.52M 537.16M 615.76M
Capital Expenditures
-155.52M -141.54M -111.19M -51.41M -40.37M -38.8M -35.62M -28.27M -25.99M -24.5M -19.6M -20.22M -21.2M -20.64M -25.43M
Cash Acquisitions
-435.92M -432.23M -236.69M -191.91M -282.4M -256.17M -500.9M -499.52M -614.56M -721.87M -938M -934.59M -725.19M -859.84M -519.23M
Purchase of Investments
-7.71M -7.06M -7.08M -7.09M -3.5M -3.99M -3.9M -3.28M -635K -3.72M -5.03M -5.1M -7.73M -4.22M -7.36M
Sales Maturities Of Investments
-115.95M -127.43M -127.54M -130.25M 1.08M 1.8M 1.85M 96.51M 103.64M 103.95M 110.07M 17.83M 12.36M 11.14M 25.99M
Other Investing Acitivies
-191.58M -93.37M -158.28M -145.91M -351.68M -296.05M -136.01M -73.97M -324.66M -413.52M -475.43M -459.8M -132.12M -128.36M -33.14M
Investing Cash Flow
-807.98M -707.51M -550.22M -526.57M -676.87M -593.21M -674.58M -508.53M -862.21M -1.06B -1.33B -1.4B -873.88M -1B -559.17M
Debt Repayment
2.13B 2.03B 763.21M 693.21M -623.88M -645.03M 433.89M 239.53M 147.12M 71.94M 1.04B 996.98M 1.26B 1.24B 428.84M
Common Stock Repurchased
-279.62M -331.79M -475.02M -474.91M -466.62M -401.1M -231.58M -322.61M -250.14M -269.82M -342.61M -364.32M -373.73M -352.34M -266.82M
Dividend Paid
-119.95M -120.65M -123.26M -125.54M -129.47M -133.54M -135.4M -137.38M -140.46M -142.11M -144.09M -146.45M -148.61M -150.94M -153.21M
Other Financial Acitivies
-1.48B -2.8B -2.75B -2.73B -1.38B -29.99M -1.82M 80.02M 86.35M 88.05M 79.24M -3.11M -1.06M -311K 269K
Financial Cash Flow
252.88M 134.52M 113.67M 60.57M 195.51M 233.54M 158M -47.54M -157.14M -251.94M 634.55M 483.1M 738.95M 735.81M 9.08M
Net Cash Flow
99.3M 18.5M 120.11M 46.85M -44.73M 85.65M -49.08M -77.16M -433.48M -646.49M -62.34M -252.82M 444.59M 271.04M -281.9M
Free Cash Flow
367.96M 319.02M 314.54M 398M 396.26M 406.52M 431.88M 450.65M 559.88M 640.61M 611.49M 645.74M 558.32M 516.51M 590.33M