TMX Group Limited (X)

Toronto
Currency in CAD
43.56
+0.81(+1.88%)
Real-time Data

X Cash Flow Statement

Advanced Cash Flow Statement
Collapse All
Period Ending:
2014
31/12
2015
31/12
2016
31/12
2017
31/12
2018
31/12
2019
31/12
2020
31/12
2021
31/12
2022
31/12
2023
31/12
Cash from Operations
aa.aaaa.aaaa.aaaa.aaaa.aa344412.2441.4444.1524.9
Cash from Operations Growth
Net Income
Depreciation & Amortisation, Total
Amortisation of Deferred Charges, Total
Other Non-Cash Items, Total
Change in Net Operating Assets
aa.aaaa.aaaa.aaaa.aaaa.aa-0.89%+19.83%+7.08%+0.61%+18.19%
aa.aaaa.aaaa.aaaa.aaaa.aa247.6279.7338.5542.7356
aa.aaaa.aaaa.aaaa.aaaa.aa79.680.387.1113.8112.5
aa.aaaa.aaaa.aaaa.aaaa.aa-----
aa.aaaa.aaaa.aaaa.aaaa.aa28.541.239.9-153.654.6
aa.aaaa.aaaa.aaaa.aaaa.aa-11.711-24.1-58.81.8
Cash from Investing
aa.aaaa.aaaa.aaaa.aaaa.aa-95.3-34.8-203.9-41.4-289.3
Cash from Investing Growth
Capital Expenditure
Sale of Property, Plant, and Equipment
Cash Acquisitions
Divestitures
Other Investing Activities
aa.aaaa.aaaa.aaaa.aaaa.aa-354.81%+63.48%-485.92%+79.7%-598.79%
aa.aaaa.aaaa.aaaa.aaaa.aa-57.6-67.1-51.2-51.9-65.2
aa.aaaa.aaaa.aaaa.aaaa.aa-----
aa.aaaa.aaaa.aaaa.aaaa.aa-23.6--138.456.2-5.1
aa.aaaa.aaaa.aaaa.aaaa.aa-----
aa.aaaa.aaaa.aaaa.aaaa.aa-14.132.3-14.3-45.7-219
Cash from Financing
aa.aaaa.aaaa.aaaa.aaaa.aa-234.8-304.4-194.8-292.9-309.2
Cash from Financing Growth
Total Debt Issued
Short Term Debt Issued, Total
Long-Term Debt Issued, Total
Total Debt Repaid
Short Term Debt Repaid, Total
Long-Term Debt Repaid, Total
Issuance of Common Stock
Repurchase of Common Stock
Issuance of Preferred Stock
Repurchase of Preferred Stock
Common & Preferred Stock Dividends Paid
Special Dividend Paid
Other Financing Activities
Foreign Exchange Rate Adjustments
Miscellaneous Cash Flow Adjustments
aa.aaaa.aaaa.aaaa.aaaa.aa+44.77%-29.64%+36.01%-50.36%-5.57%
aa.aaaa.aaaa.aaaa.aaaa.aa8.2-25012.1294.2
aa.aaaa.aaaa.aaaa.aaaa.aa8.2--12.1294.2
aa.aaaa.aaaa.aaaa.aaaa.aa--250--
aa.aaaa.aaaa.aaaa.aaaa.aa-88.1-91.8-170.7-9.7-262.2
aa.aaaa.aaaa.aaaa.aaaa.aa-79.9-83.5-162.3--1.6
aa.aaaa.aaaa.aaaa.aaaa.aa-8.2-8.3-8.4-9.7-260.6
aa.aaaa.aaaa.aaaa.aaaa.aa24.431.715.126.616.1
aa.aaaa.aaaa.aaaa.aaaa.aa--56.8-84.4-74.3-79.9
aa.aaaa.aaaa.aaaa.aaaa.aa-----
aa.aaaa.aaaa.aaaa.aaaa.aa-----
aa.aaaa.aaaa.aaaa.aaaa.aa-141.3-153.6-168.9-185.1-196.9
aa.aaaa.aaaa.aaaa.aaaa.aa-----
aa.aaaa.aaaa.aaaa.aaaa.aa-38-33.9-35.9-62.5-80.5
aa.aaaa.aaaa.aaaa.aaaa.aa-0.20.1-0.51.6-1
aa.aaaa.aaaa.aaaa.aaaa.aa-----
Net Change in Cash
aa.aaaa.aaaa.aaaa.aaaa.aa13.773.142.2111.4-74.6
Beginning Cash Balance
Ending Cash Balance
Levered Free Cash Flow
Levered Free Cash Flow Growth
Free Cash Flow Yield
aa.aaaa.aaaa.aaaa.aaaa.aa135.3149222.1264.3375.7
aa.aaaa.aaaa.aaaa.aaaa.aa149222.1264.3375.7301.1
aa.aaaa.aaaa.aaaa.aaaa.aa244.49311.2335.99305.74395.45
aa.aaaa.aaaa.aaaa.aaaa.aa-3.09%+27.29%+7.97%-9%+29.34%
aa.aaaa.aaaa.aaaa.aaaa.aa4.54%4.81%5.42%5.19%5.16%
* In Millions of CAD (except for per share items)