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Ambev S.A. ADR (ABEV)

Ambev S.A. ADR (ABEV)
2.46 x 1 2.47 x 2
Post-market by (Cboe BZX)
2.47 +0.01 (+0.41%) 04/25/25 [NYSE]
2.46 x 1 2.47 x 2
Post-market 2.47 unch (unch) 19:48 ET
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 2,752,615 2,996,568 2,884,426 2,431,618 2,275,989
Depreciation Amortization 1,321,235 1,285,505 1,153,735 1,000,008 1,002,476
Accounts receivable 40,862 -275,192 -62,468 63,261 -164,667
Accounts payable and accrued liabilities 244,209 -44,687 140,742 1,140,985 591,661
Other Working Capital -30,591 -59,309 -519,872 555,789 174,134
Other Operating Activity 510,387 1,046,808 401,811 -948,050 -221,568
Operating Cash Flow $4,838,717 $4,949,693 $3,998,375 $4,243,611 $3,658,025
Cash Flows From Investing Activities
Change In Deposits -164,746 27,321 273,698 -43,731 -342,274
PPE Investments -848,854 -1,171,755 -1,239,525 -1,366,662 -889,432
Net Acquisitions 1,910 -9,314 -581 -24,701 -83,711
Purchase Of Investment N/A -1,262 -5,811 -982 -3,705
Other Investing Activity -1,223 80 2,906 2,779 0
Investing Cash Flow $-1,012,914 $-1,154,930 $-969,314 $-1,433,296 $-1,319,122
Cash Flows From Financing Activities
Debt Issued 90,679 9,975 53,248 58,407 730,973
Debt Repayment -112,111 -45,548 -44,590 -454,726 -396,323
Common Stock Issued 3,245 2,904 4,610 1,686 N/A
Common Stock Repurchased -86,693 -23,836 -10,479 -8,190 -1,436
Dividend Paid -752,057 -2,387,957 -2,371,333 -2,059,665 -1,328,958
Other Financing Activity -1,062,324 -783,413 -796,088 -510,094 -673,044
Financing Cash Flow $-1,919,261 $-3,227,875 $-3,164,632 $-2,972,583 $-1,668,788
Exchange Rate Effect 417,762 -325,147 -202,455 70,896 336,668
Beginning Cash Position 2,977,339 2,974,876 3,214,878 3,166,833 2,308,736
End Cash Position 5,301,643 3,216,618 2,876,852 3,075,461 3,315,518
Net Cash Flow $2,324,304 $241,742 $-338,026 $-91,371 $1,006,782
Free Cash Flow
Operating Cash Flow 4,838,717 4,949,693 3,998,375 4,243,611 3,658,025
Capital Expenditure -880,483 -1,202,621 -1,265,461 -1,422,567 -910,384
Free Cash Flow 3,958,234 3,747,072 2,732,914 2,821,044 2,747,641
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