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Air Products and Chemicals (APD)

Air Products and Chemicals (APD)
267.11 -1.74 (-0.65%) 04/25/25 [NYSE]
257.85 x 100 272.15 x 100
Realtime by (Cboe BZX)
257.85 x 100 272.15 x 100
Realtime 267.11 unch (unch) 04/25/25
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 09/30

(Values in U.S. thousands)
  09-2024 09-2023 09-2022 09-2021 09-2020
Cash Flows From Operating Activities
Net Income 3,828,200 2,300,200 2,256,100 2,099,100 1,886,700
Depreciation Amortization 1,451,100 1,358,300 1,338,200 1,321,300 1,185,000
Income taxes - deferred -69,300 -24,700 32,300 94,000 165,000
Accounts receivable -111,000 130,700 -475,200 -130,500 43,200
Other Working Capital -183,000 -424,800 -115,800 -100,000 -40,100
Other Operating Activity -1,269,300 -134,000 135,000 51,300 24,900
Operating Cash Flow $3,646,700 $3,205,700 $3,170,600 $3,335,200 $3,264,700
Cash Flows From Investing Activities
Change In Deposits 329,300 256,900 739,600 -225,500 -927,500
PPE Investments -4,917,900 -4,601,000 -2,880,300 -2,426,700 -2,428,700
Net Acquisitions N/A N/A -65,100 -10,500 -183,300
Purchase Of Investment N/A -912,000 -1,658,400 -76,000 -24,400
Other Investing Activity -330,600 -660,300 7,000 5,800 3,900
Investing Cash Flow $-4,919,200 $-5,916,400 $-3,857,200 $-2,732,900 $-3,560,000
Cash Flows From Financing Activities
Change In Short Term Borrowing -289,900 268,200 17,900 1,000 -54,900
Debt Issued 4,678,300 3,516,200 766,200 178,900 4,895,800
Debt Repayment -486,200 -615,400 -400,000 -462,900 -406,600
Common Stock Issued 7,900 24,000 19,300 10,600 34,100
Dividend Paid -1,564,900 -1,496,600 -1,383,300 -1,256,700 -1,103,600
Other Financing Activity 270,200 -86,800 -20,700 108,200 -80,100
Financing Cash Flow $2,615,400 $1,609,600 $-1,000,600 $-1,420,900 $3,284,700
Exchange Rate Effect 19,800 6,500 -130,300 27,800 14,900
Beginning Cash Position 1,617,000 2,711,000 4,468,900 5,253,000 2,248,700
End Cash Position 2,979,700 1,617,000 2,711,000 4,468,900 5,253,000
Net Cash Flow $1,362,700 $-1,094,000 $-1,757,900 $-784,100 $3,004,300
Free Cash Flow
Operating Cash Flow 3,646,700 3,205,700 3,170,600 3,335,200 3,264,700
Capital Expenditure -6,796,700 -4,626,400 -2,926,500 -2,464,200 -2,509,000
Free Cash Flow -3,150,000 -1,420,700 244,100 871,000 755,700
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