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Citigroup Inc (C)

Citigroup Inc (C)
73.95 +1.97 (+2.74%) 10:50 ET [NYSE]
73.95 x 137 73.97 x 1144
Realtime by (Cboe BZX)
73.95 x 137 73.97 x 1144
Realtime 73.39 +1.41 (+1.96%) 09:29 ET
Cash Flow for Mon, Mar 24th, 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 12,833,000 9,381,000 14,934,000 22,025,000 11,087,000
Depreciation Amortization 4,311,000 4,560,000 4,797,000 3,964,000 3,937,000
Income taxes - deferred -1,896,000 -2,416,000 -1,141,000 1,413,000 -2,333,000
Other Working Capital -59,031,000 -99,387,000 19,553,000 38,864,000 -53,182,000
Loans -776,000 1,929,000 4,421,000 -3,809,000 1,202,000
Other Operating Activity 24,890,000 12,517,000 -17,495,000 -15,367,000 15,801,000
Operating Cash Flow $-19,669,000 $-73,416,000 $25,069,000 $47,090,000 $-23,488,000
Cash Flows From Investing Activities
PPE Investments -6,278,000 -6,527,000 -5,569,000 -3,929,000 -3,396,000
Purchase Of Investment -195,786,000 -216,811,000 -299,763,000 -375,006,000 -375,777,000
Sale Of Investment 301,641,000 255,161,000 232,809,000 267,995,000 270,191,000
Net Loans -15,839,000 -39,724,000 -11,882,000 1,745,000 15,744,000
Other Investing Activity 2,512,000 -558,000 4,950,000 -1,551,000 793,000
Investing Cash Flow $86,250,000 $-8,459,000 $-79,455,000 $-110,746,000 $-92,445,000
Cash Flows From Financing Activities
Change In Short Term Borrowing 11,048,000 -9,639,000 19,123,000 -1,541,000 -15,535,000
Debt Issued 99,075,000 65,819,000 104,748,000 70,658,000 76,458,000
Debt Repayment -116,309,000 10,704,000 -45,926,000 -83,190,000 -30,216,000
Common Stock Repurchased -2,474,000 -1,977,000 -3,250,000 -7,601,000 -2,925,000
Dividend Paid -5,199,000 -5,212,000 -5,003,000 -5,198,000 -5,352,000
Other Financing Activity -222,000 -1,735,000 -344,000 -822,000 1,084,000
Financing Cash Flow $-38,304,000 $687,000 $137,763,000 $17,272,000 $233,595,000
Exchange Rate Effect -12,677,000 95,000 -3,385,000 -1,198,000 -1,966,000
Beginning Cash Position 260,932,000 342,025,000 262,033,000 309,615,000 193,919,000
End Cash Position 276,532,000 260,932,000 342,025,000 262,033,000 309,615,000
Net Cash Flow $15,600,000 $-81,093,000 $79,992,000 $-47,582,000 $115,696,000
Free Cash Flow
Operating Cash Flow -19,669,000 -73,416,000 25,069,000 47,090,000 -23,488,000
Capital Expenditure -6,500,000 -6,583,000 -5,632,000 -4,119,000 -3,446,000
Free Cash Flow -26,169,000 -79,999,000 19,437,000 42,971,000 -26,934,000
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