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Carnival Plc ADR (CUK)

Carnival Plc ADR (CUK)
16.66 x 1 17.08 x 1
Post-market by (Cboe BZX)
16.90 +0.02 (+0.12%) 04/25/25 [NYSE]
16.66 x 1 17.08 x 1
Post-market 16.92 +0.02 (+0.12%) 19:58 ET
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 11/30

(Values in U.S. thousands)
  11-2024 11-2023 11-2022 11-2021 11-2020
Cash Flows From Operating Activities
Net Income 1,916,000 -74,000 -6,093,000 -9,501,000 -10,236,000
Depreciation Amortization 2,557,000 2,370,000 2,446,000 2,233,000 2,360,000
Accounts receivable -49,000 -180,000 -171,000 -7,000 125,000
Accounts payable and accrued liabilities -26,000 77,000 283,000 206,000 -165,000
Other Working Capital 960,000 1,525,000 1,163,000 958,000 -3,186,000
Other Operating Activity 565,000 563,000 702,000 2,002,000 4,801,000
Operating Cash Flow $5,923,000 $4,281,000 $-1,670,000 $-4,109,000 $-6,301,000
Cash Flows From Investing Activities
Change In Deposits N/A N/A 200,000 2,673,000 N/A
PPE Investments -4,568,000 -2,944,000 -4,870,000 -3,256,000 -3,286,000
Purchase Of Investment N/A N/A -1,000 -90,000 -81,000
Sale Of Investment N/A N/A N/A -2,873,000 N/A
Other Investing Activity 33,000 134,000 -96,000 3,000 127,000
Investing Cash Flow $-4,535,000 $-2,810,000 $-4,767,000 $-3,543,000 $-3,240,000
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A -200,000 N/A -293,000 2,852,000
Debt Issued 3,095,000 2,961,000 7,209,000 13,042,000 15,020,000
Debt Repayment -5,436,000 -7,660,000 -2,075,000 -5,956,000 -1,621,000
Common Stock Issued N/A 27,000 1,275,000 1,215,000 3,249,000
Common Stock Repurchased N/A -20,000 -87,000 -188,000 -12,000
Dividend Paid N/A N/A N/A N/A -689,000
Other Financing Activity -243,000 -197,000 -2,745,000 -871,000 -149,000
Financing Cash Flow $-2,584,000 $-5,089,000 $3,577,000 $6,949,000 $18,650,000
Exchange Rate Effect -8,000 17,000 -79,000 -13,000 53,000
Beginning Cash Position 2,436,000 6,037,000 8,976,000 9,692,000 530,000
End Cash Position 1,231,000 2,436,000 6,037,000 8,976,000 9,692,000
Net Cash Flow $-1,205,000 $-3,601,000 $-2,939,000 $-715,000 $9,161,000
Free Cash Flow
Operating Cash Flow 5,923,000 4,281,000 -1,670,000 -4,109,000 -6,301,000
Capital Expenditure -4,626,000 -3,284,000 -4,940,000 -3,607,000 -3,620,000
Free Cash Flow 1,297,000 997,000 -6,610,000 -7,716,000 -9,921,000
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