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Mullen Group Ltd (MTL.TO)

Mullen Group Ltd (MTL.TO)
12.57 +0.17 (+1.37%) 04/17/25 [TSX]
12.57 x 500 12.65 x 300
Realtime by (Cboe BZX)
12.57 x 500 12.65 x 300
Realtime - - (-) -
Cash Flow for Thu, Apr 17th, 2025
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Fiscal Year End Date: 12/31

(Values in thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Depreciation Amortization 130,903 115,889 112,513 113,964 101,590
Income taxes - deferred 41,505 46,421 52,262 23,559 22,155
Other Working Capital 1,737 13,916 -28,854 -5,615 22,582
Other Operating Activity 121,972 100,521 127,049 66,059 78,494
Operating Cash Flow $296,117 $276,747 $262,970 $197,967 $224,821
Cash Flows From Investing Activities
PPE Investments -56,346 -88,813 -32,806 -47,458 -48,968
Net Acquisitions -59,059 -25,628 -9,073 -207,531 -20,216
Sale Of Investment 534 2,060 255 1,013 0
Purchase Sale Intangibles -50 N/A N/A N/A -224
Other Investing Activity 3,017 2,487 4,631 -1,618 744
Investing Cash Flow $-111,904 $-109,894 $-36,993 $-255,594 $-68,664
Cash Flows From Financing Activities
Change In Short Term Borrowing -73,000 50,200 N/A N/A N/A
Debt Issued 399,255 N/A N/A 89,045 0
Debt Repayment -259,791 -51,998 -98,041 -17,580 -12,530
Common Stock Issued 931 N/A N/A N/A N/A
Common Stock Repurchased -6,490 -72,048 -22,921 -44,329 -53,409
Dividend Paid -66,759 -64,773 -61,564 -45,130 -35,512
Other Financing Activity -45,752 -35,427 -32,611 -28,291 -27,443
Financing Cash Flow $-51,606 $-174,046 $-215,137 $-46,285 $-128,894
Exchange Rate Effect -8,616 731 -2,083 -1,428 -946
Beginning Cash Position 2,295 8,757 0 105,340 79,023
End Cash Position 126,286 2,295 8,757 0 105,340
Net Cash Flow $132,607 $-7,193 $10,840 $-103,912 $27,263
Free Cash Flow
Operating Cash Flow 296,117 276,747 262,970 197,967 224,821
Capital Expenditure -71,563 -101,598 -81,410 -68,204 -65,170
Free Cash Flow 224,554 175,149 181,560 129,763 159,651
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