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Nestle Sa ADR (NSRGY)

Nestle Sa ADR (NSRGY)
106.5500 +1.5500 (+1.48%) 14:55 ET [OTC US]
N/A x N/A N/A x N/A
Realtime by (Cboe BZX)
N/A x N/A N/A x N/A
Realtime - - (-) -
Cash Flow for Wed, Apr 30th, 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 16,724,990 15,664,780 12,916,420 12,777,990 15,781,410
Depreciation Amortization 4,727,616 4,572,560 3,710,614 6,623,682 3,695,769
Accounts receivable -403,245 -1,143,975 -336,376 -901,538 38,398
Accounts payable and accrued liabilities 3,039,668 72,404 515,567 2,314,021 1,272,454
Other Working Capital 992,777 789,755 -3,821,691 -656,460 -410,641
Other Operating Activity -6,140,676 -2,198,844 -507,184 -4,989,095 -5,042,880
Operating Cash Flow $18,941,130 $17,756,680 $12,477,350 $15,168,600 $15,334,510
Cash Flows From Investing Activities
Change In Deposits N/A -89,112 N/A -3,949,701 N/A
PPE Investments -6,404,204 -6,364,825 -5,339,050 -5,339,208 -4,347,461
Net Acquisitions -945,069 4,456 -1,624,245 -3,133,502 -644,227
Purchase Of Investment -2,025,310 -648,290 5,222,733 9,386,284 -993,005
Purchase Sale Intangibles -369,168 -544,697 -278,741 -504,380 -307,181
Other Investing Activity -421,419 196,046 -253,592 -294,313 -59,730
Investing Cash Flow $-9,796,002 $-6,901,725 $-1,994,154 $-3,330,440 $-6,044,422
Cash Flows From Financing Activities
Debt Issued 2,721,616 10,922,900 11,459,830 -968,279 11,017,980
Debt Repayment -5,741,975 -3,997,787 -3,440,256 -4,895,003 -3,393,921
Common Stock Repurchased -5,313,740 -5,830,153 -11,190,520 -7,164,167 -7,267,813
Dividend Paid -9,075,841 -9,080,513 -8,280,506 -8,734,200 -8,498,669
Other Financing Activity 9,047,444 -2,883,887 -478,888 11,748,449 -2,931,017
Financing Cash Flow $-8,362,496 $-10,869,440 $-11,930,340 $-10,013,200 $-11,073,440
Exchange Rate Effect 60,203 -759,680 -104,790 97,375 -599,429
Beginning Cash Position 5,470,495 6,138,703 7,326,917 5,727,613 7,966,436
End Cash Position 6,311,061 5,364,542 5,774,977 7,649,947 5,583,651
Net Cash Flow $840,566 $-774,161 $-1,551,940 $1,922,334 $-2,382,784
Free Cash Flow
Operating Cash Flow 18,941,130 17,756,680 12,477,350 15,168,600 15,334,510
Capital Expenditure -6,404,204 -6,364,825 -5,339,050 -5,339,208 -4,347,461
Free Cash Flow 12,536,926 11,391,855 7,138,300 9,829,392 10,987,049
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