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Royal Bank of Canada (RY.TO)

Royal Bank of Canada (RY.TO)
163.16 x 80000 163.30 x 100000
Post-market by (Cboe BZX)
163.30 +0.26 (+0.16%) 04/25/25 [TSX]
163.16 x 80000 163.30 x 100000
Post-market 163.30 unch (unch) 16:15 ET
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 10/31

(Values in thousands)
  10-2024 10-2023 10-2022 10-2021 10-2020
Cash Flows From Operating Activities
Depreciation Amortization 2,981,000 2,870,000 2,652,000 2,592,000 2,648,000
Income taxes - deferred -1,529,000 -995,000 569,000 581,000 -586,000
Other Working Capital 2,340,000 6,934,000 2,681,000 42,878,000 121,252,000
Loans -100,756,000 4,257,000 -100,849,000 -61,905,000 -4,048,000
Other Operating Activity 120,103,000 13,013,000 116,889,000 76,898,000 19,553,000
Operating Cash Flow $23,139,000 $26,079,000 $21,942,000 $61,044,000 $138,819,000
Cash Flows From Investing Activities
Change In Deposits 5,066,000 18,743,000 -28,373,000 -40,618,000 -676,000
PPE Investments -2,280,000 -2,730,000 -2,500,000 -2,186,000 -2,629,000
Net Acquisitions -12,701,000 1,712,000 -2,360,000 78,000 -22,000
Purchase Of Investment -193,307,000 -202,456,000 -122,964,000 -123,547,000 -149,516,000
Sale Of Investment 182,335,000 156,466,000 99,143,000 108,925,000 113,286,000
Investing Cash Flow $-20,887,000 $-28,265,000 $-57,054,000 $-57,348,000 $-39,557,000
Cash Flows From Financing Activities
Change In Short Term Borrowing -4,507,000 -5,102,000 9,609,000 -14,000 13,000
Debt Issued 3,250,000 1,500,000 1,000,000 2,750,000 2,750,000
Debt Repayment -2,136,000 -825,000 -821,000 -3,121,000 -3,588,000
Common Stock Issued 6,876,000 4,239,000 5,525,000 4,853,000 4,848,000
Common Stock Repurchased -6,667,000 -4,075,000 -11,127,000 -4,743,000 -5,667,000
Dividend Paid -6,637,000 -5,549,000 -6,960,000 -6,420,000 -6,333,000
Other Financing Activity 1,675,000 -21,000 589,000 767,000 231,000
Financing Cash Flow $-8,146,000 $-9,833,000 $-2,185,000 $-5,928,000 $-7,746,000
Exchange Rate Effect 628,000 1,611,000 -4,152,000 -2,810,000 1,062,000
Beginning Cash Position 61,989,000 72,397,000 113,846,000 118,888,000 26,310,000
End Cash Position 56,723,000 61,989,000 72,397,000 113,846,000 118,888,000
Net Cash Flow $-5,894,000 $-12,019,000 $-37,297,000 $-2,232,000 $91,516,000
Free Cash Flow
Operating Cash Flow 23,139,000 26,079,000 21,942,000 61,044,000 138,819,000
Capital Expenditure -2,280,000 -2,730,000 -2,500,000 -2,186,000 -2,629,000
Free Cash Flow 20,859,000 23,349,000 19,442,000 58,858,000 136,190,000
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