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Sonoco Products (SON)

Sonoco Products (SON)
N/A x N/A 58.88 x 8
Post-market by (Cboe BZX)
43.90 +0.48 (+1.11%) 04/17/25 [NYSE]
N/A x N/A 58.88 x 8
Post-market 43.90 unch (unch) 16:25 ET
Cash Flow for Thu, Apr 17th, 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 163,940 475,901 466,980 -82,711 207,241
Depreciation Amortization 374,859 340,988 308,824 245,184 261,290
Income taxes - deferred -55,715 -12,209 -9,876 -158,836 573
Accounts receivable 17,763 24,935 -2,466 -149,755 17,853
Accounts payable and accrued liabilities 123,615 -148,841 27,225 172,430 21,487
Other Working Capital 172,811 145,224 -271,636 -176,137 94,244
Other Operating Activity 36,572 56,920 -10,002 448,497 102,933
Operating Cash Flow $833,845 $882,918 $509,049 $298,672 $705,621
Cash Flows From Investing Activities
PPE Investments -377,586 -282,738 -319,148 -242,853 -181,161
Net Acquisitions -3,712,573 -339,379 -1,427,020 69,360 54,150
Purchase Of Investment 9,978 2,781 4,732 578 N/A
Other Investing Activity -25,346 0 0 7,013 684
Investing Cash Flow $-4,105,527 $-619,336 $-1,741,436 $-165,902 $-126,327
Cash Flows From Financing Activities
Change In Short Term Borrowing 0 0 -349,000 355,974 -250,000
Debt Issued 4,061,319 962,557 2,153,355 172,042 1,121,860
Debt Repayment -151,534 -1,112,917 -285,511 -628,119 -886,055
Common Stock Repurchased -9,246 -10,617 -4,547 -218,085 -8,483
Dividend Paid -203,492 -197,416 -187,093 -179,631 -172,626
Other Financing Activity -28,624 6,408 -33,003 -15,724 32,430
Financing Cash Flow $3,668,423 $-351,985 $1,294,201 $-513,543 $-162,874
Exchange Rate Effect -105,618 12,902 -5,354 -13,097 3,145
Beginning Cash Position 151,937 227,438 170,978 564,848 145,283
End Cash Position 443,060 151,937 227,438 170,978 564,848
Net Cash Flow $291,123 $-75,501 $56,460 $-393,870 $419,565
Free Cash Flow
Operating Cash Flow 833,845 882,918 509,049 298,672 705,621
Capital Expenditure -393,235 -363,077 -328,769 -256,019 -194,127
Free Cash Flow 440,610 519,841 180,280 42,653 511,494
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