Tesco Plc ADR (TSCDY)
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Fiscal Year End Date: 02/29
(Values in U.S. thousands)
02-2024 | 02-2023 | 02-2022 | 02-2021 | 02-2020 | |
Cash Flows From Operating Activities | |||||
Net Income | 3,532,738 | 1,851,502 | 3,511,296 | 2,249,856 | 3,218,508 |
Depreciation Amortization | 2,157,713 | 2,063,970 | 2,356,409 | 2,672,352 | 2,757,077 |
Accounts receivable | -147,771 | -65,561 | 37,033 | 81,648 | 223,685 |
Accounts payable and accrued liabilities | 894,142 | 780,666 | 1,019,099 | 426,384 | -499,776 |
Other Working Capital | 329,355 | 295,026 | 496,519 | 318,816 | -4,513,324 |
Other Operating Activity | -1,958,597 | -406,723 | -2,267,255 | -4,968,864 | -1,137,598 |
Operating Cash Flow | $4,807,580 | $4,518,880 | $5,153,101 | $780,192 | $48,572 |
Cash Flows From Investing Activities | |||||
Change In Deposits | -634,916 | N/A | -1,463,497 | 80,352 | -878,123 |
PPE Investments | -1,318,672 | -763,669 | -877,824 | -1,210,464 | 3,786,028 |
Net Acquisitions | 8,766 | -86,201 | 154,991 | 9,211,969 | -6,391 |
Purchase Of Investment | -499,668 | -654,400 | -318,211 | -14,256 | 354,061 |
Sale Of Investment | 440,810 | 826,802 | 396,392 | 150,336 | -7,669 |
Purchase Sale Intangibles | -348,139 | -338,734 | -314,096 | -266,976 | -256,918 |
Other Investing Activity | -125,230 | -179,687 | -271,577 | -220,321 | -170,000 |
Investing Cash Flow | $-2,128,910 | $-857,155 | $-2,379,726 | $7,997,616 | $3,077,906 |
Cash Flows From Financing Activities | |||||
Debt Issued | 1,542,834 | N/A | 540,410 | 1,423,008 | 1,702,562 |
Debt Repayment | -1,755,725 | -1,580,758 | -1,854,403 | -3,155,760 | -3,095,801 |
Common Stock Repurchased | -1,058,193 | -1,052,625 | -578,815 | -85,536 | -190,452 |
Dividend Paid | -974,289 | -1,042,912 | -1,002,640 | -7,591,968 | -838,499 |
Other Financing Activity | -82,653 | -194,256 | -168,706 | -751,684 | -21,728 |
Financing Cash Flow | $-2,328,026 | $-3,870,551 | $-3,064,154 | $-10,161,940 | $-2,443,918 |
Exchange Rate Effect | 36,317 | -41,279 | 16,459 | 10,368 | -53,684 |
Beginning Cash Position | 1,959,849 | 2,150,171 | 2,703,424 | 3,928,176 | 3,727,231 |
End Cash Position | 1,913,514 | 1,900,067 | 2,429,104 | 2,563,488 | 4,356,105 |
Net Cash Flow | $-46,335 | $-250,105 | $-274,320 | $-1,364,688 | $628,874 |
Free Cash Flow | |||||
Operating Cash Flow | 4,807,580 | 4,518,880 | 5,153,101 | 780,192 | 48,572 |
Capital Expenditure | -1,387,548 | -1,178,891 | -1,301,648 | -1,517,616 | -1,282,035 |
Free Cash Flow | 3,420,032 | 3,339,989 | 3,851,453 | -737,424 | -1,233,463 |