Year Ending Mar 2023 (Update) Year Ending Mar 2022 (Update) Year Ending Mar 2021 (Update) Year Ending Mar 2020 (Update) Year Ending Mar 2019 (Update)
Net Income/Starting Line -1,124.70 418.02 588.89 404.46 333.84
Depreciation – Supplemental 90.30 61.20 56.31 47.63 39.73
Depreciation/Depletion 90.30 61.20 56.31 47.63 39.73
Amortization of Intangibles 1.70M 218.10 176.50 188.92 225.10
Amortization 1.70M 218.10 176.50 188.92 225.10
Deferred Taxes -410.80 8.10 10.63 -3.49 110.60
Discontinued Operations
Unusual Items 110.60 64.60 -41.59 5.33 --
Other Non-Cash Items 495.60 240.25 115.99 261.62 248.38
Non-Cash Items 606.20 304.84 74.40 266.96 248.38
Accounts Receivable 106.80 -17.86 47.20 -195.48 -98.08
Inventories 4.11 2.50 8.49 -14.40
Prepaid Expenses 77.20 -207.56 -58.74 -259.82 -275.80
Other Assets -492.80 -454.42 -216.51 -16.25 -231.71
Payable/Accrued -405.10 -45.61 78.67 299.73 201.15
Other Liabilities -141.90 -30.95 152.47 -55.46 304.71
Changes in Working Capital -855.80 -752.28 5.59 -218.79 -114.13
Cash from Operating Activities 1.10 257.98 912.32 685.68 843.52
Purchase of Fixed Assets -204.20 -158.64 -68.92 -53.38 -66.97
Purchase/Acquisition of Intangibles -- --
Capital Expenditures -204.20 -158.64 -68.92 -53.38 -66.97
Acquisition of Business -3,310.90 -161.33 -102.47 -12.04 -28.15
Sale/Maturity of Investment 562.60 779.94 593.76 400.64 325.13
Purchase of Investments -15.70 -768.54 -841.33 -527.88 -282.53
Other Investing Cash Flow 91.90 447.79 -387.76 196.72 -171.06
Other Investing Cash Flow Items, Total -2,672.10 297.86 -737.80 57.43 -156.61
Cash from Investing Activities -2,876.30 139.22 -806.72 4.05 -223.58
Other Financing Cash Flow -17.20 -76.46 -71.55 -87.97 -101.29
Financing Cash Flow Items -17.20 -76.46 -71.55 -87.97 -101.29
Sale/Issuance of Common 65.40 19.66 14.21 10.52
Repurchase/Retirement of Common -- -200.01 -- -- -362.39
Common Stock, Net 65.40 -180.36 14.21 10.52 -362.39
Issuance (Retirement) of Stock, Net 65.40 -180.36 14.21 10.52 -362.39
Long Term Debt Issued 3.25M
Long Term Debt Reduction -1,366.80
Long Term Debt, Net 1.88M
Issuance (Retirement) of Debt, Net 1.88M
Cash from Financing Activities 1.93M -256.81 -57.34 -77.45 -463.69
Foreign Exchange Effects -15.90 -5.30 18.60 -10.87 -10.64
Net Change in Cash -960.80 135.08 66.86 601.41 145.62
Net Cash - Beginning Balance 2.20M 2.06M 1.99M 1.39M 1.25M
Net Cash - Ending Balance 1.23M 2.20M 2.06M 1.99M 1.39M
Cash Interest Paid 79.00 -- 1.86 4.75 5.27
Cash Taxes Paid 176.80 30.95 70.75 28.00 19.28

In millions of USD (except for per share items)

For a more complete picture of our financial results, please review our SEC Filings

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