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LBTYB Stock Annual Cash Flow. Download in Excel

Liberty Global plc Class B Ordinary Shares logo

Liberty Global plc Class B Ordinary Shares

Sector: Information   

Industry: Cable and Other Subscription Programming

13.03
 
USD
  
-0.17
  
(-1.29%)
Previous close: 13.2  Open: 13.03  Bid: 12.0  Ask: 13.67
52 week range    
11.38   
   21.90
Mkt Cap: 4,491 M  Avg Vol (90 Days): 1,782
Peers   
SJR / 
DISH / 
CHTR / 
Last updated: Friday 22nd November 2024

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60
Value
34
Quality
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Financials

LBTYB Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current assets861 M567 M395 M471 M646 M
(Increase) Decrease in other working capital877 M938 M
(Increase) Decrease in payables-1,018 M-702 M-870 M-652 M459 M-787 M-831 M-872 M-756 M-1,194 M
(Increase) Decrease in receivables947 M707 M796 M1,252 M
Acquisitions-1,090 M-1,528 M-1,542 M-532 M-171 M-279 M-13,508 M-7,560 M-9,431 M-8,623 M
AssetImpairmentCharge537 M174 M186 M80 M248 M156 M97 M-19 M85 M68 M
CapitalExpenditureReported2,684 M2,500 M2,154 M1,250 M1,453 M1,243 M1,293 M1,408 M1,303 M1,386 M
Cash at beginning of period2,702 M1,159 M708 M1,077 M1,683 M1,498 M8,181 M4,717 M917 M1,732 M
Cash at end of period1,159 M982 M1,629 M1,672 M1,498 M8,181 M8,181 M4,717 M917 M1,423 M
Cash flow4,084 M5,529 M5,472 M722 M4,845 M-2,619 M5,856 M16,675 M2,066 M2,006 M
Cash from disc. financing activities-1 M249 M-175 M97 M-254 M-21 M-3,934 M-3 M
Cash from disc. investing activities-4 M-442 M-1,342 M-514 M-266 M-57 M50 M-16 M
CashFlowFromContinuingInvestingActivities-2,800 M-3,972 M-3,475 M781 M602 M9,541 M-8,817 M-5,973 M-257 M-1,845 M
CashFromDiscontinuedOperatingActivities-358 M241 M1,895 M4,240 M14,268 M319 M268 M932 M
ChangeInAccountPayable-1,018 M-702 M-870 M-652 M459 M-787 M-831 M-872 M-756 M-1,194 M
ChangeInPayablesAndAccruedExpense-1,018 M-702 M-870 M-652 M459 M-787 M-831 M-872 M-756 M-1,194 M
ChangeInWorkingCapital-157 M-135 M-474 M-181 M1,105 M90 M117 M-165 M40 M58 M
ChangesInAccountReceivables947 M707 M796 M1,252 M
CommonStockDividendPaid-12 M-11 M
CommonStockPayments-1,585 M-2,320 M-1,948 M-2,976 M-2,010 M-3,333 M-1,110 M-1,580 M-1,703 M-2,480 M
Current deferred income taxes-351 M-50 M-1,465 M47 M438 M66 M-263 M318 M173 M-33 M
Deferred income taxes-351 M-50 M-1,465 M47 M438 M66 M-263 M318 M173 M-33 M
Depreciation5,500 M5,826 M5,214 M3,791 M3,858 M3,652 M2,227 M2,354 M2,171 M2,315 M
Depreciation unreconciled5,584 M5,907 M5,290 M3,852 M3,915 M3,706 M2,272 M2,386 M2,202 M2,381 M
DepreciationAndAmortization5,584 M5,907 M5,290 M3,852 M3,915 M3,706 M2,227 M2,354 M2,171 M2,315 M
EarningsLossesFromEquityInvestments151 M395 M262 M369 M245 M175 M1,268 M2,019 M
Effect of exchange rate changes-82 M15 M115 M-45 M-800000.0141 M-7 M-28 M62 M
ExcessTaxBenefitFromStockBasedCompensation-7 M-27 M-4 M
FinancingCashFlow-4,261 M-2,038 M-1,386 M-4,721 M-6,287 M-7,177 M1,084 M-1,546 M-3,276 M-692 M
Free cash flow2,919 M3,206 M3,782 M4,459 M2,532 M3,342 M2,893 M2,141 M2,315 M780 M
GainLossOnInvestmentSecurities97 M-459 M-833 M1,305 M-1,061 M192 M879 M-623 M-1,213 M526 M
GainLossOnSaleOfBusiness-521 M-4 M
GainLossOnSaleOfPPE-700 M
IssuanceOfDebt-1,744 M1,349 M772 M-962 M-3,774 M-3,682 M2,174 M-190 M-1,248 M1,878 M
Net cash from financing activities-4,260 M-1,895 M-1,639 M-4,504 M-6,287 M-6,922 M1,105 M-1,513 M-3,273 M-692 M
Net cash from investing activities-2,803 M-3,829 M-3,918 M79 M602 M9,275 M-8,874 M-5,796 M1,281 M-1,845 M
Net cash from operating activities5,603 M5,706 M5,936 M5,709 M3,985 M4,585 M4,186 M3,549 M2,838 M2,166 M
Net change in cash & cash equivalents-1,543 M-176 M662 M-2,508 M-230 M6,683 M-3,464 M-3,793 M843 M-371 M
Net income from continuing operations-2,510 M-1,226 M1,995 M-5,071 M-561 M-7,742 M563 M27,138 M1,105 M-3,874 M
NetBusinessPurchaseAndSale-101 M-1,528 M-1,542 M-532 M1,887 M10,924 M-13,508 M-7,560 M-9,431 M-8,623 M
NetCommonStockIssuance-1,585 M-2,320 M-1,948 M-2,976 M-2,010 M-3,333 M-1,110 M-1,580 M-1,703 M-2,480 M
NetForeignCurrencyExchangeGainLoss837 M1,149 M400 M182 M-90 M95 M1,409 M-1,324 M-1,407 M71 M
NetInvestmentPropertiesPurchaseAndSale-14 M56 M220 M2,563 M168 M-140 M5,984 M2,995 M9,698 M7,787 M
NetInvestmentPurchaseAndSale-14 M56 M220 M2,563 M168 M-140 M5,984 M2,995 M9,698 M7,787 M
NetIssuancePaymentsOfDebt-1,744 M1,349 M772 M-962 M-3,774 M-3,682 M2,174 M-190 M-1,248 M1,878 M
NetLongTermDebtIssuance-1,744 M1,349 M772 M-962 M-3,774 M-3,682 M2,174 M-190 M-1,248 M1,878 M
NetPPEPurchaseAndSale-2,684 M-2,499 M-2,154 M-1,250 M-1,453 M-1,243 M-1,293 M-1,408 M-523 M-1,386 M
Operating (gains) losses934 M690 M-803 M1,877 M-890 M872 M2,767 M-12,555 M-2,056 M2,618 M
Other financing charges net-919 M-924 M-463 M-566 M-503 M93 M331 M282 M-322 M-90 M
Other investing changes net-14 M56 M73 M2,538 M168 M-179 M75 M-3,053 M484 M798 M
Other non-cash items583 M344 M929 M199 M839 M390 M400 M-446 M601 M856 M
Payment of cash dividends12 M11 M
Purchase of Float term investments-123 M-123 M
Purchase of property plant & equipment-2,684 M-2,499 M-2,154 M-1,250 M-1,453 M-1,243 M-1,293 M-1,408 M-523 M-1,386 M
Purchase of short term investments9,572 M15,230 M12,160 M7,215 M4,397 M6,619 M13,206 M2,571 M5 M3,167 M
PurchaseOfInvestment-123 M-123 M
PurchaseOfPPE-2,684 M-2,499 M-2,154 M-1,250 M-1,453 M-1,243 M-1,293 M-1,408 M-1,303 M-1,386 M
Repayment of debt-11,316 M-13,881 M-11,388 M-8,177 M-8,171 M-10,301 M-11,032 M-2,761 M-1,253 M-1,289 M
RepaymentOfDebt-11,316 M-13,881 M-11,388 M-8,177 M-8,171 M-10,301 M-11,032 M-2,761 M-1,253 M-1,289 M
Repurchase of capital stock-1,585 M-2,320 M-1,948 M-2,976 M-2,010 M-3,333 M-1,110 M-1,580 M-1,703 M-2,480 M
Revenue per share84 M81 M76 M61 M56 M54 M45 M32 M31 M66 M
Sale of short term investments147 M26 M36 M40 M6,032 M6,171 M9,213 M6,989 M
SaleOfBusiness989 M2,058 M11,203 M1,553 M
SaleOfInvestment147 M26 M36 M40 M6,032 M6,171 M9,213 M6,989 M
SaleOfPPE780 M
StockBasedCompensation257 M318 M282 M162 M206 M306 M348 M308 M192 M231 M
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