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Principal Financial Group Inc (PFG)

Principal Financial Group Inc (PFG)
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[[ session ]] by (Cboe BZX)
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2023 12-2022 12-2021 12-2020 12-2019
Cash Flows From Operating Activities
Net Income 670,100 4,797,500 1,627,000 1,428,500 1,444,100
Depreciation Amortization 289,200 310,400 182,000 664,800 598,200
Income taxes - deferred -40,500 854,800 117,900 442,500 211,200
Other Working Capital 2,075,000 1,992,900 1,411,900 1,419,400 3,753,400
Other Operating Activity 798,600 -4,782,700 -84,400 -245,900 -513,700
Operating Cash Flow $3,792,400 $3,172,900 $3,254,400 $3,709,300 $5,493,200
Cash Flows From Investing Activities
PPE Investments -102,000 -116,300 -129,900 -108,800 -132,400
Net Acquisitions -55,500 128,800 -120,700 -228,300 -1,239,700
Purchase Of Investment -13,461,200 -23,083,800 -21,849,000 -18,962,900 -17,624,800
Sale Of Investment 13,191,100 24,198,000 16,548,500 14,340,600 11,797,500
Other Investing Activity -919,300 -68,200 -142,600 -37,100 -489,100
Investing Cash Flow $-1,346,900 $1,058,500 $-5,693,700 $-4,996,500 $-7,688,500
Cash Flows From Financing Activities
Change In Short Term Borrowing -357,100 1,087,200 2,933,100 557,100 680,900
Debt Issued 9,310,400 7,362,100 9,359,800 10,893,300 9,704,900
Debt Repayment -10,228,500 -7,999,900 -8,842,700 -8,949,400 -7,806,800
Common Stock Issued 57,800 181,700 86,700 42,800 37,700
Common Stock Repurchased -743,200 -1,704,200 -961,400 -308,400 -282,700
Dividend Paid -625,500 -642,300 -654,100 -614,500 -606,000
Other Financing Activity 300 0 100 200 5,700
Financing Cash Flow $-2,585,800 $-1,715,400 $1,921,500 $1,621,100 $1,733,700
Beginning Cash Position 4,848,000 2,332,000 2,849,800 2,515,900 2,977,500
End Cash Position 4,707,700 4,848,000 2,332,000 2,849,800 2,515,900
Net Cash Flow $-140,300 $2,516,000 $-517,800 $333,900 $-461,600
Free Cash Flow
Operating Cash Flow 3,792,400 3,172,900 3,254,400 3,709,300 5,493,200
Capital Expenditure -102,000 -116,300 -129,900 -108,800 -132,400
Free Cash Flow 3,690,400 3,056,600 3,124,500 3,600,500 5,360,800
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