Cia DE Saneamento Basico Do Estado ADR (SBS)
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Fiscal Year End Date: 12/31
(Values in U.S. thousands)
12-2022 | 12-2021 | 12-2020 | 12-2019 | 12-2018 | |
Cash Flows From Operating Activities | |||||
Net Income | 827,632 | 587,430 | 257,244 | 1,185,391 | 1,070,411 |
Depreciation Amortization | 474,730 | 417,541 | 395,200 | 451,076 | 380,999 |
Accounts receivable | -152,050 | -133,712 | -25,155 | -11,702 | -8,690 |
Accounts payable and accrued liabilities | -42,704 | -45,491 | -48,190 | -88,446 | -48,380 |
Other Working Capital | -408,464 | -281,734 | -208,801 | -157,114 | -235,907 |
Other Operating Activity | 69,380 | 181,185 | 595,475 | -315,623 | -107,011 |
Operating Cash Flow | $768,524 | $725,218 | $965,772 | $1,063,582 | $1,051,423 |
Cash Flows From Investing Activities | |||||
Change In Deposits | 146,343 | 199,470 | -661,762 | N/A | N/A |
PPE Investments | -14,270 | -9,317 | -8,227 | -19,806 | -13,857 |
Purchase Of Investment | N/A | N/A | -1,112 | 61 | -311 |
Purchase Sale Intangibles | -687,739 | -684,993 | -640,134 | -809,676 | -583,468 |
Other Investing Activity | -689,609 | -683,645 | -642,020 | -808,185 | -584,822 |
Investing Cash Flow | $-557,536 | $-493,492 | $-1,313,122 | $-827,930 | $-598,989 |
Cash Flows From Financing Activities | |||||
Debt Issued | 543,721 | 541,597 | 926,830 | 454,445 | 447,214 |
Debt Repayment | -297,664 | -536,741 | -629,355 | -544,353 | -459,306 |
Other Financing Activity | -234,376 | -177,003 | -310,347 | -342,377 | -236,197 |
Financing Cash Flow | $11,681 | $-172,147 | $-12,872 | $-432,286 | $-248,289 |
Beginning Cash Position | 139,063 | 73,453 | 437,123 | 767,597 | 624,642 |
End Cash Position | 361,732 | 133,032 | 76,902 | 570,963 | 828,787 |
Net Cash Flow | $222,669 | $59,579 | $-360,221 | $-196,634 | $204,145 |
Free Cash Flow | |||||
Operating Cash Flow | 768,524 | 725,218 | 965,772 | 1,063,582 | 1,051,423 |
Capital Expenditure | -14,270 | -9,317 | -8,227 | -19,806 | -13,857 |
Free Cash Flow | 754,254 | 715,901 | 957,545 | 1,043,777 | 1,037,567 |