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Bombardier Inc Cl A Mv (BBD-A.TO)

Bombardier Inc Cl A Mv (BBD-A.TO)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [TSX]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] by (Cboe BZX)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [TSX]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] [[ item.lastPriceExt ]] [[ item.priceChangeExt ]] ([[ item.percentChangeExt ]]) [[ item.tradeTimeExt ]]
Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Depreciation Amortization 445,000 431,000 415,000 417,000 510,000
Income taxes - deferred -179,000 -105,000 -123,000 -125,000 32,000
Accounts receivable -132,000 -23,000 -1,000 -172,000 -340,000
Other Working Capital -383,000 -300,000 909,000 -547,000 -1,516,000
Other Operating Activity 654,000 620,000 -128,000 138,000 -1,507,000
Operating Cash Flow $405,000 $623,000 $1,072,000 $-289,000 $-2,821,000
Cash Flows From Investing Activities
PPE Investments -173,000 -366,000 -337,000 -232,000 -354,000
Net Acquisitions N/A N/A 0 3,200,000 1,285,000
Sale Of Investment 29,000 133,000 N/A N/A N/A
Other Investing Activity -20,000 351,000 12,000 -468,000 36,000
Investing Cash Flow $-164,000 $118,000 $-325,000 $2,500,000 $967,000
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A N/A 0 365,000 742,000
Debt Issued 1,476,000 1,478,000 0 2,180,000 707,000
Debt Repayment -1,631,000 -1,939,000 -1,082,000 -5,445,000 -101,000
Common Stock Issued 16,000 69,000 10,000 5,000 N/A
Common Stock Repurchased -22,000 -24,000 -40,000 -51,000 N/A
Dividend Paid -22,000 -22,000 -20,000 -20,000 -19,000
Other Financing Activity -20,000 0 0 1,000 384,000
Financing Cash Flow $-203,000 $-438,000 $-1,132,000 $-2,965,000 $1,713,000
Exchange Rate Effect 1,000 0 1,000 -21,000 -38,000
Beginning Cash Position 1,594,000 1,291,000 1,675,000 2,450,000 2,629,000
End Cash Position 1,653,000 1,594,000 1,291,000 1,675,000 2,450,000
Net Cash Flow $58,000 $303,000 $-385,000 $-754,000 $-141,000
Free Cash Flow
Operating Cash Flow 405,000 623,000 1,072,000 -289,000 -2,821,000
Capital Expenditure -173,000 -366,000 -355,000 -237,000 -364,000
Free Cash Flow 232,000 257,000 717,000 -526,000 -3,185,000
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