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Diageo Plc (DGE.LN)

Diageo Plc (DGE.LN)
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[[ session ]] by (Cboe BZX)
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 06/30

(Values in thousands)
  06-2025 06-2024 06-2023 06-2022 06-2021
Cash Flows From Operating Activities
Income taxes - deferred 999,000 1,294,000 1,223,465 1,272,317 1,255,294
Accounts receivable -49,000 -66,000 152,618 -458,471 -617,267
Other Working Capital -77,000 -768,000 -1,482,033 -217,107 458,106
Other Operating Activity 3,424,000 3,645,000 3,920,134 4,175,965 3,961,026
Operating Cash Flow $4,297,000 $4,105,000 $3,814,185 $4,772,705 $5,057,159
Cash Flows From Investing Activities
PPE Investments -1,549,000 -1,496,000 -1,471,942 -1,309,917 -848,396
Net Acquisitions 24,000 -52,000 34,055 -229,235 -656,019
Other Investing Activity -195,000 -47,000 -71,894 -87,328 -5,536
Investing Cash Flow $-1,720,000 $-1,595,000 $-1,509,781 $-1,626,480 $-1,509,951
Cash Flows From Financing Activities
Debt Issued 4,026,000 2,612,000 3,357,592 3,354,842 1,426,911
Debt Repayment -3,128,000 -2,160,000 -2,161,876 -2,359,063 -2,768,013
Common Stock Issued 15,000 21,000 36,578 21,832 67,816
Common Stock Repurchased 0 -987,000 -1,741,861 -2,770,231 -150,857
Dividend Paid -2,298,000 -2,242,000 -2,221,157 -2,083,738 -2,278,075
Other Financing Activity -109,000 -350,000 -306,497 -116,437 -164,697
Financing Cash Flow $-1,494,000 $-3,106,000 $-3,037,221 $-3,952,794 $-3,866,914
Exchange Rate Effect -35,000 -33,000 -286,316 289,880 -394,442
Beginning Cash Position 1,109,000 1,768,000 2,788,744 3,198,380 4,363,772
End Cash Position 2,178,000 1,109,000 1,769,610 2,681,690 3,649,625
Net Cash Flow $1,083,000 $-596,000 $-732,818 $-806,569 $-319,705
Free Cash Flow
Operating Cash Flow 4,297,000 4,105,000 3,814,185 4,772,705 5,057,159
Capital Expenditure -1,612,000 -1,510,000 -1,488,339 -1,330,536 -866,388
Free Cash Flow 2,685,000 2,595,000 2,325,845 3,442,170 4,190,771
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