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Irsa Inversiones Y Representaciones S.A. ADR (IRS)

Irsa Inversiones Y Representaciones S.A. ADR (IRS)
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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 U.S. thousands)
  06-2025 06-2024 06-2023 06-2022 06-2021
Cash Flows From Operating Activities
Net Income 196,118 -67,606 341,522 279,136 -447,333
Depreciation Amortization 10,510 13,096 10,640 7,448 7,640
Accounts receivable -10,146 9,532 -3,942 -248 18,017
Accounts payable and accrued liabilities -18,054 -98,908 -1,630 4,992 -30,262
Other Working Capital -22,107 -95,704 -627 4,872 -12,923
Other Operating Activity 104,398 446,600 -141,596 -194,784 482,188
Operating Cash Flow $260,719 $207,010 $204,366 $101,416 $17,326
Cash Flows From Investing Activities
PPE Investments -39,475 60,482 102,894 156,096 204,406
Net Acquisitions N/A 47,562 N/A N/A 525,016
Purchase Of Investment -346,408 -761,616 -203,185 -183,424 -126,652
Sale Of Investment 275,049 771,662 245,409 84,008 198,004
Purchase Sale Intangibles -1,823 -1,458 -801 -520 -619
Other Investing Activity 28,563 48,410 2,957 32,880 6,997
Investing Cash Flow $-82,271 $166,500 $148,075 $89,560 $807,772
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A 77,252 -8,075 N/A 61,023
Debt Issued 373,388 225,904 215,376 39,208 111,420
Debt Repayment -182,417 -206,430 -397,544 -105,064 -535,250
Common Stock Issued 7,373 3,264 168 32 49,171
Common Stock Repurchased -19,503 -53,422 -9,766 -2,600 N/A
Dividend Paid -80,646 -304,836 -180,790 -1,448 -30,785
Other Financing Activity -62,680 -123,608 -73,662 -39,432 -236,774
Financing Cash Flow $35,515 $-381,876 $-454,294 $-109,304 $-581,196
Exchange Rate Effect -76,595 54 -3,472 -4,800 -106,553
Beginning Cash Position 39,452 64,906 154,241 25,336 1,615,056
End Cash Position 176,820 56,594 48,916 102,208 22,979
Net Cash Flow $137,368 $-8,312 $-105,325 $76,872 $-1,592,077
Free Cash Flow
Operating Cash Flow 260,719 207,010 204,366 101,416 17,326
Capital Expenditure -47,245 -32,412 -37,503 -51,752 -15,541
Free Cash Flow 213,474 174,598 166,863 49,664 1,785
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