New Zealand markets closed

Inversiones La Construcción S.A. (ILC.SN)

Santiago - Santiago Delayed price. Currency in CLP
Add to watchlist
8,045.00-5.00 (-0.06%)
As of 01:00PM CLT. Market open.
Annual

Cash flow

All numbers in thousands
Breakdown
ttm
31/12/2023
31/12/2022
31/12/2021
31/12/2020
Cash flows from operating activities
Net income
206,991,768
182,618,052
146,534,220
88,418,723
86,536,519
Depreciation & amortisation
4,958,465
4,700,568
4,670,143
5,886,003
5,273,221
Change in working capital
-375,293,282
147,910,339
-172,760,550
115,518,141
-349,220,762
Other working capital
-228,502,058
287,094,744
-267,800,891
129,947,850
-448,629,569
Other non-cash items
-127,827,583
-103,875,066
-87,593,046
-86,066,733
-1,414,321
Net cash provided by operating activities
-210,884,697
302,666,059
-240,498,155
151,874,382
-422,398,985
Cash flows from investing activities
Investments in property, plant and equipment
-17,617,361
-15,571,315
-27,302,736
-21,926,532
-26,230,584
Acquisitions, net
-7,374,273
-6,840,042
-3,492,110
-3,933,995
-6,513,801
Purchases of investments
-119,779,584
-173,267,098
-689,518,618
-110,205,450
-66,833,168
Sales/maturities of investments
298,202,113
346,234,658
510,419,782
97,398,771
81,501,370
Other investing activities
-348,771,248
-328,005,932
-29,556,727
-10,972,367
29,923,565
Net cash used for investing activities
-69,078,169
-56,495,996
-115,171,265
-41,557,472
81,414,221
Net change in cash
-267,776,671
12,565,639
-295,138,255
379,355,610
-152,055,740
Cash at beginning of period
1,049,081,333
698,149,270
986,686,670
600,202,740
508,114,500
Cash at end of period
781,304,662
605,210,036
698,149,270
986,686,670
600,202,740
Free cash flow
Operating cash flow
-210,884,697
302,666,059
-240,498,155
151,874,382
-422,398,985
Capital expenditure
-17,617,361
-15,571,315
-27,302,736
-21,926,532
-26,230,584
Free cash flow
-228,502,058
287,094,744
-267,800,891
129,947,850
-448,629,569