Hang Lung Group Limited (HNLGF)

USD 1.27

(11.4%)

Annual Cash Flows

(In HKD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 2.29 Billion 4.44 Billion 3.04 Billion 3.76 Billion 5.69 Billion 6.1 Billion
Net Income 2.81 Billion 6.35 Billion 7.26 Billion -924 Million 17.97 Billion 10.66 Billion
Depreciation & Amortization 88 Million 78 Million 62 Million 48 Million 50 Million 46 Million
Deferred income taxes -2.17 Billion -1.26 Billion -2.01 Billion 5.67 Billion -12.61 Billion -5.95 Billion
Stock-based compensation 83 Million 88 Million 66 Million 55 Million 67 Million 71 Million
Change in working capital -1.89 Billion -1.27 Billion -2.76 Billion -1.24 Billion 232 Million 565 Million
Other non-cash items 3.37 Billion 464 Million 427 Million 152 Million -16 Million 715 Million
Investing Cash Flow -3.5 Billion -3.2 Billion -1.44 Billion -2.2 Billion -8.76 Billion -5.05 Billion
Investments in PPE -3.13 Billion -2.72 Billion -2.87 Billion -3.12 Billion -12.31 Billion -13.01 Billion
Acquisitions -495 Million -879 Million -243 Million -160 Million 1.17 Billion -1.2 Billion
Investment purchases 2.84 Billion -879 Million 243 Million 160 Million 406 Million -1 Million
Sales/Maturities of investments 119 Million 41 Million 1.17 Billion 716 Million 1.87 Billion 7.9 Billion
Other Investing Activities -2.84 Billion 1.23 Billion 262 Million 201 Million 95 Million 1.25 Billion
Financing Cash Flow 1.82 Billion -4.25 Billion 1.81 Billion 2.06 Billion -3.84 Billion -2.46 Billion
Debt repayment -4.85 Billion -35.89 Billion -18.76 Billion -12.27 Billion -12.01 Billion -8.29 Billion
Dividends payments -1.17 Billion -1.17 Billion -1.14 Billion -1.47 Billion -1.08 Billion -1.08 Billion
Common Stock Repurchased - - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities -1.83 Billion 32.81 Billion 21.72 Billion 15.8 Billion 9.26 Billion 6.91 Billion
Accounts receivables 58 Million -249 Million -263 Million -1.22 Billion -228 Million -16 Million
Accounts payables 604 Million -19 Million 698 Million 276 Million 218 Million 70 Million
Inventory -2.57 Billion -1.01 Billion -3.4 Billion -318 Million 83 Million 371 Million
Other working capital 15 Million 15 Million 205 Million 30 Million 159 Million 194 Million
Cash at beginning of period 5.7 Billion 9.01 Billion 5.5 Billion 1.72 Billion 8.7 Billion 10.49 Billion
Cash at end of period 6.26 Billion 5.7 Billion 9.01 Billion 5.5 Billion 1.72 Billion 8.7 Billion
Capital Expenditure -3.13 Billion -2.72 Billion -2.87 Billion -3.12 Billion -12.31 Billion -13.01 Billion
Effect of forex changes on cash -53 Million -302 Million 86 Million 164 Million -61 Million -374 Million
Net cash flow / Change in cash 558 Million -3.31 Billion 3.5 Billion 3.78 Billion -6.97 Billion -1.78 Billion
Free Cash Flow -840 Million 1.72 Billion 165 Million 636 Million -6.61 Billion -6.91 Billion

Cash Flow Charts