NUN Cash Flow Statement - Nu Holdings Ltd - Alpha Spread

Nu Holdings Ltd
BMV:NUN

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Nu Holdings Ltd
BMV:NUN
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Price: 255 MXN 0.61% Market Closed
Market Cap: 1.2T MXN
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Cash Flow Statement

Cash Flow Statement
Nu Holdings Ltd

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Cash Flow Statement
Currency: USD
Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
(172)
(188)
(204)
(206)
(165)
(161)
(176)
(133)
(365)
(178)
77
372
1 031
1 268
1 530
Depreciation & Amortization
7
9
10
15
17
23
30
32
36
41
45
56
63
68
72
Change in Deffered Taxes
(44)
(60)
(104)
(153)
(225)
(311)
(358)
(414)
(418)
(400)
(473)
(562)
(676)
(787)
(809)
Stock-Based Compensation
36
68
89
111
157
167
239
406
253
269
234
98
213
233
0
Other Non-Cash Items
314
460
548
680
666
774
1 143
1 352
1 752
2 020
2 291
2 624
2 860
3 280
3 457
Cash Taxes Paid
8
19
27
38
52
239
262
276
297
499
473
570
612
1 195
1 261
Cash Interest Paid
6
5
9
10
9
13
11
21
31
44
59
76
83
100
103
Change in Working Capital
871
591
(145)
(1 592)
(3 218)
(2 949)
(2 752)
(2 168)
(250)
(712)
68
(3 702)
(2 011)
(3 227)
(2 680)
Cash from Operating Activities
977
N/A
812
-17%
104
-87%
(1 257)
N/A
(2 924)
-133%
(2 624)
+10%
(2 113)
+19%
(1 332)
+37%
756
N/A
772
+2%
2 007
+160%
(1 212)
N/A
1 266
N/A
601
-53%
1 570
+161%
Investing Cash Flow
Capital Expenditures
(8)
(13)
(11)
(18)
(29)
(38)
(76)
(100)
(114)
(146)
(160)
(174)
(177)
(157)
(122)
Other Items
(8)
0
(117)
(109)
(126)
(149)
(30)
(30)
(13)
11
0
0
0
0
3
Cash from Investing Activities
(16)
N/A
(21)
-31%
(128)
-501%
(127)
+1%
(154)
-21%
(187)
-21%
(106)
+44%
(130)
-23%
(127)
+2%
(136)
-7%
(160)
-18%
(174)
-9%
(177)
-2%
(157)
+11%
(119)
+25%
Financing Cash Flow
Net Issuance of Common Stock
307
707
808
808
3 399
3 247
2 848
2 847
253
5
8
9
9
9
5
Net Issuance of Debt
(67)
(57)
(111)
(34)
(15)
(30)
356
295
406
443
184
512
416
655
1 050
Other
(3)
(4)
0
0
(48)
(52)
(52)
(52)
(4)
0
0
0
0
0
0
Cash from Financing Activities
238
N/A
646
+172%
694
+7%
770
+11%
3 336
+333%
3 167
-5%
3 152
0%
3 090
-2%
654
-79%
448
-31%
192
-57%
521
+171%
425
-18%
664
+56%
1 055
+59%
Change in Cash
Effect of Foreign Exchange Rates
(101)
(269)
86
553
104
412
104
68
184
258
435
386
237
616
(151)
Net Change in Cash
1 097
N/A
1 168
+6%
755
-35%
(61)
N/A
362
N/A
768
+112%
1 039
+35%
1 696
+63%
1 467
-14%
1 342
-9%
2 474
+84%
(479)
N/A
1 751
N/A
1 723
-2%
2 355
+37%
Free Cash Flow
Free Cash Flow
969
N/A
799
-18%
93
-88%
(1 275)
N/A
(2 953)
-132%
(2 662)
+10%
(2 189)
+18%
(1 432)
+35%
641
N/A
626
-2%
1 847
+195%
(1 386)
N/A
1 089
N/A
444
-59%
1 448
+226%

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