I

IHS Markit Ltd
F:0M3

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IHS Markit Ltd
F:0M3
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Price: 95.04 EUR 3.37% Market Closed
Market Cap: 37.9B EUR
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Cash Flow Statement

Cash Flow Statement
IHS Markit Ltd

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Cash Flow Statement
Currency: USD
Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Feb-2016 Mar-2016 May-2016 Aug-2016 Nov-2016 Feb-2017 May-2017 Aug-2017 Nov-2017 Feb-2018 May-2018 Aug-2018 Nov-2018 Feb-2019 May-2019 Aug-2019 Nov-2019 Feb-2020 May-2020 Aug-2020 Nov-2020 Feb-2021 May-2021 Aug-2021 Nov-2021
Operating Cash Flow
Net Income
240
289
211
187
158
200
221
241
269
191
222
192
115
162
64
108
184
223
401
417
592
607
564
539
408
442
378
499
874
796
921
869
534
622
620
1 206
Depreciation & Amortization
126
161
136
141
146
152
158
160
163
166
171
143
137
154
217
275
429
455
484
493
502
511
524
541
553
566
577
573
576
582
584
592
598
599
597
587
Change in Deffered Taxes
0
0
0
0
0
0
0
0
0
0
0
13
0
39
19
7
16
(41)
(98)
(100)
(297)
(262)
(205)
(212)
(47)
(71)
101
(50)
(11)
(17)
(170)
(135)
(143)
(144)
(148)
(136)
Other Non-Cash Items
36
62
74
101
96
71
82
81
91
106
66
81
61
40
102
136
218
285
265
268
254
247
231
233
231
227
124
110
(302)
(297)
(183)
(156)
263
260
262
(294)
Cash Taxes Paid
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
82
82
82
82
59
59
59
59
64
64
64
64
191
191
191
191
192
192
192
192
178
Cash Interest Paid
16
19
7
7
8
7
6
6
5
6
6
6
5
6
6
103
103
103
103
137
137
137
137
189
189
189
189
244
244
244
244
225
225
225
225
212
Change in Working Capital
(61)
(68)
(81)
(93)
(67)
(82)
(91)
(92)
(84)
1
(53)
18
(51)
2
87
(26)
8
(160)
(169)
(116)
(137)
(7)
61
188
131
152
204
119
45
(28)
(125)
(32)
12
21
45
124
Cash from Operating Activities
341
N/A
444
+30%
340
-23%
336
-1%
333
-1%
341
+2%
370
+9%
389
+5%
439
+13%
464
+6%
406
-13%
497
+22%
262
-47%
401
+53%
475
+18%
487
+2%
835
+72%
761
-9%
882
+16%
962
+9%
914
-5%
1 096
+20%
1 175
+7%
1 290
+10%
1 275
-1%
1 317
+3%
1 383
+5%
1 251
-10%
1 183
-5%
1 036
-12%
1 026
-1%
1 139
+11%
1 264
+11%
1 358
+7%
1 376
+1%
1 486
+8%
Investing Cash Flow
Capital Expenditures
(124)
(152)
(131)
(125)
(128)
(124)
(125)
(131)
(125)
(125)
(117)
(102)
(94)
(81)
(99)
(123)
(179)
(225)
(240)
(260)
(247)
(244)
(237)
(223)
(228)
(238)
(254)
(278)
(293)
(296)
(290)
(275)
(269)
(270)
(283)
(294)
Other Items
(23)
(40)
(40)
(131)
(103)
(128)
(126)
(48)
(57)
(120)
(317)
(1 415)
(324)
(1 117)
(818)
271
(806)
97
(13)
(386)
(388)
(414)
(2 286)
(1 889)
(1 898)
(1 913)
(0)
7
477
484
481
480
(176)
(146)
(213)
(304)
Cash from Investing Activities
(147)
N/A
(193)
-31%
(171)
+11%
(256)
-50%
(231)
+10%
(252)
-9%
(251)
+0%
(179)
+29%
(182)
-2%
(246)
-35%
(434)
-77%
(1 517)
-249%
(418)
+72%
(1 199)
-187%
(918)
+23%
148
N/A
(985)
N/A
(129)
+87%
(253)
-97%
(646)
-155%
(635)
+2%
(658)
-4%
(2 522)
-283%
(2 112)
+16%
(2 126)
-1%
(2 151)
-1%
(254)
+88%
(272)
-7%
184
N/A
188
+2%
191
+1%
205
+8%
(446)
N/A
(416)
+7%
(496)
-19%
(598)
-21%
Financing Cash Flow
Net Issuance of Common Stock
(69)
(94)
(46)
(45)
(54)
(36)
(31)
52
(280)
(237)
(412)
(574)
(136)
(291)
(196)
(354)
(967)
(1 241)
(1 366)
(986)
(607)
(658)
(394)
(443)
(301)
176
2
(322)
(717)
(953)
(789)
(721)
(351)
(146)
(181)
13
Net Issuance of Debt
53
20
20
112
15
(2)
(40)
(213)
47
222
472
1 442
265
1 030
546
(214)
1 051
428
715
813
564
476
2 083
1 494
1 321
803
(1 012)
(557)
(387)
124
(103)
(225)
(100)
(418)
(83)
(267)
Cash Paid for Dividends
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(68)
(135)
(203)
(270)
(282)
(294)
(306)
(319)
Other
(186)
(186)
(178)
(182)
(5)
(5)
(4)
(0)
0
0
(2)
(17)
0
(33)
(36)
(17)
(27)
(11)
(3)
(156)
(238)
(248)
(317)
(179)
(139)
(139)
(80)
(79)
(137)
(129)
(128)
(128)
(93)
(128)
(128)
(125)
Cash from Financing Activities
(202)
N/A
(261)
-29%
(204)
+22%
(115)
+44%
(44)
+62%
(43)
+2%
(75)
-76%
(162)
-115%
(233)
-44%
(15)
+93%
59
N/A
851
+1 355%
127
-85%
722
+467%
330
-54%
(570)
N/A
57
N/A
(824)
N/A
(654)
+21%
(329)
+50%
(282)
+14%
(430)
-53%
1 373
N/A
873
-36%
880
+1%
840
-5%
(1 090)
N/A
(958)
+12%
(1 308)
-37%
(1 093)
+16%
(1 223)
-12%
(1 345)
-10%
(826)
+39%
(985)
-19%
(699)
+29%
(698)
+0%
Change in Cash
Effect of Foreign Exchange Rates
(1)
0
(0)
2
2
(0)
(1)
(3)
(2)
(1)
(2)
(1)
(2)
(10)
20
14
11
9
(22)
9
4
(11)
(25)
(64)
(52)
(55)
(69)
(30)
(48)
(33)
39
15
36
54
(0)
(23)
Net Change in Cash
(9)
N/A
(10)
-10%
(35)
-260%
(34)
+2%
61
N/A
46
-25%
42
-7%
46
+9%
22
-53%
203
+820%
28
-86%
(170)
N/A
(30)
+83%
(85)
-186%
(92)
-8%
78
N/A
(82)
N/A
(183)
-123%
(47)
+74%
(5)
+89%
1
N/A
(4)
N/A
1
N/A
(14)
N/A
(23)
-65%
(50)
-117%
(30)
+39%
(9)
+72%
11
N/A
98
+819%
33
-67%
14
-57%
28
+99%
10
-66%
181
+1 786%
168
-8%
Free Cash Flow
Free Cash Flow
217
N/A
291
+34%
209
-28%
210
+1%
206
-2%
217
+5%
245
+13%
259
+6%
314
+21%
339
+8%
289
-15%
395
+37%
168
-57%
320
+90%
376
+18%
363
-3%
656
+80%
536
-18%
642
+20%
701
+9%
667
-5%
851
+28%
938
+10%
1 067
+14%
1 047
-2%
1 079
+3%
1 129
+5%
973
-14%
890
-9%
741
-17%
736
-1%
864
+17%
994
+15%
1 087
+9%
1 093
+0%
1 192
+9%

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