Hikma Pharmaceuticals PLC
LSE:HIK

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Hikma Pharmaceuticals PLC Logo
Hikma Pharmaceuticals PLC
LSE:HIK
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Price: 1 950 GBX 4.17% Market Closed
Market Cap: 4.3B GBX
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Cash Flow Statement

Cash Flow Statement
Hikma Pharmaceuticals PLC

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Cash Flow Statement
Currency: USD
Dec-2005 Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024
Operating Cash Flow
Net Income
64
68
76
83
84
74
64
75
95
112
121
93
94
112
132
186
298
405
362
313
318
231
210
227
(738)
(697)
293
378
491
539
558
603
544
440
233
220
281
367
Depreciation & Amortization
10
11
14
18
24
31
33
33
34
36
38
41
47
54
59
68
75
71
72
72
73
93
112
125
136
127
109
111
99
75
91
97
145
196
372
419
259
219
Other Non-Cash Items
3
(1)
(1)
5
11
18
21
19
17
12
21
34
42
48
47
62
69
53
53
63
70
69
142
170
1 116
1 104
116
99
34
38
84
78
108
128
112
121
117
149
Cash Taxes Paid
18
16
19
21
18
12
8
13
16
24
33
20
2
12
25
43
84
112
79
57
51
43
76
109
103
61
63
66
108
103
61
130
129
85
55
77
129
99
Cash Interest Paid
5
5
5
6
10
15
17
16
14
13
14
17
24
30
36
39
37
34
38
40
49
61
54
51
57
54
51
52
44
43
39
40
50
52
68
80
82
81
Change in Working Capital
(45)
(37)
(53)
(76)
(65)
(68)
(43)
(21)
(27)
(12)
(28)
(62)
(57)
(60)
(54)
(42)
(105)
(129)
(62)
(98)
(95)
(53)
(171)
(103)
(71)
(131)
(88)
(156)
(152)
(78)
(269)
(382)
(159)
(181)
(187)
(177)
(49)
(151)
Cash from Operating Activities
33
N/A
42
+27%
35
-15%
30
-16%
53
+80%
55
+3%
75
+37%
106
+41%
119
+12%
148
+24%
153
+3%
106
-30%
126
+19%
154
+22%
184
+19%
273
+48%
337
+23%
401
+19%
425
+6%
350
-18%
366
+5%
340
-7%
293
-14%
419
+43%
443
+6%
403
-9%
430
+7%
432
+0%
472
+9%
577
+22%
464
-20%
396
-15%
638
+61%
583
-9%
530
-9%
583
+10%
608
+4%
584
-4%
Investing Cash Flow
Capital Expenditures
(24)
(41)
(52)
(46)
(55)
(68)
(66)
(49)
(40)
(49)
(53)
(69)
(78)
(95)
(89)
(62)
(75)
(102)
(118)
(115)
(137)
(181)
(190)
(168)
(151)
(145)
(139)
(152)
(186)
(205)
(224)
(217)
(229)
(254)
(225)
(213)
(204)
(205)
Other Items
8
(1)
(20)
(92)
(294)
(225)
(1)
3
3
(23)
(39)
(162)
(266)
(124)
(12)
(22)
(40)
(27)
(224)
(238)
(25)
(592)
(505)
79
0
16
43
56
35
7
(59)
(70)
(9)
(386)
(382)
(7)
(129)
(115)
Cash from Investing Activities
(16)
N/A
(42)
-158%
(73)
-72%
(139)
-91%
(349)
-152%
(292)
+16%
(66)
+77%
(46)
+30%
(38)
+18%
(71)
-89%
(92)
-29%
(231)
-151%
(344)
-49%
(219)
+36%
(101)
+54%
(84)
+17%
(115)
-38%
(128)
-11%
(342)
-167%
(353)
-3%
(162)
+54%
(773)
-377%
(695)
+10%
(89)
+87%
(151)
-70%
(129)
+15%
(96)
+26%
(96)
N/A
(151)
-57%
(198)
-31%
(283)
-43%
(287)
-1%
(238)
+17%
(640)
-169%
(607)
+5%
(220)
+64%
(333)
-51%
(320)
+4%
Financing Cash Flow
Net Issuance of Common Stock
125
126
2
2
3
161
161
2
2
5
3
3
2
1
1
2
(2)
(3)
0
0
1
1
0
0
0
0
0
0
0
(371)
(375)
(4)
0
(303)
(303)
0
0
0
Net Issuance of Debt
(14)
(36)
(8)
55
259
77
(107)
(0)
(50)
(34)
(27)
192
324
193
78
(111)
(143)
(15)
125
320
168
307
153
(185)
(78)
(156)
(141)
(71)
(10)
220
220
(29)
(114)
604
447
(239)
(103)
(46)
Cash Paid for Dividends
(18)
(12)
(7)
(12)
(13)
(14)
(14)
(14)
(16)
(21)
(23)
(25)
(25)
(25)
(27)
(32)
(39)
(53)
(55)
(63)
(64)
(72)
(77)
(80)
(79)
(81)
(84)
(92)
(97)
(107)
(109)
(114)
(120)
(125)
(125)
(124)
(137)
(159)
Other
(16)
(11)
(1)
(4)
(11)
(11)
(15)
(18)
(15)
(19)
(15)
(12)
(52)
(76)
(48)
(39)
(45)
(38)
(40)
(40)
(28)
(38)
(57)
(59)
(63)
(58)
(53)
(67)
(48)
(27)
(34)
(43)
(53)
(60)
(77)
(84)
(97)
(86)
Cash from Financing Activities
77
N/A
67
-14%
(14)
N/A
41
N/A
238
+481%
213
-11%
25
-88%
(31)
N/A
(79)
-157%
(69)
+12%
(61)
+11%
157
N/A
250
+59%
93
-63%
4
-96%
(181)
N/A
(229)
-27%
(110)
+52%
30
N/A
217
+623%
77
-65%
198
+157%
19
-90%
(324)
N/A
(220)
+32%
(295)
-34%
(278)
+6%
(230)
+17%
(155)
+33%
(285)
-84%
(298)
-5%
(190)
+36%
(287)
-51%
116
N/A
(58)
N/A
(447)
-671%
(337)
+25%
(291)
+14%
Change in Cash
Effect of Foreign Exchange Rates
1
(0)
1
2
(0)
1
0
(0)
0
3
(2)
(4)
(1)
(4)
(5)
(4)
(2)
(2)
(1)
(4)
(8)
(8)
(15)
(9)
0
(3)
(7)
(4)
0
(3)
(2)
(10)
(10)
(10)
(21)
(15)
(3)
(9)
Net Change in Cash
95
N/A
66
-31%
(50)
N/A
(66)
-33%
(57)
+14%
(24)
+59%
34
N/A
29
-15%
3
-90%
11
+262%
(3)
N/A
28
N/A
32
+13%
25
-22%
82
+229%
5
-94%
(9)
N/A
161
N/A
112
-30%
210
+88%
273
+30%
(243)
N/A
(398)
-64%
(3)
+99%
72
N/A
(24)
N/A
49
N/A
102
+108%
166
+63%
91
-45%
(119)
N/A
(91)
+24%
103
N/A
49
-52%
(156)
N/A
(99)
+37%
(65)
+34%
(36)
+45%
Free Cash Flow
Free Cash Flow
9
N/A
0
-98%
(17)
N/A
(17)
+3%
(2)
+90%
(13)
-647%
10
N/A
57
+498%
79
+38%
100
+27%
99
0%
37
-62%
48
+30%
60
+24%
95
+59%
211
+122%
262
+24%
300
+14%
307
+3%
235
-23%
229
-3%
159
-31%
103
-35%
251
+144%
292
+16%
258
-12%
291
+13%
280
-4%
286
+2%
372
+30%
240
-35%
179
-25%
409
+128%
329
-20%
305
-7%
370
+21%
404
+9%
379
-6%

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