Marks and Spencer Group PLC
LSE:MKS

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Marks and Spencer Group PLC Logo
Marks and Spencer Group PLC
LSE:MKS
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Price: 368.2 GBX 0.19% Market Closed
Market Cap: 7.4B GBX
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Cash Flow Statement

Cash Flow Statement
Marks and Spencer Group PLC

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Cash Flow Statement
Currency: GBP
Apr-2004 Oct-2004 Apr-2005 Oct-2005 Apr-2006 Sep-2006 Mar-2007 Sep-2007 Mar-2008 Sep-2008 Mar-2009 Sep-2009 Apr-2010 Oct-2010 Apr-2011 Oct-2011 Mar-2012 Sep-2012 Mar-2013 Sep-2013 Mar-2014 Sep-2014 Mar-2015 Sep-2015 Apr-2016 Oct-2016 Apr-2017 Sep-2017 Mar-2018 Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Apr-2021 Oct-2021 Apr-2022 Oct-2022 Apr-2023 Sep-2023 Mar-2024
Operating Cash Flow
Net Income
824
579
355
457
521
591
659
772
821
649
507
506
523
557
599
587
490
460
445
474
506
490
482
427
404
250
116
184
29
5
45
102
27
(161)
(201)
30
309
316
365
405
425
Depreciation & Amortization
242
241
255
261
274
278
283
312
318
359
409
423
428
439
468
472
480
475
467
464
505
549
550
558
577
592
590
589
581
649
703
662
633
624
603
551
511
507
523
531
526
Other Non-Cash Items
(6)
873
876
184
359
376
409
435
295
252
249
218
315
344
215
180
298
331
339
243
189
160
197
314
317
380
470
292
431
573
541
422
453
441
207
291
326
253
223
391
464
Cash Taxes Paid
220
209
167
99
102
153
151
153
166
110
81
99
121
178
185
155
149
128
106
97
46
31
71
89
99
103
98
87
94
87
106
136
92
43
6
5
8
29
71
118
191
Cash Interest Paid
61
0
144
192
143
127
123
109
89
169
197
164
163
146
146
139
136
133
135
128
133
160
115
113
114
111
111
108
112
170
229
229
224
208
219
246
217
231
213
191
185
Change in Working Capital
(660)
(765)
(51)
97
(58)
(211)
(58)
(373)
(364)
237
126
(78)
(37)
(212)
(81)
43
(64)
(98)
(111)
(151)
(70)
71
49
71
(86)
(143)
(107)
(77)
(191)
(126)
(45)
(156)
(159)
42
262
289
232
(50)
(81)
(115)
(114)
Cash from Operating Activities
399
N/A
928
+132%
1 435
+55%
999
-30%
1 096
+10%
1 034
-6%
1 293
+25%
1 146
-11%
1 070
-7%
1 497
+40%
1 291
-14%
1 070
-17%
1 229
+15%
1 128
-8%
1 200
+6%
1 282
+7%
1 203
-6%
1 167
-3%
1 140
-2%
1 030
-10%
1 130
+10%
1 270
+12%
1 278
+1%
1 370
+7%
1 212
-12%
1 078
-11%
1 068
-1%
988
-7%
850
-14%
1 102
+30%
1 245
+13%
1 029
-17%
954
-7%
946
-1%
871
-8%
1 161
+33%
1 378
+19%
1 026
-26%
1 030
+0%
1 212
+18%
1 302
+7%
Investing Cash Flow
Capital Expenditures
(429)
(376)
(243)
(213)
(309)
(497)
(713)
(977)
(1 019)
(868)
(662)
(445)
(430)
(416)
(454)
(580)
(721)
(800)
(830)
(740)
(642)
(704)
(700)
(600)
(550)
(512)
(410)
(369)
(349)
(324)
(313)
(306)
(329)
(313)
(207)
(200)
(257)
(313)
(410)
(417)
(429)
Other Items
97
215
496
543
56
59
63
16
53
110
66
(25)
(100)
(17)
(37)
(32)
(37)
27
249
152
27
29
51
44
(26)
(25)
38
10
33
33
(75)
(653)
(437)
154
14
(19)
12
(54)
(106)
(46)
(6)
Cash from Investing Activities
(332)
N/A
(161)
+51%
253
N/A
330
+31%
(253)
N/A
(438)
-73%
(651)
-49%
(961)
-48%
(966)
-1%
(758)
+22%
(597)
+21%
(469)
+21%
(530)
-13%
(433)
+18%
(491)
-13%
(611)
-25%
(758)
-24%
(773)
-2%
(580)
+25%
(588)
-1%
(615)
-5%
(675)
-10%
(649)
+4%
(556)
+14%
(576)
-4%
(537)
+7%
(372)
+31%
(359)
+3%
(316)
+12%
(291)
+8%
(388)
-33%
(960)
-147%
(766)
+20%
(159)
+79%
(193)
-21%
(218)
-13%
(246)
-13%
(367)
-50%
(517)
-41%
(463)
+10%
(435)
+6%
Financing Cash Flow
Net Issuance of Common Stock
(67)
0
0
(5)
(11)
(60)
(55)
0
0
0
(36)
(52)
(7)
12
(4)
(18)
31
48
23
24
44
34
17
(27)
(141)
(89)
6
(3)
(3)
(5)
(5)
575
566
(10)
(1)
0
0
0
(0)
(16)
(26)
Net Issuance of Debt
414
(58)
(1 745)
(1 547)
(353)
(315)
(415)
189
398
(67)
81
(74)
(319)
(221)
(215)
(211)
(67)
(4)
(140)
21
(86)
(206)
(181)
(261)
(19)
38
50
(24)
(287)
(407)
(215)
67
(351)
(589)
(21)
(51)
(380)
(532)
(422)
(544)
(639)
Cash Paid for Dividends
(247)
0
0
(124)
(204)
(234)
(261)
(310)
(344)
(364)
(355)
(280)
(236)
(236)
(248)
(268)
(268)
(270)
(271)
(273)
(274)
(276)
(281)
(295)
(302)
(378)
(378)
(303)
(303)
(303)
(304)
(226)
(191)
0
0
0
0
0
0
0
(20)
Other
(3)
0
(119)
(167)
(143)
(127)
(145)
(130)
(89)
(184)
(212)
(236)
(231)
(177)
(182)
(211)
(208)
(205)
(207)
(200)
(183)
(193)
(170)
(169)
(170)
(169)
(169)
(168)
(172)
(232)
(291)
(292)
(280)
(205)
(223)
(245)
(217)
(303)
(222)
(128)
(225)
Cash from Financing Activities
97
N/A
(195)
N/A
(1 864)
-856%
(1 843)
+1%
(711)
+61%
(737)
-4%
(876)
-19%
(250)
+71%
(34)
+86%
(614)
-1 696%
(521)
+15%
(641)
-23%
(793)
-24%
(622)
+22%
(647)
-4%
(708)
-9%
(511)
+28%
(430)
+16%
(596)
-38%
(427)
+28%
(498)
-17%
(640)
-29%
(615)
+4%
(753)
-22%
(631)
+16%
(597)
+5%
(491)
+18%
(499)
-2%
(765)
-53%
(947)
-24%
(814)
+14%
124
N/A
(257)
N/A
(879)
-242%
(244)
+72%
(296)
-21%
(596)
-101%
(835)
-40%
(644)
+23%
(688)
-7%
(910)
-32%
Change in Cash
Effect of Foreign Exchange Rates
0
1
1
1
2
(1)
(2)
0
2
2
8
5
(2)
(1)
(1)
(1)
(2)
(3)
1
1
(2)
(2)
(2)
(3)
4
10
6
0
(4)
(3)
(0)
2
1
(2)
(3)
(3)
(8)
(3)
1
(5)
(2)
Net Change in Cash
165
N/A
573
+248%
(175)
N/A
(513)
-193%
133
N/A
(142)
N/A
(235)
-65%
(65)
+72%
71
N/A
127
+79%
180
+42%
(36)
N/A
(96)
-165%
72
N/A
61
-16%
(38)
N/A
(68)
-77%
(38)
+43%
(35)
+9%
16
N/A
15
-5%
(47)
N/A
12
N/A
58
+379%
8
-86%
(46)
N/A
210
N/A
130
-38%
(235)
N/A
(140)
+41%
42
N/A
196
+366%
(68)
N/A
(94)
-37%
431
N/A
644
+49%
528
-18%
(179)
N/A
(130)
+27%
56
N/A
(46)
N/A
Free Cash Flow
Free Cash Flow
(30)
N/A
553
N/A
1 192
+116%
786
-34%
787
+0%
537
-32%
579
+8%
169
-71%
51
-70%
629
+1 138%
628
0%
625
-1%
800
+28%
712
-11%
746
+5%
702
-6%
482
-31%
367
-24%
311
-15%
290
-7%
488
+68%
566
+16%
578
+2%
770
+33%
662
-14%
567
-14%
658
+16%
619
-6%
501
-19%
778
+55%
932
+20%
723
-22%
625
-14%
633
+1%
664
+5%
962
+45%
1 121
+17%
713
-36%
620
-13%
795
+28%
872
+10%

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