IHG Cash Flow Statement - InterContinental Hotels Group PLC - Alpha Spread
I

InterContinental Hotels Group PLC
NYSE:IHG

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InterContinental Hotels Group PLC
NYSE:IHG
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Price: 108.21 USD -0.39% Market Closed
Market Cap: 17.8B USD
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Cash Flow Statement

Cash Flow Statement
InterContinental Hotels Group PLC

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Cash Flow Statement
Currency: USD
Jun-2006 Sep-2006 Dec-2006 Mar-2007 Jun-2007 Sep-2007 Dec-2007 Mar-2008 Jun-2008 Sep-2008 Dec-2008 Mar-2009 Jun-2009 Sep-2009 Dec-2009 Mar-2010 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Mar-2012 Sep-2012 Dec-2012 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
1 068
1 280
746
745
576
403
462
432
407
371
262
228
70
47
214
241
384
419
293
308
308
383
465
550
581
538
248
541
526
350
423
386
(130)
(260)
(2)
265
433
376
619
750
638
Depreciation & Amortization
174
143
118
116
118
120
116
116
116
114
112
107
104
106
109
112
113
112
108
106
104
102
99
96
92
94
53
114
134
164
172
170
174
172
173
192
184
154
153
150
145
Change in Deffered Taxes
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
(5)
0
(3)
(8)
(11)
(8)
(2)
0
0
0
0
0
0
0
Other Non-Cash Items
(653)
(781)
(245)
(238)
(74)
146
136
199
247
201
267
224
319
308
103
119
30
4
112
164
186
168
123
68
99
128
163
175
174
284
276
445
545
461
320
288
359
362
308
304
408
Cash Taxes Paid
141
155
79
69
74
87
74
76
9
(9)
(1)
21
72
3
1
1
(2)
60
64
67
75
78
90
68
96
122
50
147
102
66
128
141
77
41
85
86
163
211
209
243
261
Cash Interest Paid
113
236
61
55
54
67
84
104
116
121
112
94
82
65
53
47
43
38
59
59
58
57
56
55
50
50
13
75
86
92
103
115
114
133
139
134
136
126
118
119
143
Change in Working Capital
(26)
(208)
(184)
(174)
(240)
(269)
(250)
(283)
(148)
(16)
0
32
(49)
20
6
(3)
(5)
(114)
(51)
(147)
(204)
(227)
(208)
(212)
(211)
(288)
(237)
(248)
(166)
(86)
(278)
(337)
(133)
(234)
(164)
(109)
(338)
(246)
(294)
(311)
(451)
Cash from Operating Activities
563
N/A
434
-23%
435
+0%
448
+3%
380
-15%
400
+5%
464
+16%
465
+0%
622
+34%
669
+8%
641
-4%
591
-8%
444
-25%
481
+8%
432
-10%
469
+9%
522
+11%
421
-19%
462
+10%
431
-7%
394
-9%
426
+8%
479
+12%
502
+5%
561
+12%
472
-16%
227
-52%
577
+154%
668
+16%
709
+6%
585
-17%
653
+12%
448
-31%
137
-69%
327
+139%
636
+94%
638
+0%
646
+1%
786
+22%
893
+14%
740
-17%
Investing Cash Flow
Capital Expenditures
(219)
(217)
(217)
(227)
(241)
(204)
(186)
(173)
(113)
(134)
(102)
(92)
(108)
(160)
(133)
(123)
(138)
(77)
(91)
(101)
(83)
(88)
(103)
(105)
(117)
(128)
(92)
(216)
(196)
(158)
(163)
(179)
(159)
(76)
(35)
(52)
(69)
(99)
(101)
(82)
(83)
Other Items
1 697
2 399
1 348
1 132
832
137
148
140
57
91
77
77
65
12
19
18
24
133
127
110
141
53
65
75
6
0
(63)
10
40
(39)
(307)
(314)
3
15
(22)
40
67
21
7
(55)
(69)
Cash from Investing Activities
1 478
N/A
2 182
+48%
1 131
-48%
905
-20%
591
-35%
(66)
N/A
(38)
+43%
(32)
+15%
(56)
-73%
(43)
+23%
(25)
+42%
(15)
+39%
(43)
-183%
(148)
-244%
(114)
+23%
(105)
+8%
(114)
-9%
56
N/A
36
-36%
9
-75%
58
+544%
(35)
N/A
(38)
-9%
(30)
+21%
(111)
-270%
(128)
-15%
(155)
-21%
(206)
-33%
(156)
+24%
(197)
-26%
(470)
-139%
(493)
-5%
(156)
+68%
(61)
+61%
(57)
+7%
(12)
+79%
(2)
+83%
(78)
-3 800%
(94)
-21%
(137)
-46%
(152)
-11%
Financing Cash Flow
Net Issuance of Common Stock
(371)
(574)
(493)
(561)
(393)
(203)
(248)
(147)
(269)
(231)
(157)
(134)
(19)
(1)
5
(9)
(5)
(7)
(34)
(72)
(74)
(74)
(67)
(48)
(53)
(181)
(3)
(3)
(3)
(3)
(3)
(5)
(2)
0
0
0
0
(483)
(862)
(798)
(796)
Net Issuance of Debt
(657)
(640)
(317)
8
805
951
1 106
1 074
(72)
(168)
0
(9)
43
(26)
(249)
(327)
(351)
(384)
(292)
(210)
(247)
(115)
(119)
(189)
(106)
533
395
153
(194)
251
557
68
307
1 351
(87)
(860)
(33)
(245)
(242)
629
628
Cash Paid for Dividends
(785)
(1 021)
(1 033)
0
(1 551)
(1 548)
(1 547)
0
(144)
(131)
(118)
0
(115)
(115)
(118)
0
(119)
(119)
(121)
0
(139)
(139)
(148)
0
(220)
(679)
(531)
(593)
(192)
(199)
(718)
(721)
(72)
0
0
0
(154)
(233)
(245)
(245)
(251)
Other
(2 134)
(68)
(2)
0
0
0
0
0
0
0
(316)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(2)
(3)
(3)
(1)
2
2
(2)
(1)
3
0
0
0
0
0
(3)
0
Cash from Financing Activities
(3 947)
N/A
(2 304)
+42%
(1 845)
+20%
(1 587)
+14%
(1 139)
+28%
(800)
+30%
(688)
+14%
(619)
+10%
(485)
+22%
(530)
-9%
(591)
-12%
(577)
+2%
(407)
+30%
(458)
-13%
(362)
+21%
(454)
-25%
(475)
-5%
(510)
-7%
(447)
+12%
(403)
+10%
(460)
-14%
(328)
+29%
(334)
-2%
(385)
-15%
(379)
+2%
(329)
+13%
(142)
+57%
(446)
-214%
(390)
+13%
51
N/A
(162)
N/A
(660)
-307%
232
N/A
1 354
+484%
(84)
N/A
(860)
-924%
(187)
+78%
(961)
-414%
(1 349)
-40%
(417)
+69%
(422)
-1%
Change in Cash
Effect of Foreign Exchange Rates
13
8
13
15
7
24
8
8
(4)
(15)
(48)
(55)
(50)
(49)
2
10
6
10
(13)
(19)
(12)
(5)
(3)
4
0
(2)
20
16
(17)
(21)
5
8
(19)
86
120
3
(87)
(77)
1
18
(10)
Net Change in Cash
(1 894)
N/A
320
N/A
(267)
N/A
(220)
+18%
(161)
+27%
(442)
-174%
(254)
+43%
(179)
+30%
78
N/A
82
+5%
(23)
N/A
(57)
-148%
(56)
+2%
(174)
-211%
(42)
+76%
(80)
-90%
(61)
+24%
(23)
+62%
38
N/A
18
-53%
(20)
N/A
58
N/A
104
+79%
91
-13%
71
-22%
13
-82%
(50)
N/A
(59)
-18%
105
N/A
542
+416%
(42)
N/A
(492)
-1 071%
505
N/A
1 516
+200%
306
-80%
(233)
N/A
362
N/A
(470)
N/A
(656)
-40%
357
N/A
156
-56%
Free Cash Flow
Free Cash Flow
344
N/A
217
-37%
217
+0%
221
+2%
139
-37%
196
+41%
278
+42%
292
+5%
510
+75%
535
+5%
539
+1%
498
-8%
336
-33%
321
-4%
299
-7%
346
+16%
384
+11%
344
-10%
371
+8%
330
-11%
311
-6%
338
+9%
376
+11%
397
+6%
444
+12%
344
-23%
135
-61%
361
+167%
472
+31%
551
+17%
422
-23%
474
+12%
289
-39%
61
-79%
292
+379%
584
+100%
569
-3%
547
-4%
685
+25%
811
+18%
657
-19%

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