A

Alior Bank SA
WSE:ALR

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Alior Bank SA
WSE:ALR
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Price: 89.98 PLN -2.93% Market Closed
Market Cap: 11.7B PLN
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Cash Flow Statement

Cash Flow Statement
Alior Bank SA

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Cash Flow Statement
Currency: PLN
Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 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 Sep-2024
Operating Cash Flow
Net Income
279
401
433
434
515
386
375
383
386
648
660
656
796
689
786
955
943
988
959
734
692
495
430
(266)
(331)
(207)
(155)
679
754
779
882
994
745
1 036
1 271
1 647
2 423
2 707
2 967
3 081
3 207
Depreciation & Amortization
77
76
123
124
123
86
44
46
52
106
125
145
181
177
176
176
161
175
190
210
226
248
249
247
295
288
283
281
233
233
235
237
235
242
249
258
260
259
258
251
254
Other Non-Cash Items
42
17
16
25
(2)
8
12
12
16
294
270
188
135
(170)
577
1 330
2 822
2 378
1 102
140
(310)
(2 948)
(1 279)
(639)
1 401
3 518
520
432
(1 218)
(2 104)
1 584
1 094
(1 156)
(814)
(4 543)
(4 959)
(5 803)
(5 306)
(7 722)
(4 686)
(4 238)
Cash Taxes Paid
27
100
133
127
211
167
131
205
212
273
219
152
56
154
306
348
473
347
254
463
434
438
397
258
228
206
224
162
137
120
133
84
134
111
92
353
332
369
673
497
546
Cash Interest Paid
380
0
396
395
394
549
609
754
909
985
1 076
866
741
640
555
768
817
793
779
716
734
835
840
830
732
803
727
619
535
310
305
466
792
1 337
1 786
2 309
2 593
2 687
2 671
2 492
2 242
Change in Working Capital
(559)
(797)
(983)
279
(101)
263
(340)
(4 132)
(1 221)
(3 274)
(1 606)
1 651
(1 260)
(1 272)
(2 037)
(3 803)
(3 927)
(2 783)
(2 435)
(396)
(1 486)
1 903
1 334
(209)
(931)
(2 223)
35
(377)
797
3 159
757
1 731
4 627
(968)
1 058
(619)
(1 118)
(1 941)
(651)
(3 310)
(1 748)
Cash from Operating Activities
(161)
N/A
(303)
-88%
(411)
-36%
862
N/A
536
-38%
743
+39%
92
-88%
(3 691)
N/A
(768)
+79%
(2 226)
-190%
(552)
+75%
2 640
N/A
(148)
N/A
(576)
-289%
(498)
+14%
(1 343)
-170%
(0)
+100%
758
N/A
(184)
N/A
687
N/A
(878)
N/A
(302)
+66%
734
N/A
(868)
N/A
434
N/A
1 376
+217%
682
-50%
1 015
+49%
566
-44%
2 067
+265%
3 458
+67%
4 055
+17%
4 451
+10%
(504)
N/A
(1 964)
-289%
(3 672)
-87%
(4 238)
-15%
(4 280)
-1%
(5 148)
-20%
(4 664)
+9%
(2 525)
+46%
Investing Cash Flow
Capital Expenditures
(38)
(23)
(47)
(40)
(32)
(55)
(42)
(42)
(55)
(319)
(352)
(347)
(396)
(108)
(96)
(81)
(60)
(94)
(83)
(93)
(127)
(73)
(65)
(75)
(51)
(93)
(96)
(128)
(122)
(128)
(146)
(127)
(106)
(103)
(2 834)
(2 833)
(2 834)
(95)
(95)
(98)
(106)
Other Items
(53)
(56)
235
(293)
(343)
(311)
(647)
(81)
(1 482)
(324)
(278)
(343)
1 126
(96)
(67)
(94)
(119)
(109)
(136)
(80)
(95)
(74)
(85)
(82)
(71)
(45)
(34)
(43)
(33)
(43)
(44)
(31)
(31)
(209)
4 716
4 935
5 664
3 683
2 577
2 873
1 229
Cash from Investing Activities
(92)
N/A
(79)
+14%
188
N/A
(333)
N/A
(375)
-13%
(366)
+2%
(689)
-88%
(123)
+82%
(1 537)
-1 154%
(643)
+58%
(630)
+2%
(690)
-9%
730
N/A
(204)
N/A
(162)
+20%
(175)
-8%
(179)
-2%
(204)
-13%
(219)
-8%
(173)
+21%
(222)
-28%
(147)
+34%
(150)
-2%
(157)
-5%
(122)
+22%
(138)
-13%
(130)
+6%
(171)
-31%
(154)
+10%
(171)
-11%
(190)
-11%
(159)
+17%
(137)
+13%
(312)
-127%
1 882
N/A
2 102
+12%
2 830
+35%
3 588
+27%
2 483
-31%
2 775
+12%
1 122
-60%
Financing Cash Flow
Net Issuance of Common Stock
458
460
186
196
198
196
11
2 147
2 145
2 158
0
14
14
0
0
13
13
13
13
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
852
0
0
0
Net Issuance of Debt
118
102
124
184
(20)
208
228
465
475
277
246
0
0
750
0
0
0
0
(5)
(11)
(43)
(145)
(160)
(178)
(164)
(74)
(271)
(337)
(341)
(534)
(387)
(468)
(468)
(282)
(237)
(86)
(81)
(80)
(465)
87
126
Other
(1)
27
221
24
6
(34)
(222)
(44)
(53)
(59)
(85)
(69)
(63)
(65)
(70)
(82)
(91)
(103)
(98)
(102)
(111)
(106)
(107)
(100)
(86)
(83)
(78)
(69)
(62)
(58)
(55)
(55)
(62)
(82)
(93)
(115)
(120)
(125)
(120)
(140)
(130)
Cash from Financing Activities
575
N/A
589
+2%
531
-10%
405
-24%
184
-55%
369
+101%
18
-95%
2 567
+14 570%
2 567
0%
2 376
-7%
2 320
-2%
(43)
N/A
(37)
+15%
685
N/A
681
-1%
680
0%
672
-1%
(90)
N/A
(91)
-1%
(112)
-23%
(154)
-38%
(251)
-63%
(266)
-6%
(279)
-5%
(250)
+10%
(157)
+37%
(349)
-123%
(405)
-16%
(403)
+1%
(592)
-47%
(441)
+25%
(523)
-18%
(530)
-1%
(363)
+31%
(330)
+9%
(202)
+39%
(201)
+0%
647
N/A
268
-59%
799
+199%
849
+6%
Change in Cash
Net Change in Cash
322
N/A
207
-36%
309
+49%
934
+203%
345
-63%
746
+116%
(580)
N/A
(1 247)
-115%
263
N/A
(493)
N/A
1 138
N/A
1 908
+68%
545
-71%
(95)
N/A
21
N/A
(837)
N/A
492
N/A
464
-6%
(494)
N/A
402
N/A
(1 254)
N/A
(700)
+44%
318
N/A
(1 303)
N/A
62
N/A
1 081
+1 657%
203
-81%
438
+116%
9
-98%
1 304
+15 235%
2 826
+117%
3 374
+19%
3 784
+12%
(1 179)
N/A
(412)
+65%
(1 773)
-330%
(1 609)
+9%
(45)
+97%
(2 398)
-5 242%
(1 090)
+55%
(555)
+49%

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