|
Net Income
|
-8.32M | -4.42M | 0.99M | 126.18M | 18.07M | 15.45M | 37.14M | -18.50M | 124.53M | 230.10M | -120.71M | 26.34M | 24.89M | -38.34M | -67.14M | 16.73M | 76.52M | 70.69M | 7.00M | 65.61M | 59.78M | 208.94M | 331.73M | -53.06M | -57.51M | 3.11M | -340.26M | -347.21M | -168.68M | -40.91M | -200.95M | 74.43M | -119.91M | -89.11M | -26.26M | 317.40M | 17.20M | -135.92M | 309.73M | -177.57M | 50.39M | 42.23M | -102.06M | -411.89M | -89.25M | -98.29M | -165.18M | -251.27M | -223.00M | 85.59M | 424.90M | 48.76M | 323.49M | 481.24M | 258.46M | 198.55M | 149.87M | 222.34M | 247.11M | 131.20M | 210.29M | 240.52M | 188.28M | 182.27M | 201.66M | 155.09M |
|
Share-based Compensation
|
| 5.47M | 5.79M | 5.60M | 6.26M | 7.99M | 6.89M | 5.55M | 6.29M | 7.71M | 7.27M | 4.35M | 8.02M | 9.36M | 8.45M | 8.11M | 9.96M | 7.43M | 6.85M | 6.34M | 8.00M | 10.23M | 8.13M | 6.02M | 7.19M | 7.28M | 6.97M | 6.87M | 7.05M | 6.57M | 6.41M | 5.46M | 4.36M | 6.35M | 6.54M | 5.41M | 5.26M | 7.00M | 6.23M | 5.84M | 6.15M | 6.77M | 5.56M | 5.56M | 5.71M | 4.16M | -0.44M | 5.74M | 3.96M | 4.50M | 4.63M | 4.27M | 4.48M | 5.11M | 4.91M | 4.32M | 4.16M | 6.04M | 5.73M | 5.02M | 5.79M | 6.59M | 7.63M | 7.09M | 5.75M | 8.12M |
|
Deferred Taxes
|
| -5.93M | 29.35M | 64.61M | 14.21M | 6.88M | 28.82M | -18.17M | 70.42M | 112.01M | -40.46M | 15.29M | 14.93M | -22.91M | -36.94M | 10.28M | 45.96M | 42.38M | 6.94M | 38.37M | 35.54M | 124.27M | 199.60M | -33.73M | -50.83M | 4.17M | -196.33M | -195.04M | -95.97M | -23.76M | -133.87M | 33.23M | -64.02M | -36.67M | -124.61M | 98.37M | -0.86M | -36.83M | 81.04M | -47.00M | 13.77M | 19.62M | -28.21M | -99.35M | -36.92M | -22.80M | -33.48M | -0.05M | -0.16M | -0.07M | 9.85M | 11.95M | 81.00M | 110.05M | 66.06M | 49.97M | 44.28M | -51.08M | 45.09M | 27.39M | 43.52M | 45.62M | 58.46M | 26.26M | 43.20M | 75.69M |
|
Gains from Investment Securities
|
| -1.67M | 21.97M | 6.50M | -0.01M | 18.46M | 0.63M | 3.31M | 2.58M | 4.08M | 0.01M | 3.40M | -0.58M | 18.79M | 0.02M | 2.02M | -7.79M | 21.97M | 0.02M | -4.23M | 9.05M | 5.75M | 0.05M | -1.50M | 2.49M | 7.51M | 0.18M | -4.69M | 0.12M | 13.42M | 1.07M | -3.38M | -4.84M | 1.80M | -1.46M | 2.53M | -0.23M | -11.39M | 6.09M | 2.53M | -1.24M | 1.00M | 3.82M | 0.82M | 3.10M | 2.38M | 1.49M | 14.59M | -1.22M | -6.08M | -18.23M | -1.24M | -15.73M | 2.83M | 39.26M | 4.29M | -6.10M | 17.63M | -20.46M | 3.29M | 14.46M | 7.83M | 9.41M | -1.51M | -3.71M | 12.11M |
|
Asset Writedowns and Impairment
|
11.63M | 4.76M | 21.63M | 0.90M | 2.38M | 1.72M | 1.13M | 3.08M | 1.24M | 48.52M | 170.51M | 0.61M | 38.52M | 0.45M | 170.40M | 21.52M | 34.55M | 5.93M | 110.94M | 2.80M | 0.16M | 15.52M | 61.64M | 55.53M | 12.91M | 55.99M | 344.25M | 269.79M | 0.04M | 8.05M | 76.78M | | 0.16M | | 15.94M | 5.62M | 11.94M | 9.05M | 23.29M | 6.34M | 12.42M | 6.34M | 8.74M | 989.76M | 8.80M | 8.75M | 8.75M | 8.75M | 8.75M | 8.75M | 8.75M | 1.00M | 4.39M | 1.08M | 1.03M | | | | | | | | | | | |
|
Cash from Operations
|
| 111.29M | 83.05M | 153.89M | 116.26M | 148.21M | 78.74M | 156.69M | 213.29M | 119.77M | 270.79M | 188.05M | 222.24M | 243.30M | 268.38M | 282.29M | 314.06M | 404.51M | 337.64M | 299.73M | 415.43M | 359.97M | 381.45M | 283.92M | 265.59M | 235.34M | 205.96M | 118.28M | 138.60M | 158.14M | 137.79M | 134.98M | 107.15M | 128.48M | 144.78M | 140.13M | 171.38M | 229.66M | 179.45M | 118.50M | 259.93M | 203.16M | 241.98M | 218.13M | 114.34M | 201.61M | 256.86M | 105.62M | 296.40M | 328.12M | 429.63M | 342.09M | 542.57M | 513.37M | 288.38M | 331.63M | 383.25M | 382.99M | 476.51M | 276.00M | 476.38M | 452.26M | 577.87M | 482.99M | 571.14M | 504.96M |
|
Amortization of Deferred Charges
|
| 3.22M | 3.29M | 3.29M | 3.37M | 3.37M | 3.44M | 3.62M | 7.67M | 3.40M | 3.60M | 3.67M | 0.95M | 1.08M | 1.08M | 1.08M | 1.36M | 1.47M | 1.48M | 1.48M | 1.48M | 1.48M | 1.71M | 1.96M | 1.94M | 1.91M | 1.91M | -0.92M | 2.85M | 3.76M | 4.25M | 4.95M | 3.73M | 3.80M | 3.80M | 3.87M | 3.88M | 3.79M | 3.72M | 3.79M | 3.84M | 3.92M | 3.92M | 3.99M | 4.59M | 4.51M | 4.62M | 4.72M | 4.72M | 3.90M | 3.92M | 4.01M | 3.60M | 1.30M | 1.37M | 1.37M | 1.37M | 1.37M | 1.37M | 1.37M | 1.37M | 2.18M | 4.08M | 2.55M | 2.55M | 2.55M |
|
Depreciation & Amortization (CF)
|
| | | | | | | | | | | | | | | | | 195.79M | 202.64M | 177.22M | 187.78M | 183.26M | 219.28M | 217.40M | 219.70M | 243.88M | 240.03M | 214.21M | 211.02M | 193.97M | 171.55M | 137.81M | 153.23M | 134.60M | 131.39M | 130.47M | 151.76M | 201.10M | 181.97M | 177.75M | 206.33M | 211.12M | 228.60M | 233.49M | 180.86M | 181.71M | 188.93M | 166.96M | 204.71M | 202.70M | 200.01M | 159.48M | 154.82M | 145.87M | 143.61M | 154.19M | 157.83M | 189.35M | 189.11M | 166.19M | 179.65M | 202.94M | 260.52M | 269.90M | 292.99M | 325.37M |
|
Change in Receivables
|
| -9.70M | 12.10M | 13.24M | -20.87M | 12.56M | 42.22M | -16.39M | 26.75M | 10.42M | 21.21M | 13.97M | -14.70M | 19.42M | 2.71M | 22.16M | 37.12M | -14.07M | 34.19M | -9.35M | 11.90M | -9.03M | -17.61M | -69.53M | 30.58M | -66.39M | -34.86M | -26.92M | 38.14M | -12.44M | 11.78M | -30.41M | -16.59M | 25.49M | 1.09M | 4.46M | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
Change in Accured Expenses
|
| 20.13M | -12.61M | 31.40M | -5.10M | 20.82M | 6.08M | -28.34M | 25.81M | -39.03M | 23.48M | -26.95M | 22.93M | 34.78M | 0.37M | 5.79M | 40.80M | 26.11M | 18.81M | -61.88M | 48.18M | -15.09M | 38.26M | -45.42M | 11.38M | -40.21M | -12.02M | -52.29M | -9.43M | -3.44M | 11.96M | -5.50M | -3.48M | 30.53M | 29.60M | -8.82M | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
Change in Taxes
|
| 2.82M | 29.95M | -13.00M | 3.44M | -21.84M | 7.11M | -3.73M | -1.62M | -3.13M | 5.58M | -3.01M | 0.03M | 0.64M | 0.12M | -0.25M | -0.40M | 0.14M | 1.78M | | | | | 0.54M | | | | -5.08M | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
Other Working Capital Changes
|
| 1.57M | -2.03M | -1.49M | 1.64M | -0.66M | 35.88M | -20.96M | 5.27M | 0.96M | -1.64M | 3.00M | 1.76M | 1.44M | -6.94M | -0.60M | 0.64M | 2.43M | -2.56M | -0.89M | -0.42M | 1.07M | 2.06M | -1.82M | -1.11M | 2.35M | -1.98M | -4.98M | -3.50M | 0.83M | -0.83M | -0.18M | -28.00M | -11.97M | 42.11M | 16.11M | 5.61M | -18.00M | -3.00M | 20.16M | -41.61M | 9.67M | 5.65M | 18.52M | 38.74M | -16.84M | -46.28M | 51.44M | -82.53M | -21.08M | 51.95M | 137.96M | -28.21M | -96.52M | -12.18M | 26.22M | -21.78M | 52.89M | -54.89M | 97.69M | -50.22M | -32.04M | -2.90M | 31.56M | -69.27M | 52.57M |
|
Capital Expenditures
|
| 76.64M | 86.79M | 132.44M | 172.18M | 184.06M | 179.60M | 309.69M | 352.68M | 419.25M | 551.48M | 335.01M | 370.35M | 421.39M | 381.07M | 381.19M | 352.81M | 387.36M | 432.18M | 351.93M | 426.65M | 539.28M | 656.94M | 544.97M | 429.17M | 287.74M | 231.74M | 176.37M | 169.20M | 147.22M | 1,691.00M | 154.40M | 212.34M | 258.23M | 263.38M | 301.52M | 421.80M | 309.27M | 270.60M | 249.34M | 326.79M | 212.51M | 235.13M | 139.31M | 170.90M | 109.57M | 128.01M | 147.56M | 222.61M | 180.09M | 124.58M | 150.13M | 215.62M | 226.10M | 288.09M | 240.71M | 309.33M | 216.71M | 222.66M | 332.37M | 322.68M | 302.11M | 1,146.52M | 413.87M | 410.18M | 397.69M |
|
Sales of Property, Plant and Equipment
|
| 14.26M | 24.56M | 239.25M | 8.75M | 11.50M | 52.00M | 39.02M | 58.93M | 227.10M | 39.47M | 1.68M | 13.73M | 33.25M | 6.71M | 4.31M | 16.04M | 0.15M | 404.35M | 1.98M | 50.20M | -4.95M | 1.99M | 21.57M | 313.42M | 0.12M | 22.84M | 1.21M | 11.76M | 188.86M | 744.23M | 744.33M | 21.91M | 12.12M | -1.65M | 490.78M | 251.44M | 0.98M | 5.31M | 6.11M | 6.41M | | 0.54M | | 0.09M | | | | | | 2.09M | | | | | | | | | | | | | | | |
|
Cash from Investing Activities
|
| -61.26M | -43.44M | 64.14M | -146.86M | -153.64M | -125.21M | -273.02M | -293.75M | -190.13M | -508.01M | -331.79M | -363.37M | -388.54M | -373.64M | -378.90M | -398.89M | -388.58M | -26.53M | -345.53M | -487.10M | -903.35M | -742.76M | -534.46M | -112.27M | -288.12M | -209.79M | -189.32M | -161.93M | -10.56M | -1505.82M | 514.83M | -203.46M | -245.36M | -267.54M | 189.26M | -194.98M | -308.24M | -273.97M | -242.94M | -320.35M | -215.41M | -234.59M | -139.31M | -170.81M | -116.64M | -128.81M | -147.63M | -222.32M | -174.79M | -122.48M | -150.13M | -215.62M | -226.70M | -287.82M | -240.41M | -397.82M | -237.19M | -223.27M | -332.29M | -322.68M | -302.94M | -2449.26M | -428.76M | -410.20M | -404.81M |
|
Other financing activities
|
| 0.01M | | -0.53M | 1.47M | 0.44M | -0.52M | 6.30M | 2.22M | 6.63M | -6.44M | -0.21M | 0.56M | -0.57M | 0.01M | 0.77M | 2.67M | | | -0.01M | -0.10M | 0.02M | 3.47M | -0.06M | -0.10M | 0.00M | -0.00M | -0.00M | 3.13M | | -8.62M | -0.16M | -0.00M | -1.23M | -0.02M | | -0.13M | -7.61M | | -0.02M | -1.03M | -1.64M | -0.00M | -0.00M | 10.49M | 2.40M | -26.39M | | -0.00M | -4.73M | 4.73M | -0.02M | | -35.09M | 45.09M | | -0.01M | 0.01M | | -0.02M | | -9.19M | 22.19M | -0.28M | -0.00M | -4.66M |
|
Cash from Financing Activities
|
| -39.90M | -49.48M | -188.26M | 0.42M | 2.27M | 44.46M | 302.56M | -9.75M | -0.80M | 326.49M | 24.82M | 141.03M | 145.24M | 111.00M | 90.77M | 84.91M | -15.93M | -29.04M | -0.01M | -0.96M | 379.86M | 361.16M | 250.44M | -153.26M | 52.89M | 3.66M | 71.08M | 23.30M | 833.07M | 399.74M | -2.52M | -3.83M | -1.23M | -4.71M | | -3.84M | -360.52M | -4.32M | 46.48M | 66.82M | 9.36M | -10.89M | -78.82M | 56.47M | -84.97M | -128.05M | 42.00M | -74.08M | -123.52M | -4.23M | -104.79M | -479.75M | -55.33M | -53.99M | -58.36M | -85.06M | -122.06M | -39.06M | -53.62M | -70.09M | 1,098.13M | 34.08M | -54.17M | -59.12M | -39.77M |
|
Dividends Paid - Common
|
| | 3.13M | | | | 3.15M | 3.20M | -0.02M | 0.02M | 3.18M | 3.20M | 0.01M | 0.09M | 3.21M | 3.30M | 0.01M | | 3.35M | 3.35M | | | 3.37M | 3.40M | -0.03M | | 3.40M | | | | 4.35M | | | | 5.58M | | | | 5.61M | | | | 5.64M | | | | 1.15M | | | | 1.22M | | 1.22M | | 18.42M | 18.29M | 18.08M | 17.80M | 17.45M | 20.83M | 20.71M | 20.59M | 22.88M | 22.89M | 22.89M | 22.99M |
|
Change in Cash
|
| 10.13M | -9.87M | 29.77M | -30.18M | -3.16M | -2.01M | 186.22M | -90.21M | -71.16M | 89.27M | -118.91M | -0.10M | | 5.74M | -5.84M | 0.09M | | 282.07M | -45.81M | -72.64M | -163.53M | -0.15M | -0.10M | 0.06M | 0.12M | -0.18M | 0.03M | -0.03M | 980.65M | -968.29M | 647.29M | -100.14M | -118.11M | -127.47M | 329.39M | -27.43M | -439.10M | -98.84M | -77.95M | 6.40M | -2.90M | -3.50M | 0.01M | -0.01M | | | -0.01M | | 29.80M | 302.92M | 87.17M | -152.80M | 231.35M | -53.44M | 32.87M | -99.63M | 23.74M | 214.18M | -109.91M | 83.62M | 1,247.44M | -1837.31M | 0.05M | 101.82M | 60.37M |
|
Free Cash Flow
|
| 34.65M | -3.73M | 21.45M | -55.92M | -35.85M | -100.87M | -153.01M | -139.39M | -299.47M | -280.69M | -146.96M | -148.12M | -178.09M | -112.69M | -98.89M | -38.74M | 17.15M | -94.54M | -52.21M | -11.22M | -179.31M | -275.48M | -261.04M | -163.58M | -52.40M | -25.78M | -58.09M | -30.60M | 10.91M | -1553.20M | -19.42M | -105.19M | -129.74M | -118.60M | -161.39M | -250.41M | -79.61M | -91.15M | -130.84M | -66.86M | -9.36M | 6.85M | 78.83M | -56.56M | 92.05M | 128.85M | -41.94M | 73.78M | 148.03M | 305.05M | 191.97M | 326.95M | 287.27M | 0.29M | 90.92M | 73.92M | 166.28M | 253.86M | -56.37M | 153.70M | 150.16M | -568.65M | 69.12M | 160.97M | 107.27M |
|
Net Cash Flow
|
| 10.13M | -9.87M | 29.77M | -30.18M | -3.16M | -2.01M | 186.22M | -90.21M | -71.16M | 89.27M | -118.91M | -0.10M | | 5.74M | -5.84M | 0.09M | | 282.07M | -45.81M | -72.64M | -163.53M | -0.15M | -0.10M | 0.06M | 0.12M | -0.18M | 0.03M | -0.03M | 980.65M | -968.29M | 647.29M | -100.14M | -118.11M | -127.47M | 329.39M | -27.43M | -439.10M | -98.84M | -77.95M | 6.40M | -2.90M | -3.50M | 0.01M | -0.01M | | | -0.01M | | 29.80M | 302.92M | 87.17M | -152.80M | 231.35M | -53.44M | 32.87M | -99.63M | 23.74M | 214.18M | -109.91M | 83.62M | 1,247.44M | -1837.31M | 0.05M | 101.82M | 60.37M |