Santander UK Cash Flow Statement (2015-2024) | STNDF

Cash Flow Statement Mar2015 Sep2015 Dec2015 Mar2016 Sep2016 Dec2016 Mar2017 Sep2017 Dec2017 Mar2018 Sep2018 Dec2018 Mar2019 Sep2019 Dec2019 Mar2020 Jun2024
Operating Activities
Net Income 0.71B2.21B0.76B2.05B0.65B2.05B6.52B0.58B1.79B5.83B0.37B1.00B5.37B0.17B
Depreciation and Depletion 0.39B
Gains from Sales and Divestitures 0.03B
Asset Writedowns and Impairment -0.08B
Cash from Operations -5.91B
Depreciation, Depletion & Amortization
Amortization 3.64B
Depreciation & Amortization (CF) 0.39B
Change in Working Capital
Change in Taxes -0.14B
Investing Activities
Cash from Investing Activities -0.79B-9.13B
Misc.
Cash from Financing Activities -4.42B-7.94B-10.14B
Change in Cash -11.12B
Free Cash Flow -5.91B
Net Cash Flow -11.12B-17.07B-10.14B