Close Brothers Group plc

CBG.L · LSE
Analyze with AI
7/31/2025
7/31/2024
7/31/2023
7/31/2022
Operating Activities
Net Income-£78£142£81£165
Dep. & Amort.£141£112£108£100
Deferred Tax£0£0-£224-£212
Stock-Based Comp.£5£0£8£11
Change in WC-£81-£677£306-£461
Other Non-Cash£364£41£414£194
Operating Cash Flow£351-£382£693-£201
Investing Activities
PP&E Inv.-£5-£45-£62-£58
Net Acquisitions-£1£1-£1£0
Inv. Purchases£0£0-£552-£0
Inv. Sales/Matur.£0£0£64£335
Other Inv. Act.£67-£1,106-£54-£520
Investing Cash Flow£61-£1,149-£604-£244
Financing Activities
Debt Repay.-£242-£375-£85£369
Stock Issued£0£0£0£0
Stock Repurch.-£2-£4-£5-£10
Dividends Paid£0-£67-£99-£96
Other Fin. Act.£88£959£977-£263
Financing Cash Flow-£155£513£737£392
Forex Effect£0£0£0£0
Net Chg. in Cash£257-£365£826-£54
Supplemental Information
Beg. Cash£1,845£2,209£1,383£1,437
End Cash£2,102£1,845£2,209£1,383
Free Cash Flow£346-£427£631-£260