Hercules Site Services Plc

HERC.L · LSE
Analyze with AI
9/30/2024
9/30/2023
9/30/2022
9/30/2021
Operating Activities
Net Income£1,636£770£321-£56
Dep. & Amort.£974£1,772£1,034£725
Deferred Tax£0-£86-£160£572
Stock-Based Comp.£38£29£40£0
Change in WC£2,885-£78-£7,135-£3,095
Other Non-Cash-£334£693£566£253
Operating Cash Flow£6,074£3,100-£5,334-£1,601
Investing Activities
PP&E Inv.-£327-£380-£228-£358
Net Acquisitions-£1,188£0£241£20
Inv. Purchases£0£0-£241£0
Inv. Sales/Matur.£0£0£272£0
Other Inv. Act.£43£173£245£0
Investing Cash Flow-£1,472-£208£289-£338
Financing Activities
Debt Repay.-£2,665£3,431£3,389£2,795
Stock Issued£5,773£1,582£3,426£0
Stock Repurch.£0£0£0£0
Dividends Paid-£1,091-£562-£385£0
Other Fin. Act.-£3,201-£4,403-£1,639-£1,406
Financing Cash Flow-£1,184£48£4,791£1,389
Forex Effect-£301-£1£0£0
Net Chg. in Cash£2,242£2,940-£254-£550
Supplemental Information
Beg. Cash£4,151£1,212£1,465£2,016
End Cash£6,393£4,152£1,212£1,465
Free Cash Flow£5,747£3,037-£5,562-£1,959