Yellow Pages Limited

Y.TO · TSX
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeCA$24,977CA$47,399CA$73,432CA$70,635
Dep. & Amort.CA$13,436CA$13,659CA$15,397CA$19,635
Deferred TaxCA$9,451CA$12,865CA$2,700-CA$10,721
Stock-Based Comp.CA$216CA$423CA$1,154CA$2,050
Change in WCCA$3,329CA$2,648CA$4,728CA$21,743
Other Non-Cash-CA$12,385-CA$30,227-CA$47,911CA$2,367
Operating Cash FlowCA$39,024CA$46,767CA$49,500CA$104,579
Investing Activities
PP&E Inv.-CA$78-CA$35-CA$5,004-CA$5,074
Net AcquisitionsCA$0CA$0CA$0CA$0
Inv. PurchasesCA$0CA$0CA$0CA$0
Inv. Sales/Matur.CA$1,967CA$1,457CA$1,338CA$593
Other Inv. Act.-CA$2,402-CA$3,925CA$1,338CA$593
Investing Cash Flow-CA$513-CA$2,503-CA$3,666-CA$4,481
Financing Activities
Debt Repay.-CA$3,976-CA$3,407-CA$2,947-CA$110,078
Stock IssuedCA$0CA$0CA$153CA$111
Stock Repurch.CA$0-CA$48,203-CA$108,529-CA$5,334
Dividends Paid-CA$13,560-CA$13,332-CA$14,163-CA$14,730
Other Fin. Act.CA$0CA$0-CA$96,125CA$0
Financing Cash Flow-CA$17,536-CA$64,942-CA$125,486-CA$130,031
Forex EffectCA$0CA$0CA$0CA$0
Net Chg. in CashCA$20,975-CA$20,678-CA$79,652-CA$29,933
Supplemental Information
Beg. CashCA$23,229CA$43,907CA$123,559CA$153,492
End CashCA$44,204CA$23,229CA$43,907CA$123,559
Free Cash FlowCA$36,544CA$42,807CA$44,496CA$99,505