AtkinsRéalis Group Inc. (TSX:ATRL)
Canada flag Canada · Delayed Price · Currency is CAD
95.58
-1.03 (-1.07%)
At close: Mar 9, 2026

AtkinsRéalis Group Cash Flow Statement

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Net Income
2,628283.87287.219.75666.56
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Depreciation & Amortization
282.41245.4248.33251.46271.31
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Loss (Gain) From Sale of Assets
---46.19--578.66
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Asset Writedown & Restructuring Costs
-1.71-9.2-12.4118.6628.48
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Loss (Gain) From Sale of Investments
-2,587-11.28-7.66-0.45-8.73
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Loss (Gain) on Equity Investments
17.5616.0111.55-7.76-8.78
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Stock-Based Compensation
129.62169.4372.7517.0936.8
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Provision & Write-off of Bad Debts
-4.9-3.38-37.84-18.55-42.12
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Other Operating Activities
179.43-105.93-262.91-262.47-133.45
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Change in Accounts Receivable
-269.82-132.77-744.65-164.84-121.72
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Change in Inventory
-----0.94
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Change in Accounts Payable
117.24205.71148.4921.21-63.53
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Change in Unearned Revenue
78.35-29.61411.853.82-14.19
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Change in Other Net Operating Assets
-108.02-102.48-2.56-120.76103.16
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Operating Cash Flow
461.28525.7865.96-245.36134.2
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Operating Cash Flow Growth
-12.27%697.09%--10.46%
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Capital Expenditures
-176.58-159.93-103.57-109.83-106.29
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Sale of Property, Plant & Equipment
-52.18---
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Cash Acquisitions
-494.1935.59---
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Divestitures
--144.240.48-21.08
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Investment in Securities
2,525-6.0434.331.7-22.2
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Other Investing Activities
111.04148.47-65.48-14.83-114.14
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Investing Cash Flow
1,96570.279.48-82.47-263.71
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Long-Term Debt Issued
3.5664.58569.03794.44121.04
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Total Debt Issued
3.5664.58569.03794.44121.04
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Long-Term Debt Repaid
-990.2-1,018-721.47-490.46-299.03
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Total Debt Repaid
-990.2-1,018-721.47-490.46-299.03
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Net Debt Issued (Repaid)
-986.7-353.19-152.45303.98-177.99
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Issuance of Common Stock
3.940.52---
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Repurchase of Common Stock
-928.35-38.96---
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Common Dividends Paid
-13.59-14.02-14.04-14.04-14.04
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Other Financing Activities
-7.66-2.7-4.42-6.82-0.5
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Financing Cash Flow
-1,932-408.35-170.92283.12-192.54
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Foreign Exchange Rate Adjustments
-4.445.34-1.244.38-0.25
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Net Cash Flow
489.94193.04-96.72-40.33-322.29
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Free Cash Flow
284.7365.86-37.6-355.1927.91
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Free Cash Flow Growth
-22.18%----38.89%
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Free Cash Flow Margin
2.59%3.78%-0.44%-4.71%0.38%
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Free Cash Flow Per Share
1.672.08-0.21-2.020.16
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Cash Interest Paid
124.85160.94183.13120.5897.01
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Cash Income Tax Paid
213.31131.9494.8777.4571.39
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Levered Free Cash Flow
477.37676.9248.94-1.14151.06
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Unlevered Free Cash Flow
548.23776.01360.2467.93207.04
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Change in Working Capital
-182.24-59.15-186.86-260.57-97.22
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Source: S&P Capital IQ. Standard template. Financial Sources.