British American Tobacco PLC ADR Cash Flow
Concept
Operating Cash Flow
Net Income
Depreciation & Amortization
Stock based compensation
Other non cash items
Change in working capital
Investing Cash Flow
Capital Expenditures
Financing Cash Flow
Dividends Paid
Payout Ratio
Share Issuance / Repurchase
Debt Issued / Paid
Other Investing Activities
End Cash Position
Changes in Cash
Beginning Cash Position
Free Cash Flow
2023
2022
2021
2020
2019
0M
-14,367M
0M
0M
0M
0M
0M
0M
0M
0M
0 %
0M
0M
0M
0M
0M
0M
0M
10,394M
6,666M
531M
0M
0M
0M
-168M
523M
-8,878M
4,915M
0 %
0M
2M
-1,873M
0M
874M
0M
0M
9,717M
6,801M
1,030M
0M
0M
0M
-361M
527M
-8,749M
4,904M
0 %
0M
-2,344M
-1,419M
0M
-425M
0M
0M
9,786M
6,400M
985M
0M
0M
0M
-120M
511M
-7,897M
4,745M
0 %
0M
-971M
-2,163M
0M
853M
0M
0M
8,996M
5,704M
994M
0M
0M
0M
62M
664M
-8,593M
4,598M
0 %
0M
-1,547M
-2,331M
0M
-293M
0M
0M
Concept
Operating Cash Flow
Net Income
Depreciation & Amortization
Stock based compensation
Other non cash items
Change in working capital
Investing Cash Flow
Capital Expenditures
Financing Cash Flow
Dividends Paid
Payout Ratio
Share Issuance / Repurchase
Debt Issued / Paid
Other Investing Activities
End Cash Position
Changes in Cash
Beginning Cash Position
Free Cash Flow
4Q2023
2Q2023
4Q2022
3Q2022
0M
-9,163M
0M
0M
0M
0M
0M
0M
0M
0M
0 %
0M
0M
0M
0M
0M
0M
0M
0M
1,980M
0M
0M
0M
0M
0M
0M
0M
0M
0 %
0M
0M
0M
0M
0M
0M
0M
3,587M
2,404M
481M
0M
0M
0M
-35M
212M
-3,245M
1,220M
0 %
0M
-1,001M
-646M
0M
60M
0M
0M
3,587M
2,404M
481M
0M
0M
0M
-35M
212M
-3,245M
1,220M
0 %
0M
-1,001M
-646M
0M
60M
0M
0M