Power Financial Corporation

Power Financial Corporation

Financial Services

TSX:PWF-PZ.TO · Toronto Stock Exchange

Market Cap $20.13B Beta 0.56 P/E (TTM) 0.0
$22.97 -0.52%

-$0.12 today

52W Low $21.75High $23.69

Vol 0.00M · Avg 0.00M

EPS (TTM) $0.00 Div Yield 5.59%Insurance - Life

Cash Flow

Check whether earnings turn into cash

Use operating cash flow, capital spending, free cash flow, and financing activity to see how much value is left for reinvestment or owners.

Free Cash Flow

Net Income to FCF bridge

Cash Flow Statement

Analysis

Analysis will appear once cash flow data is available for this period.

Cash Flow Statement

Annual data · 5 periods

MetricFY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012
Net Income
$3.8B
-9.9%
$4.2B
+23.1%
$3.4B
-14.3%
$4.0B
-11.2%
$4.5B
-$1.5B-$1.5B-$1.5B
Depreciation & Amortization
$0
-100.0%
$380.0M
+27.9%
$297.0M
-1.7%
$302.0M
+14.8%
$263.0M
$844.6M-$1.7B$1.1B
Deferred Income Tax
$0
$0
$0
$0
$0
$673.8M$841.8M$1.0B
Stock-Based Compensation
$0
$0
$0
$0
$0
$477.8M$343.4M-$1.6B
Change in Working Capital
$10.1B
+2909.6%
$335.0M
-94.5%
$6.1B
-14.2%
$7.1B
+5434.4%
$128.0M
$641.6M-$1.6B$1.5B
Accounts Receivables
$0
$0
$0
$0
$0
$995.8M$312.6M$1.0B
Inventory
$0
$0
$0
$0
$0
$328.0M-$1.6B$361.6M
Accounts Payables
$0
$0
$0
$0
$0
$1.1B$1.4B$589.8M
Other Working Capital
$10.1B
+2909.6%
$335.0M
-94.5%
$6.1B
-14.2%
$7.1B
+5434.4%
$128.0M
$970.6M-$1.7B$1.0B
Other Non-Cash Items
-$7.1B
-420.1%
$2.2B
+188.6%
-$2.5B
+43.5%
-$4.5B
-630.1%
$840.0M
$669.6M$837.6M$1.0B
Operating Cash Flow
$6.7B
-5.9%
$7.1B
-1.7%
$7.3B
+5.1%
$6.9B
+21.1%
$5.7B
$14.2B-$15.9B$3.6B
Capital Expenditures
-$1.5B
+21.0%
-$1.8B
$0
$0
$0
$1.1B$384.0M$1.1B
Acquisitions (Net)
-$135.0M
+54.1%
-$294.0M
+61.0%
-$753.0M
-2181.8%
-$33.0M
-725.0%
-$4.0M
-$1.6B$410.6M$578.6M
Purchases of Investments
-$27.7B
+10.4%
-$30.9B
+9.1%
-$34.0B
+9.8%
-$37.7B
-7.5%
-$35.0B
$433.0M-$1.7B$1.3B
Sales of Investments
$28.2B
-0.1%
$28.3B
-8.0%
$30.7B
-7.5%
$33.2B
+4.2%
$31.9B
-$1.5B$1.3B$799.8M
Other Investing Activities
-$4.0M
-107.0%
$57.0M
+105.0%
-$1.2B
-17.3%
-$981.0M
-48.0%
-$663.0M
$1.3B$1.1B$538.0M
Investing Cash Flow
-$1.1B
+77.6%
-$4.7B
+8.4%
-$5.1B
+6.1%
-$5.5B
-42.5%
-$3.8B
$11.8B$13.5B-$15.2B
Debt Repayment
-$93.0M
-172.7%
$128.0M
-75.0%
$513.0M
-24.9%
$683.0M
+598.5%
-$137.0M
$356.0M$434.4M$815.2M
Common Stock Issued
$194.0M
+185.3%
$68.0M
-54.4%
$149.0M
+325.7%
$35.0M
-78.4%
$162.0M
$1.5B-$1.7B$420.4M
Common Stock Repurchased
-$2.2B
-2918.9%
-$74.0M
-17.5%
-$63.0M
+85.1%
-$423.0M
+16.9%
-$509.0M
$643.0M-$1.6B$1.5B
Dividends Paid
-$1.4B
-1.3%
-$1.4B
-5.2%
-$1.3B
-5.0%
-$1.2B
-4.7%
-$1.2B
-$1.6B-$1.7B$669.6M
Other Financing Activities
-$1.4B
-30.9%
-$1.0B
-14.0%
-$912.0M
-1054.4%
-$79.0M
+72.9%
-$292.0M
$888.0M$641.6M$395.2M
Financing Cash Flow
-$4.9B
-113.9%
-$2.3B
-97.1%
-$1.2B
-13.9%
-$1.0B
+48.0%
-$2.0B
$5.2B$6.9B$8.6B
Effect of Forex Changes
-$130.0M
-178.3%
$166.0M
+692.9%
-$28.0M
+85.9%
-$198.0M
-166.2%
$299.0M
$452.6M$1.4B$1.3B
Net Change in Cash
$648.0M
+113.9%
$303.0M
-67.2%
$925.0M
+344.7%
$208.0M
+4.5%
$199.0M
$10.2B$11.9B$13.6B
Free Cash Flow
$5.2B
-0.6%
$5.3B
-27.2%
$7.3B
+5.1%
$6.9B
+21.1%
$5.7B
$13.3B$7.5B-$15.8B

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SEC Filings

Recent regulatory filings

No filings found.

Does PWF-PZ.TO generate free cash flow?

Power Financial Corporation (PWF-PZ.TO) generated $5.25B of free cash flow in fiscal 2019.

How much operating cash flow does PWF-PZ.TO produce?

Operating cash flow was $6.71B, before capital expenditures of $1.46B.

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