Saltire Capital Ltd. (TSX:SLT)
Canada flag Canada · Delayed Price · Currency is CAD
5.80
-0.05 (-0.85%)
Feb 10, 2026, 3:01 PM EST

Saltire Capital Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
-7.79-47.352.212.321.13
Depreciation & Amortization
0.830.520.460.520.63
Loss (Gain) From Sale of Assets
-0.010.07---
Stock-Based Compensation
0.110.040.040.030.02
Provision & Write-off of Bad Debts
0.010.04-0.070.05-0.09
Other Operating Activities
7.4249.320.210.10.02
Change in Accounts Receivable
-1.111.380.72-1.323.15
Change in Inventory
20.38-0.33-0.15-0.34
Change in Accounts Payable
-6.12-8.881.120.050.09
Change in Unearned Revenue
-0.08-0.13---
Change in Income Taxes
-0.22-0.22-0.080.280.07
Change in Other Net Operating Assets
-0.32-0.030.03-0.18-0.12
Operating Cash Flow
-5.28-4.864.321.724.56
Operating Cash Flow Growth
--151.24%-62.31%-
Capital Expenditures
-0.2-0.08-0.28-0.1-0.17
Sale of Property, Plant & Equipment
0.050.05---
Cash Acquisitions
-20.692.89---
Investing Cash Flow
-28.52.86-0.28-0.1-0.17
Short-Term Debt Issued
-3.282.14--
Total Debt Issued
45.773.282.14--
Short-Term Debt Repaid
----0.31-0.31
Long-Term Debt Repaid
--0.42---
Total Debt Repaid
-0.83-0.42--0.31-0.31
Net Debt Issued (Repaid)
44.942.862.14-0.31-0.31
Issuance of Common Stock
7.174.34---
Repurchase of Common Stock
-1.5-1.5---
Other Financing Activities
-5.59-3.11-6.25-3.01-4.16
Financing Cash Flow
36.772.59-4.11-3.32-4.47
Net Cash Flow
2.980.59-0.08-1.7-0.08
Free Cash Flow
-5.48-4.944.031.624.39
Free Cash Flow Growth
--148.85%-63.05%-
Free Cash Flow Margin
-16.78%-31.46%23.55%10.36%42.14%
Free Cash Flow Per Share
-0.92-1.702.04--
Cash Interest Paid
5.130.19---
Cash Income Tax Paid
0.970.220.08--
Levered Free Cash Flow
7.1612.362.97--
Unlevered Free Cash Flow
8.3912.613.16--
Change in Working Capital
-5.85-7.491.46-1.32.85
Source: S&P Global Market Intelligence. Standard template. Financial Sources.