Portillo's Inc. (PTLO)
NASDAQ: PTLO · IEX Real-Time Price · USD
9.71
+0.03 (0.31%)
At close: Jul 26, 2024, 4:00 PM
9.73
+0.02 (0.21%)
After-hours: Jul 26, 2024, 7:54 PM EDT

Portillo's Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Year Ending
TTM Dec 31, 2023Dec 25, 2022Dec 26, 2021Dec 27, 2020Dec 29, 2019
Net Income
23.518.4210.85-32.8212.265.56
Depreciation & Amortization
25.5924.3120.9123.3124.5824.36
Other Amortization
0.7612.753.613.862.83
Loss (Gain) From Sale of Assets
0.550.590.40.260.10.27
Stock-Based Compensation
14.8315.5416.1429.390.961.29
Other Operating Activities
6.398.841.9826.162.862.13
Change in Accounts Receivable
-1.36-0.680.19-0.78-0.750.03
Change in Inventory
-3.25-1.35-1.31-1-1.18-0.14
Change in Accounts Payable
-0.130.21-3.621.791.35-1.79
Change in Other Net Operating Assets
6.493.888.6-7.0314.228.78
Operating Cash Flow
73.3770.7856.8942.8758.2743.33
Operating Cash Flow Growth
17.25%24.42%32.69%-26.42%34.50%-
Capital Expenditures
-84.64-87.92-47.06-36.18-21.45-22.05
Sale of Property, Plant & Equipment
0.060.080.040.120.030.03
Investment in Securities
----0.2--
Investing Cash Flow
-84.59-87.84-47.02-36.26-21.42-22.01
Short-Term Debt Issued
-15---9
Long-Term Debt Issued
-300--10464.11
Total Debt Issued
22315--10473.11
Short-Term Debt Repaid
-----15-
Long-Term Debt Repaid
--328.05-3.32-158.32-13.32-471.84
Total Debt Repaid
-7.5-328.05-3.32-158.32-28.32-471.84
Net Debt Issued (Repaid)
14.5-13.05-3.32-158.32-18.321.27
Issuance of Common Stock
130.32181.71366.98437.680.280.35
Repurchase of Common Stock
-129.36-180.81-367.59-57.01--
Other Financing Activities
-5.67-4.78-0.77-9.38--13.34
Financing Cash Flow
9.79-16.93-4.71-8.78-18.05-11.72
Net Cash Flow
-1.43-33.995.16-2.1718.89.59
Free Cash Flow
-11.27-17.149.836.6936.8221.28
Free Cash Flow Growth
--46.88%-81.83%73.02%-
Free Cash Flow Margin
-1.63%-2.52%1.67%1.25%8.08%4.44%
Free Cash Flow Per Share
-0.19-0.300.230.190.720.42
Cash Interest Paid
28.8628.2823.9743.5434.2936.51
Levered Free Cash Flow
-22.42-32.134.369.0823.69-
Unlevered Free Cash Flow
-6.59-15.9618.8930.2847.97-
Change in Net Working Capital
-2.522.04-3.535.97-8.49-
Source: S&P Capital IQ. Standard template.