Hospital Mater Dei S.A. (BVMF:MATD3)
Brazil flag Brazil · Delayed Price · Currency is BRL
4.720
+0.030 (0.64%)
Last updated: Aug 15, 2025

Hospital Mater Dei Cash Flow Statement

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Net Income
129.81-338.44119.65103.51144.9272.64
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Depreciation & Amortization
99.89100.3494.4185.0138.2136.57
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Other Amortization
8.78.77.595.072.571.92
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Asset Writedown & Restructuring Costs
-0.30.432.136.81.032.82
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Loss (Gain) From Sale of Investments
10.12754.26----
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Loss (Gain) on Equity Investments
3.232.43-2.660.29-0.08-
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Stock-Based Compensation
6.178.3211.711.78.56-
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Provision & Write-off of Bad Debts
21.7326.6517.9210.9912.4230.88
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Other Operating Activities
-53.22-224.02100.687.32-118.676.83
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Change in Accounts Receivable
-119.46-176.31-257.12-194.91-17.63-68.53
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Change in Inventory
-0.21-2.081.12-18.13-4.6-4.47
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Change in Accounts Payable
4.8610.954.4-3.7814.577.46
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Change in Income Taxes
20.8210.3438.9945.2177.68-4.91
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Change in Other Net Operating Assets
15.76-49.1318.47-40.75-5.77-1.16
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Operating Cash Flow
147.89132.43157.2198.32153.2180.06
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Operating Cash Flow Growth
-7.70%-15.76%59.89%-35.82%91.36%-20.67%
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Capital Expenditures
-80.56-201.79-182.75-330.23-335.84-75.34
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Cash Acquisitions
-43.33-40.66-41.4-616.31-817.89-
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Sale (Purchase) of Intangibles
-14.6-12.05-13.6-15.96-10.04-0.94
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Investment in Securities
499.8470.7673.08218.04-72.15-9.95
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Investing Cash Flow
361.3216.26-164.67-744.46-1,236-86.23
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Long-Term Debt Issued
-208.5282.48106.291454.59
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Long-Term Debt Repaid
--73.87-61.21-146.52-69.29-23.21
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Net Debt Issued (Repaid)
-83.31134.6521.27-40.32844.7131.37
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Issuance of Common Stock
----1,141-
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Repurchase of Common Stock
-66.84-59.23--1.96--
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Common Dividends Paid
-25.28-28.42-24.58-59.01-27.29-30.25
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Other Financing Activities
10.39-0.42-8.34-6.363.722.58
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Financing Cash Flow
-165.0546.59-11.65-107.651,9623.71
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Net Cash Flow
344.14395.28-19.11-753.79878.99-2.46
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Free Cash Flow
67.34-69.36-25.54-231.91-182.634.73
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Free Cash Flow Growth
-----24.54%
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Free Cash Flow Margin
3.20%-3.12%-1.17%-13.15%-17.83%0.66%
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Free Cash Flow Per Share
--0.18-0.06-0.57-0.550.01
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Cash Interest Paid
154.55154.55154.13141.6928.137.98
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Cash Income Tax Paid
20.4620.4635.0931.46116.3770.46
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Levered Free Cash Flow
608.6981.05-101.47-384.34-300.7212.61
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Unlevered Free Cash Flow
766.3227.2650.93-243.94-250.422.69
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Change in Working Capital
-78.24-206.24-194.14-212.3564.25-71.6
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Updated Mar 20, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.