Grupa Pracuj S.A. (WSE:GPP)
Poland flag Poland · Delayed Price · Currency is PLN
53.70
+0.60 (1.13%)
At close: Dec 5, 2025

Grupa Pracuj Cash Flow Statement

Millions PLN. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Net Income
229.31204.28185.03166.58254.69105.75
Depreciation & Amortization
27.7624.7728.5319.7611.7611.47
Other Amortization
10.8310.835.912.440.28-
Loss (Gain) From Sale of Assets
-0.66-0.03-0.173.81-87.311.55
Loss (Gain) From Sale of Investments
31.937.3129.494.230.89-
Loss (Gain) on Equity Investments
-23.86-14.62-80.85-3.13-2.26
Stock-Based Compensation
10.2913.4913.9328.1612.570.73
Other Operating Activities
30.681.8128.616.9216.523.23
Change in Accounts Receivable
-0.61-7.684.832.03-25.648.32
Change in Inventory
0.19-5.292.027.58--
Change in Accounts Payable
-6.05-0.833.09-12.976.722.75
Change in Unearned Revenue
2.532.9733.2329.2930.92-6.73
Change in Other Net Operating Assets
11.2820.8-3.58-29.660.4-0.37
Operating Cash Flow
323.59287.8322.91239.02218.66124.46
Operating Cash Flow Growth
17.32%-10.87%35.10%9.31%75.69%-
Capital Expenditures
-25.56-24.4-22.44-15.81-8.08-2.33
Sale of Property, Plant & Equipment
0.310.710.450.650.770.55
Cash Acquisitions
-19.06-7.8--514.05--
Investment in Securities
-21.86-7.83-0.1511.56-21.08-5.79
Other Investing Activities
27.28---6.63.75
Investing Cash Flow
-38.89-39.31-22.14-517.65-21.78-3.83
Long-Term Debt Issued
---400--
Long-Term Debt Repaid
--58.82-115.22-41.71-37.38-7.8
Net Debt Issued (Repaid)
-74.76-58.82-115.22358.29-37.38-7.8
Issuance of Common Stock
3.17--0.86.310.77
Repurchase of Common Stock
-----7.8-
Common Dividends Paid
-154.79-136.53-102.4-136.53-106.79-61.79
Other Financing Activities
-26.29-22.59-28.89-19.23-1.16-2
Financing Cash Flow
-252.68-217.94-246.51203.33-146.81-70.82
Foreign Exchange Rate Adjustments
-0.24-0.01-0.030-0.46-0.52
Net Cash Flow
31.7830.5454.22-75.349.6149.29
Free Cash Flow
298.03263.41300.47223.21210.58122.13
Free Cash Flow Growth
18.06%-12.34%34.61%6.00%72.43%-
Free Cash Flow Margin
37.18%34.21%41.48%36.68%44.32%40.80%
Free Cash Flow Per Share
4.323.814.343.223.131.80
Cash Interest Paid
16.2819.5927.6417.451.162
Cash Income Tax Paid
50.4175.4752.661.4449.1531.17
Levered Free Cash Flow
227.18177.87236.95232.68179.83-
Unlevered Free Cash Flow
237.44190.45254.34244.02180.49-
Change in Working Capital
7.349.9639.6-3.7312.393.98
Source: S&P Global Market Intelligence. Standard template. Financial Sources.