SUNRISE SENIOR LIVING CARE LTD.
In Millions of USD (except for per
share items)
9 months ending
2012-09-30
6 months ending
2012-06-30
3 months ending
2012-03-31
12 months
ending 2011-1231
Net Income/Starting Line
34.65
13.02
2.59
-21.56
Depreciation/Depletion
31.44
22.22
10.76
37.52
Amortization
Deferred Taxes
0.00
Non-Cash Items
48.08
18.79
2.76
24.94
Changes in Working Capital
-4.68
-0.62
-7.65
-1.75
Cash from Operating Activities
109.50
53.40
8.47
39.16
Capital Expenditures
-7.29
-3.71
-1.05
-11.36
Other Investing Cash Flow Items,
Total
100.47
96.92
-32.52
-119.20
Cash from Investing Activities
93.18
93.22
-33.57
-130.56
Financing Cash Flow Items
-3.13
-1.61
-1.14
-6.02
Total Cash Dividends Paid
Issuance (Retirement) of Stock, Net
2.18
0.72
0.58
1.48
Issuance (Retirement) of Debt, Net
-144.81
-140.50
23.35
78.78
Cash from Financing Activities
-145.76
-141.40
22.79
74.23
Foreign Exchange Effects
Net Change in Cash
56.91
5.22
-2.31
-17.17
Cash Interest Paid, Supplemental
16.20
12.50
4.50
12.30
GENERAL MILLS
Operating Activities
Fiscal year is June-May. All values USD millions.
Net Income before Extraordinaries
2010
2011
2012
2013
2014
1.54B
1.8B
1.59B
1.89B
1.86B
457.1M
472.6M
541.5M
588M
585.4M
Depreciation and Depletion
Amortization of Intangible Assets
22.3M
205.3M
149.4M
81.8M
172.5M
Deferred Taxes
22.3M
205.3M
149.4M
81.8M
172.5M
Investment Tax Credit
Other Funds
23.4M
(233.7M)
(121.8M)
(107.4M)
(46M)
Funds from Operations
2.04B
2.25B
2.16B
2.45B
2.57B
Extraordinaries
Depreciation, Depletion & Amortization
Deferred Taxes & Investment Tax Credit
Fiscal year is June-May. All values USD millions.
Changes in Working Capital
2010
2011
2012
2013
2014
143.4M
(720.9M)
243.8M
471.1M
(32.2M)
Receivables
(121.1M)
(69.8M)
(24.2M)
(44.6M)
(41M)
Accounts Payable
69.6M
109M
12.1M
263.6M
191.5M
Other Assets/Liabilities
211.6M
(520.1M)
111.4M
233.4M
(94.4M)
2.18B
1.53B
2.4B
2.93B
2.54B
Net Operating Cash Flow
Investing Activities
2010
Capital Expenditures
2011
2012
2013
2014
(649.9M)
(648.8M)
(675.9M)
(613.9M)
(663.5M)
Capital Expenditures (Fixed Assets)
(649.9M)
(648.8M)
(675.9M)
(613.9M)
(663.5M)
Capital Expenditures (Other Assets)
Net Assets from Acquisitions
(123.3M)
(1.05B)
(898M)
Sale of Fixed Assets & Businesses
7.4M
38.5M
2.2M
24.2M
128.2M
Purchase/Sale of Investments
(130.7M)
(1.8M)
(22.2M)
(40.4M)
(54.9M)
(130.7M)
(1.8M)
(22.2M)
(40.4M)
(54.9M)
Purchase of Investments
2010
Sale/Maturity of Investments
2011
2012
2013
2014
Other Uses
(131.6M)
(3.5M)
(900,000)
Other Sources
52M
20.3M
6.8M
16.2M
29.3M
(721.2M)
(715.1M)
(1.87B)
(1.52B)
(561.8M)
Net Investing Cash Flow
Financing Activities
2010
2011
2012
2013
2014
Cash Dividends Paid - Total
(643.7M)
(729.4M)
(800.1M)
(906.8M)
(1.06B)
Common Dividends
(643.7M)
(729.4M)
(800.1M)
(906.8M)
(1.06B)
Preferred Dividends
(303M)
(753.1M)
(79.5M)
(744.1M)
(1.64B)
Repurchase of Common & Preferred Stk.
(691.8M)
(1.16B)
(313M)
(1.04B)
(1.75B)
Sale of Common & Preferred Stock
388.8M
410.4M
233.5M
300.8M
108.1M
Change in Capital Stock
2010
2011
2012
2013
2014
Proceeds from Stock Options
Other Proceeds from Sale of Stock
388.8M
410.4M
233.5M
300.8M
108.1M
(671.1M)
450M
168.3M
414.3M
801.1M
Change in Current Debt
235.8M
(742.6M)
227.9M
(44.5M)
572.9M
Change in Long-Term Debt
(906.9M)
1.19B
(59.6M)
458.8M
228.2M
Issuance of Long-Term Debt
1.2B
1.39B
1B
1.67B
Reduction in Long-Term Debt
(906.9M)
(7.4M)
(1.45B)
(542.3M)
(1.44B)
114M
95.9M
49.9M
96.4M
72.7M
Other Uses
(10.3M)
(13.2M)
(6.6M)
(14.2M)
Other Sources
114M
106.2M
63.1M
103M
86.9M
(1.5B)
(936.6M)
(661.4M)
(1.14B)
(1.82B)
Exchange Rate Effect
(32.8M)
71.3M
(18.2M)
(200,000)
(29.2M)
Miscellaneous Funds
Issuance/Reduction of Debt, Net
Other Funds
Net Financing Cash Flow
2010
Net Change in Cash
Free Cash Flow
2011
2012
2013
2014
(76.6M)
(53.6M)
(148.4M)
270.2M
125.9M
1.53B
878M
1.73B
2.31B
1.88B