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Fix Price Group Ltd Cash Flow 2017-2025 | FIXP

Annual Cash Flow Fix Price Group Ltd

2023 2022 2021 2020 2019 2018 2017

Net Income

38 B 37.8 B 30.6 B 26.3 B 17.5 B 10.1 B 5.49 B

Depreciation And Amortization of Intangible Assets

15.9 B 13.1 B 11.8 B 9.86 B 8.7 B 1.62 B 747 M

Deferred Income Tax

- - - - - - -

Stock Based Compensation

- - - - - - -

Change In Working Capital

-7.48 B -1.69 B -9.65 B -1.55 B -2.43 B 808 M 2.51 B

Other Working Capital

-487 M 3.57 B -810 M 1.92 B 203 M 130 M 494 M

Other Non Cash Items

-7.31 B -12.5 B -7.44 B -4.36 B -2.38 B 5.15 B 1.48 B

Investments In Property Plant And Equipment

-5.69 B -12 B -6.28 B -6.17 B -4.2 B -4.66 B -1.48 B

Acquisitions Net

- 95.2 M 61.4 M 5.11 M -195 M 35.3 M -

Purchases Of Investments

- - - - - - -

Sales Maturities Of Investments

- - - - - - -

Other Investing Activites

-790 M 39.8 M 58.6 M 137 M 25 M -4.01 B -274 M

Net Cash Used For Investing Activites

-6.48 B -11.9 B -6.16 B -6.02 B -4.37 B -8.63 B -1.76 B

Debt Repayment

-7.95 B 110 M 5.81 B 10.7 B 4.5 B -3 B -914 M

Common Stock Repurchased

- -207 M - - - - -

Dividends Paid

- - -34.2 B -14.5 B -7.72 B -3.25 B -3.86 B

Other Financing Activites

-11.1 B -9.9 B -8.44 B -7.2 B -6.69 B -652 M -12 M

Net Cash Used Provided By Financing Activities

-19 B -10 B -36.8 B -11.1 B -10.2 B -6.9 B -4.73 B

Effect Of Forex Changes On Cash

153 M -97 M 55 M 1.33 B -831 M 164 M 11 M

Net Change In Cash

13.8 B 14.8 B -17.6 B 14.5 B 6 B -220 M 4.33 B

Cash At End Of Period

37.3 B 23.6 B 8.78 B 26.4 B 11.9 B 5.88 B 6.1 B

Cash At Beginning Of Period

23.6 B 8.78 B 26.4 B 11.9 B 5.88 B 6.1 B 1.78 B

Operating Cash Flow

39.1 B 36.8 B 25.3 B 30.3 B 21.4 B 15.1 B 10.7 B

Capital Expenditure

-6.56 B -12 B -6.28 B -6.17 B -4.2 B -4.66 B -1.48 B

Free Cash Flow

32.6 B 24.8 B 19.1 B 24.1 B 17.2 B 10.4 B 9.26 B

All numbers in RUB currency

Quarterly Cash Flow Fix Price Group Ltd

2024-Q2 2024-Q1 2023-Q4 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q1

Net Income

8.62 B 3.29 B 15.4 B 7.45 B 22.6 B 5.85 B 19.5 B 7 B 3.54 B 2.55 B 12 B 5.12 B 9.63 B 4.89 B 8.45 B 4.51 B

Depreciation And Amortization of Intangible Assets

7.82 B 4.04 B 7.57 B 3.94 B 8.33 B 3.57 B 8.11 B 3.32 B 4.42 B 3.19 B 6.34 B 3.08 B 5.58 B 2.84 B 5.02 B 2.39 B

Deferred Income Tax

- - -17 B - -21 B - - - - - - - - - - -

Stock Based Compensation

- - -809 M 278 M 266 M - - - - - - - - - - -

Change In Working Capital

-5.22 B -4.11 B -1.68 B -1.65 B -5.44 B -4.28 B 9.1 B 5.11 B -8.16 B -1.76 B -3.41 B -306 M -6.33 B -4.26 B -373 M -1.97 B

Other Working Capital

-4.78 B -4.11 B 1 B -1.65 B -1.4 B -4.28 B 3.54 B 5.11 B 454 M 228 M 1.78 B -306 M -2.38 B -1.12 B 674 M 506 M

Other Non Cash Items

2.58 B 154 M 14.1 B 1.12 B 15 B 53 M 10.1 B -5.8 B 23.5 B 214 M 18.5 B -528 M 16.6 B 1.77 B 14.3 B 1.48 B

Investments In Property Plant And Equipment

- - -2.29 B 1.43 B -3.96 B -1.52 B -10.9 B 1.47 B -2.56 B -1.63 B -2.62 B 2.13 B -3.73 B -1.77 B -3.38 B -1.19 B

Acquisitions Net

1.89 M - 12.2 M - 1.15 M - 94.6 M - 9.72 M - 40.5 M - 20.7 M - 688 K -

Purchases Of Investments

- - - - - - - - - - - - - - - -

Sales Maturities Of Investments

- - - - - - - - - - - - - - - -

Other Investing Activites

-2.53 B -1.36 B 2.56 B -3 B 1.78 B -2.12 B 1.09 B -3.2 B -800 M -758 M 3.28 B -3.55 B -90.5 M -90.5 M 55.7 M -59.5 M

Net Cash Used For Investing Activites

-2.53 B -1.36 B -2.28 B -1.57 B -3.96 B -2.12 B -9.72 B -1.73 B -3.35 B -2.39 B -2.58 B -1.42 B -3.71 B -1.86 B -3.32 B -1.25 B

Debt Repayment

- - - - -2.97 B - -1.01 B - 840 M - - - - - - -

Common Stock Repurchased

-7.91 B - - - - - -52.3 M - -144 M -104 M - - - - - -

Dividends Paid

- - - - - - - - - - -10.5 B - -23.3 B -11.8 B -67.1 M -6.58 B

Other Financing Activites

-8.95 B -11.4 B -7.97 B -2.94 B -6.38 B -5.28 B -7.21 B -4.57 B -3.41 B -1.96 B 1.16 B -7.1 B -4.5 B -2.29 B 5.8 B -1.28 B

Net Cash Used Provided By Financing Activities

-8.95 B -11.4 B -8.81 B -2.94 B -9.35 B -5.28 B -8.28 B -4.57 B -2.72 B -1.96 B -9.31 B -7.1 B -27.8 B -14.1 B 5.74 B -7.85 B

Effect Of Forex Changes On Cash

-288 M 15 M 12 M -4 M -50 M 195 M 654 M -6 M -372 M -372 M - -15 M 35 M 35 M -84 M 644 M

Net Change In Cash

- -9.35 B 34.3 B -22.8 B -20.8 B 2.89 B 16.3 B 3.32 B -1.19 B -540 M 3.86 B -1.16 B -21.4 B -10.7 B 18.6 B -2.05 B

Cash At End Of Period

9.54 B 28 B 37.5 B 6.61 B 3.14 B 26.5 B 23.9 B 11 B 7.64 B 8.24 B 8.82 B 3.8 B 4.96 B 15.7 B 26.4 B -2.05 B

Cash At Beginning Of Period

- 37.3 B 3.14 B 29.4 B 23.9 B 23.6 B 7.64 B 7.7 B 8.82 B 8.78 B 4.96 B 4.96 B 26.4 B 26.4 B 7.76 B -

Operating Cash Flow

13.8 B 3.38 B 17.6 B 11.1 B 19.8 B 5.2 B 36.2 B 9.63 B 5.84 B 4.18 B 15.5 B 7.37 B 10.4 B 5.23 B 16.3 B 6.41 B

Capital Expenditure

-2.53 B - -2.29 B 1.43 B -3.96 B -1.52 B -10.9 B 1.47 B -2.56 B -1.63 B -2.62 B 2.13 B -3.73 B -1.77 B -3.38 B -1.19 B

Free Cash Flow

11.3 B 3.38 B 15.3 B 12.6 B 15.8 B 3.68 B 25.3 B 11.1 B 3.28 B 2.55 B 12.9 B 9.5 B 6.62 B 3.47 B 12.9 B 5.22 B

All numbers in RUB currency

Cash Flow Statement is one of the three key financial reports of the company Fix Price Group Ltd, reflecting the actual cash inflows and outflows over a certain period. Unlike the income statement, which shows revenues and expenses on an accrual basis, the cash flow statement focuses on real cash flows — how much cash actually came into the company and how much was spent.

Main Sections of the Cash Flow Statement
  • Operating Activities
    This section reflects cash flows related to the company’s core operations: receipts from sales of goods and services, payments to suppliers, employee salaries, taxes, and other operating expenses. Positive cash flow from operating activities indicates the viability of the business and its ability to generate cash.
  • Investing Activities
    Shows cash movements related to the purchase and sale of long-term assets such as real estate, equipment, and investments in other companies. Negative cash flow here often indicates investments in growth, which can be a positive sign.
  • Financing Activities
    Reflects the inflow and outflow of cash related to raising and repaying capital: issuing shares, loans, dividend payments, and loan repayments. This section shows how the company finances its activities and distributes profits.

The cash flow statement is important for investors because it allows them to assess the company’s real liquidity, showing whether it has enough cash to cover current obligations and investments — this is critical for financial stability. Additionally, it helps analyze the quality of earnings, since profits reported in the income statement can be "paper" profits and may not reflect actual cash inflows; the cash flow statement reveals this difference. The presence of free cash is also crucial for evaluating the company’s ability to finance growth and pay dividends, which is important for investors. Attention should also be paid to prolonged negative cash flows from operating activities, as this may serve as a warning sign of potential problems with the core business.

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