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Cash Flow

  Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update) Year Ending Dec 2021 (Update) Year Ending Dec 2020 (Update) Year Ending Dec 2019 (Update)
Net Income/Starting Line 289.10 85.72 259.94 276.18 192.55
Depreciation – Supplemental 19.47 18.34 17.66 16.28
Depreciation/Depletion 19.47 18.34 17.66 16.28
Amortization of Intangibles -- 0.05 0.28 0.94
Amortization -- 0.05 0.28 0.94
Deferred Taxes 27.85 23.91 15.78 4.48
Unusual Items -17.05 -8.14 -3.83 -13.03 -65.53
Equity in Net Earnings (Loss) 1.32 69.60 20.57 2.74 224.56
Other Non-Cash Items 67.19 118.23 101.21 113.87 80.65
Non-Cash Items 51.46 179.69 117.96 103.58 239.67
Accounts Receivable 35.77 -36.59 100.07 -176.06
Other Assets 8.57 3.49 16.08 5.62
Accounts Payable 5.84 -37.24 -37.66 24.67
Accrued Expenses 23.30 44.79 -94.79 -72.51
Payable/Accrued
Taxes Payable -0.26 -15.88 -9.27 -49.97
Other Liabilities -43.94 4.63 14.39 -7.35
Other Assets & Liabilities, Net -235.58 -204.25 -257.18
Other Operating Cash Flow
Changes in Working Capital -235.58 -174.98 -293.99 -11.17 -275.60
Cash from Operating Activities 104.99 137.75 126.20 402.30 178.32
Purchase of Fixed Assets -77.75 -30.79 -15.25 -19.69
Purchase/Acquisition of Intangibles
Capital Expenditures -77.75 -30.79 -15.25 -19.69
Acquisition of Business -21.57
Sale of Business -- 0.96 -- 7.04
Sale of Fixed Assets 3.80 1.03 0.32 0.05
Sale/Maturity of Investment 4.23M 3.24M 8.65M 8.29M 7.52M
Purchase of Investments -4,535.37 -3,090.30 -8,184.36 -7,947.66 -7,498.70
Other Investing Cash Flow 63.55 -181.30 17.03 --
Other Investing Cash Flow Items, Total -245.82 -49.82 481.18 340.59 31.65
Cash from Investing Activities -245.82 -127.56 450.40 325.34 11.96
Other Financing Cash Flow -2.14 0.00 -17.78 -250.31 126.98
Financing Cash Flow Items -2.14 0.00 -17.78 -250.31 126.98
Cash Dividends Paid - Common -- -52.07 -242.52 -388.50 -435.07
Total Cash Dividends Paid -- -52.07 -242.52 -388.50 -435.07
Sale/Issuance of Common
Repurchase/Retirement of Common -29.04 -3.98 -484.02
Common Stock, Net -29.04 -3.98 -484.02
Options Exercised 0.00
Issuance (Retirement) of Stock, Net -29.04 -3.98 -484.01
Short Term Debt Issued 182.30 35.68
Short Term Debt Reduction -56.63
Short Term Debt, Net 125.67 35.68
Issuance (Retirement) of Debt, Net 125.67 35.68
Cash from Financing Activities 94.49 -20.37 -260.30 -638.81 -792.11
Foreign Exchange Effects 0.14 1.87 -9.88 -4.33 19.26
Net Change in Cash -46.21 -8.31 306.42 84.49 -582.56
Net Cash - Beginning Balance 648.21 656.52 350.10 265.61 848.17
Net Cash - Ending Balance 602.00 648.21 656.52 350.10 265.61
Cash Interest Paid -- --
Cash Taxes Paid 47.03 74.32 79.06 189.49