Procter & Gamble Company Shs Sponsored canadian Depositary Receipt Repr Sh Cash Flow
TSE:PG's free cash flow for Q4 2020 was $6.47M. For the 2020 fiscal year, TSE:PG's free cash flow was decreased by $-9.71M and operating cash flow was $9.40M. See a summary of the company’s cash flow.
Cash Flow
Dec 20
Dec 19
Dec 18
Dec 17
Operating Cash Flow
$ -27.03M
$ 23.23M
$ -10.69M
$ 61.43M
Investing Cash Flow
$ -20.74M
$ -46.99M
$ -27.98M
$ -21.33M
Financing Cash Flow
$ 38.80M
$ 36.18M
$ -20.75M
$ -30.69M
End Cash Position
$ 50.47M
$ 58.41M
$ 43.88M
$ 102.86M
Free Cash Flow
$ -38.51M
$ -28.80M
$ -37.56M
$ 39.47M
Currency in USD
Procter & Gamble Company Shs Sponsored canadian Depositary Receipt Repr Sh Cash Flow