Cushman & Wakefield Ltd.

Annual Trend FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Net income (loss) ($221.3m) ($185.8m) $200k ($220.5m) $250.0m $196.4m ($35.4m) $131.3m $88.2m
Net Income From Continuing Operations $196.4m ($35.4m) $131.3m $88.2m
Depreciation and amortization $270.6m $290.0m $296.7m $263.6m $172.1m $146.9m $145.6m $122.2m $104.2m
Lease amortization $0 $0 $117.9m $118.2m $104.2m $102.2m $97.8m $86.5m $86.5m
Amortization of debt issuance costs $16.5m $12.5m $4.4m $10.0m $9.4m $9.6m $7.5m $7.5m $8.0m
Amortization Cash Flow $64.1m $64.2m $45.9m $39.6m
Amortization Of Intangibles $64.1m $64.2m $45.9m $39.6m
Depreciation Amortization Depletion $249.1m $243.4m $208.7m $190.7m
Change in deferred taxes ($170.3m) ($58.9m) ($49.8m) $17.8m ($56.3m) $14.6m ($50.4m) ($28.1m) ($45.0m)
Deferred Income Tax $14.6m ($50.4m) ($28.1m) ($45.0m)
Deferred Tax $14.6m ($50.4m) ($28.1m) ($45.0m)
Impairment charges $0 $2.7m $12.2m $3.1m $18.3m $1.6m $13.6m $3.8m $6.5m
Impairment of equity method investment $0 $0 $177.0m
Asset Impairment Charge $1.6m $13.6m $3.8m $183.5m
Loss on debt extinguishment $0 $50.4m $0 $0 $0 $0 $19.3m $0 $3.0m
Earnings from equity method investments, net of distributions received $800k ($5.3m) ($19.9m) ($45.4m) ($33.7m) ($18.7m) $3.0m
Loss on disposition of business $0 $0 $13.2m $1.3m $15.8m $0
Earnings (Loss)es From Equity Investments ($45.4m) ($33.7m) ($18.7m) $3.0m
Unrealized foreign exchange (gain) loss ($7.3m) $8.4m ($3.2m) ($5.3m) $9.8m ($4.0m) $1.9m ($4.3m) ($4.3m)
Stock-based compensation $52.4m $81.9m $61.3m $42.0m $58.2m $40.3m $54.1m $35.6m $58.2m
Provision for loss on receivables and other assets $3.9m $21.7m $22.1m $47.7m $38.0m $31.7m $10.6m $20.8m $22.2m
Unrealized (gain) loss on investments, net $27.8m $800k ($26.1m)
Other operating activities, net $7.0m ($3.6m) ($16.8m) ($64.5m) $1.5m ($3.4m) $16.7m ($26.6m) ($30.3m)
Trade and other receivables ($173.4m) ($235.5m) ($38.9m) $191.5m ($212.5m) ($298.9m) $62.5m ($78.7m) ($139.9m)
Income taxes payable $10.1m ($19.6m) $27.0m ($34.3m) $91.5m ($96.1m) ($34.1m) $2.1m $10.9m
Short-term contract assets and Prepaid expenses and other current assets ($154.9m) $53.8m ($105.2m) ($102.7m) $72.8m $20.8m $30.2m
Other non-current assets $44.0m $84.6m $32.4m ($4.3m) ($63.5m) ($30.6m) ($24.7m) ($58.0m) ($121.2m)
Accounts payable and accrued expenses $42.6m $74.9m $60.0m ($156.2m) $131.1m $125.1m ($49.4m) $16.8m $108.7m
Accrued compensation $98.4m $117.8m $63.5m ($183.6m) $227.1m ($41.4m) ($67.7m) $74.3m $106.7m
Other current and non-current liabilities $58.8m ($216.8m) ($164.8m) ($117.2m) ($104.3m) ($94.2m) ($83.9m) ($115.9m) ($106.1m)
Payment for property and equipment ($129.1m) ($84.2m) ($80.3m) ($41.0m) ($53.8m) ($50.7m) ($51.0m) ($41.0m) ($47.4m)
Investments in equity securities $0 ($8.7m) ($4.5m) ($14.6m) ($688.9m) ($26.4m) ($6.9m) ($1.7m) ($8.9m)
Return of beneficial interest in a securitization $0 ($85.0m) $0 ($85.0m) $0 ($80.0m) ($330.0m) ($505.0m) ($630.0m)
Collection on beneficial interest in a securitization $84.8m $0 $85.0m $0 $0 $80.0m $430.0m $505.0m $650.0m
Proceeds from disposition of business or other investments $0 $122.6m $11.5m
Shares repurchased for payment of employee taxes on stock awards ($4.5m) ($15.2m) ($31.8m) ($18.9m) ($8.6m) ($27.2m) ($8.1m) ($10.4m) ($11.2m)
Payment of deferred and contingent consideration ($8.4m) ($22.3m) ($17.3m) ($7.0m) ($23.5m) ($11.0m) ($14.5m) ($18.1m) ($13.0m)
Proceeds from borrowings $318.7m $2.9b $0 $0 $0 $2.4b $0 $0
Repayment of borrowings ($150.3m) ($3.1b) ($27.0m) ($20.0m) ($26.7m) ($26.7m) ($2.4b) ($200.4m) ($300.0m)
Payment of finance lease liabilities ($9.1m) ($10.8m) ($11.5m) ($14.0m) ($13.4m) ($17.3m) ($29.2m) ($28.2m) ($26.1m)
Beginning Cash Position $890.3m $719.0m $801.2m $814.6m
Cash Flow From Continuing Financing Activities ($79.3m) ($120.8m) ($253.4m) ($350.5m)
Cash Flow From Continuing Investing Activities ($120.7m) $48.9m $81.2m ($21.1m)
Change In Account Payable $125.1m ($49.4m) $16.8m $108.7m
Change In Accrued Expense ($41.4m) ($67.7m) $74.3m $106.7m
Change In Income Tax Payable ($96.1m) ($34.1m) $2.1m $10.9m
Change In Other Current Assets ($30.6m) ($24.7m) ($58.0m) ($121.2m)
Change In Other Current Liabilities ($94.2m) ($83.9m) ($115.9m) ($106.1m)
Change In Other Working Capital $227.1m ($41.4m)
Change In Payable $29.0m ($83.5m) $18.9m $119.6m
Change In Payables And Accrued Expense ($12.4m) ($151.2m) $93.2m $226.3m
Change In Receivables ($401.6m) $135.3m ($57.9m) ($109.7m)
Change In Tax Payable ($96.1m) ($34.1m) $2.1m $10.9m
Change In Working Capital ($538.8m) ($124.5m) ($138.6m) ($110.7m)
Changes In Account Receivables ($298.9m) $62.5m ($78.7m) ($139.9m)
Changes In Cash ($150.9m) $80.3m $35.8m ($31.2m)
End Cash Position $719.0m $801.2m $814.6m $803.5m
Financing Cash Flow ($79.3m) ($120.8m) ($253.4m) ($350.5m)
Free Cash Flow ($1.6m) $101.2m $167.0m $293.0m
Gain Loss On Sale Of Business $13.2m $1.3m $15.8m $0
Investing Cash Flow ($120.7m) $48.9m $81.2m ($21.1m)
Net Business Purchase And Sale ($32.8m) $0 $122.6m $6.6m
Net Foreign Currency Exchange Gain Loss ($4.0m) $1.9m ($4.3m) ($4.3m)
Net PPE Purchase And Sale ($50.7m) ($51.0m) ($41.0m) ($47.4m)
Operating Gains Losses ($36.2m) ($11.2m) ($7.2m) $1.7m
Other Non Cash Items $6.2m $24.2m ($19.1m) ($22.3m)
Provisionand Write Offof Assets $31.7m $10.6m $20.8m $22.2m
Purchase Of Business ($32.8m) $0 $0 ($4.9m)
Purchase Of PPE $80.3m $41.0m $53.8m ($50.7m) ($51.0m) ($41.0m) ($47.4m)
Repurchase Of Capital Stock ($27.2m) ($8.1m) ($10.4m) ($11.2m)
Sale Of Business $0 $0 $122.6m $11.5m
Unrealized Gain Loss On Investment Securities $84.2m $27.8m $800k ($26.1m)
Net cash provided by operating activities $4.4m ($2.2m) $269.3m ($38.2m) $549.5m $49.1m $152.2m $208.0m $340.4m
Capital Expenditure ($50.7m) ($51.0m) ($41.0m) ($47.4m)
Acquisition of business, net of cash acquired ($99.9m) ($35.5m) ($275.9m) ($108.7m) ($7.0m) ($32.8m) $0 $0 ($4.9m)
Net Investment Purchase And Sale ($26.4m) ($6.9m) ($1.7m) ($8.9m)
Purchase Of Investment ($26.4m) ($6.9m) ($1.7m) ($8.9m)
Other investing activities, net $1.0m ($4.6m) $800k ($8.5m) $200k ($10.8m) $6.8m $1.3m $8.6m
Net Other Investing Changes ($10.8m) $106.8m $1.3m $28.6m
Net cash (used in) provided by investing activities ($143.2m) ($218.0m) ($274.9m) ($257.8m) ($749.5m) ($120.7m) $48.9m $81.2m ($21.1m)
Debt issuance costs ($4.4m) ($24.4m) $0 ($22.7m) $0 $0 ($65.1m) $0 $0
Issuance Of Debt $0 $2.4b $0 $0
Long Term Debt Issuance $0 $2.4b $0 $0
Net Issuance Payments Of Debt ($44.0m) ($34.2m) ($228.6m) ($326.1m)
Net Long Term Debt Issuance ($44.0m) ($34.2m) ($228.6m) ($326.1m)
Long Term Debt Payments ($44.0m) ($2.4b) ($228.6m) ($326.1m)
Repayment Of Debt ($44.0m) ($2.4b) ($228.6m) ($326.1m)
Net Common Stock Issuance ($27.2m) ($8.1m) ($10.4m) ($11.2m)
Common Stock Payments ($27.2m) ($8.1m) ($10.4m) ($11.2m)
Other financing activities, net $2.3m ($7.3m) ($2.3m) $4.5m $6.4m $2.9m $1.1m $3.7m ($200k)
Net Other Financing Charges ($8.1m) ($78.5m) ($14.4m) ($13.2m)
Net cash used in financing activities $167.7m $725.9m ($89.6m) $571.9m ($65.8m) ($79.3m) ($120.8m) ($253.4m) ($350.5m)
Effects of exchange rate fluctuations on cash, cash equivalents and restricted cash $14.2m ($8.2m) $2.1m $15.9m ($8.0m) ($20.4m) $1.9m ($22.4m) $20.1m
Effect Of Exchange Rate Changes ($20.4m) $1.9m ($22.4m) $20.1m
Change in cash, cash equivalents and restricted cash $28.9m $505.7m ($95.2m) $275.9m ($265.8m) ($150.9m) $80.3m $35.8m ($31.2m)
Cash, cash equivalents and restricted cash, beginning of the year $467.9m $965.4m $872.3m $1.2b $890.3m $719.0m $801.2m $814.6m $803.5m
Change In Cash Supplemental As Reported ($150.9m) $80.3m $35.8m ($31.2m)
Income Tax Paid Supplemental Data $46.5m $215.4m $88.5m
Interest Paid Supplemental Data $166.4m $181.4m $233.3m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.