Scorpio Tankers Inc.

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Net income ($24.9m) ($158.2m) ($190.1m) ($48.5m) $94.1m ($234.4m) $637.3m $546.9m $668.8m $344.3m
Net Income From Continuing Operations $637.3m $546.9m $668.8m $344.3m
Depreciation - owned or sale and leaseback vessels $121.5m $141.4m $176.7m $180.1m $194.3m $197.5m $168.0m $178.3m $185.3m $180.3m
Depreciation - right of use assets $0 $0 $26.9m $51.5m $42.8m $38.8m $24.2m $0 $0
Amortization of deferred financing fees $14.1m $13.4m $10.5m $7.0m $6.7m $7.6m $6.4m $7.3m $9.2m $7.0m
Depreciation $206.8m $202.5m $185.3m $180.3m
Depreciation Amortization Depletion $206.8m $202.5m $185.3m $180.3m
Adjustments For Share-Based Payments $30.2m $22.4m $25.5m $27.4m $28.5m $22.9m $20.4m $47.3m $62.5m $71.7m
Asset Impairment Charge ($12.7m) $10.5m $0 $0
Proceeds From Sales Of Investments Other Than Investments Accounted For Using Equity Method $0 $0
Earnings (Loss)es From Equity Investments ($679k) ($6.0m) ($7.7m) ($4.1m)
Total changes in assets and liabilities $11.8m ($17.2m) ($13.0m) $116k $14.6m $14.3m ($175.6m) $59.5m $68.8m ($26.0m)
Additional Financial Items
Adjustments For Undistributed Profits Of Associates $560k $679k $6.0m $3.8m $5.9m
General And Administrative Expense $54.9m $47.5m $52.3m $62.3m $66.2m $52.7m $88.1m $106.3m $121.0m $123.4m
Goodwill $0 $11.5m $11.5m $11.5m $8.9m $8.9m $8.2m $8.2m $8.2m $8.2m
Increase Decrease In Working Capital ($11.8m) $17.2m $13.0m ($116k) ($14.6m) ($14.3m) $175.6m ($59.5m) ($68.8m) $26.0m
Payments Of Lease Liabilities Classified As Financing Activities $36.8m $77.9m $56.7m $79.5m $516.1m $0 $0
Payments To Acquire Or Redeem Entitys Shares $16.5m $0 $23.2m $1k $13.1m $0 $161.4m $489.7m $335.6m $309k
Proceeds From Issuing Shares $0 $303.5m $337.0m $50.0m $2.6m $0 $0
Purchase Of Financial Assets Measured At Fair Value Through Profit Or Loss Classified As Investing Activities $0 $0 $89.1m $45.9m
Equity settled share based compensation expense $30.2m $22.4m $25.5m $27.4m $28.5m $22.9m $20.4m $47.3m $62.5m $71.7m
Non-cash debt extinguishment costs $14.5m $2.5m $13.2m $1.5m $2.0m $3.6m $6.6m $8.3m $3.5m $4.7m
Net gain on sales of vessels $0 $0 $66.5m ($12.0m) ($176.5m) ($45.5m)
Write-off of deposits on scrubbers $0 $0 $10.5m $0 $0
Fair value (gain) / loss on financial assets measured at fair value through profit or loss $0 $0 $15.0m ($35.2m)
Accretion of fair value measurement on debt assumed in business combinations $0 $1.5m $3.8m $3.6m $3.4m $3.7m $2.1m $1.1m $82k $41k
Share of income from dual fuel tanker joint venture ($679k) ($6.0m) ($7.7m) ($4.1m)
(Increase) / decrease in inventories $564k ($1.3m) $1.5m ($346k) ($615k) $480k ($7.5m) $7.8m ($2.0m) ($1.7m)
(Increase) / decrease in accounts receivable $26.7m ($1.5m) ($4.3m) ($8.5m) $20.0m ($5.1m) ($238.6m) $73.2m $57.0m ($27.3m)
(Increase) / decrease in prepaid expenses and other current assets ($5.5m) $12.2m $2.2m $1.8m $1.4m $4.5m ($10.2m) $7.9m $983k ($842k)
Decrease in other assets $2.0m ($22.7m) ($1.2m) ($7.2m) $856k ($601k) $19.5m $2.9m $1.6m $2.5m
Increase / (decrease) in accounts payable ($2.5m) $3.7m ($1.4m) $4.0m ($5.1m) $20.7m ($4.5m) ($16.7m) $15.7m $5.4m
Decrease in accrued expenses and other current liabilities ($9.5m) ($7.7m) ($9.9m) $10.3m ($1.9m) ($5.7m) $65.8m ($15.6m) ($4.5m) ($4.0m)
Net proceeds from sales of vessels $0 $0 $607.7m $64.9m $479.8m $227.7m
Investment in dual fuel tanker joint venture $0 $0 ($6.7m) ($1.8m) $0 ($1.9m) $0
Distributions from dual fuel tanker joint venture $0 $0 $1.5m $493k $1.8m $8.9m $3.6m
Drydock, ballast water treatment system and other vessel related payments (owned, sale leaseback and bareboat-in vessels) $0 ($5.9m) ($26.7m) ($204.0m) ($174.5m) ($47.1m) ($34.5m) ($23.1m) ($93.4m) ($74.4m)
Purchases of financial assets measured at fair value through profit or loss $0 $0 ($89.1m) ($45.9m)
Proceeds from sale of financial assets measured at fair value through profit or loss $0 $0 $155.2m
Principal repayments on IFRS 16 lease liabilities $0 $0 $36.8m $77.9m $56.7m $79.5m $516.1m $0 $0
Beginning Cash Position $230.4m $376.9m $355.6m $332.6m
Cash Flow From Continuing Financing Activities ($1.2b) ($930.4m) ($1.2b) ($344.1m)
Cash Flow From Continuing Investing Activities $572.0m $43.6m $308.0m $272.2m
Change In Account Payable ($4.5m) ($16.7m) $15.7m $5.4m
Change In Accrued Expense $65.8m ($15.6m) ($4.5m) ($4.0m)
Change In Inventory ($7.5m) $7.8m ($2.0m) ($1.7m)
Change In Other Current Assets $19.5m $2.9m $1.6m $2.5m
Change In Payable ($4.5m) ($16.7m) $15.7m $5.4m
Change In Payables And Accrued Expense $61.3m ($32.4m) $11.2m $1.4m
Change In Prepaid Assets ($10.2m) $7.9m $983k ($842k)
Change In Receivables ($238.6m) $73.2m $57.0m ($27.3m)
Change In Working Capital ($175.6m) $59.5m $68.8m ($26.0m)
Changes In Account Receivables ($238.6m) $73.2m $57.0m ($27.3m)
Changes In Cash $146.5m ($21.3m) ($23.0m) $419.4m
End Cash Position $376.9m $355.6m $332.6m $752.0m
Financing Cash Flow ($1.2b) ($930.4m) ($1.2b) ($344.1m)
Free Cash Flow $734.9m $842.4m $731.8m $416.8m
Gain Loss On Investment Securities ($3.8m) ($5.9m)
Gain Loss On Sale Of PPE $66.5m ($12.0m) ($176.5m) ($45.5m)
Investing Cash Flow $572.0m $43.6m $308.0m $272.2m
Issuance Of Capital Stock $0 $0
Net Business Purchase And Sale ($1.8m) $0 ($1.9m) $0
Net PPE Purchase And Sale $573.2m $41.8m $386.4m $153.3m
Operating Gains Losses $72.4m ($9.6m) ($184.5m) ($50.9m)
Other Non Cash Items $20.7m $8.4m $9.3m $7.0m
Purchase Of Business ($1.8m) $0 ($1.9m) $0
Purchase Of PPE $258.3m $26.1m $3.0m $0 $0 ($34.5m) ($23.1m) ($93.4m) ($74.4m)
Repurchase Of Capital Stock ($161.4m) ($489.7m) ($335.6m) ($309k)
Sale Of PPE $607.7m $64.9m $479.8m $227.7m
Stock Based Compensation $20.4m $47.3m $62.5m $71.7m
Unrealized Gain Loss On Investment Securities $0 $0 $15.0m ($35.2m)
Profit or Loss ($24.9m) ($158.2m) ($190.1m) ($48.5m) $94.1m ($234.4m) $637.3m $546.9m $668.8m $344.3m
Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities $158.2m $127.4m $0 $0
Capital Expenditure ($34.5m) ($23.1m) ($93.4m) ($74.4m)
Net Investment Purchase And Sale $0 $0 ($89.1m) $109.3m
Purchase Of Investment $0 $0 ($89.1m) ($45.9m)
Sale Of Investment $0 $0 $155.2m
Net cash inflow from investing activities $31.3m ($159.9m) ($52.7m) ($207.0m) ($174.5m) ($52.3m) $572.0m $43.6m $308.0m $272.2m
Cash flows from financing activities:
Issuance of debt $565.0m $525.6m $1.0b $108.6m $705.4m $650.8m $122.6m $1.4b $99.0m $200.0m
Debt issuance costs ($10.7m) ($11.8m) ($23.1m) ($5.7m) ($13.5m) ($17.8m) ($1.7m) ($29.7m) ($354k) ($11.7m)
Long Term Debt Issuance $122.6m $1.4b $99.0m $200.0m
Net Issuance Payments Of Debt ($1.0b) ($354.2m) ($736.7m) ($249.5m)
Net Long Term Debt Issuance ($1.0b) ($354.2m) ($736.7m) ($249.5m)
Debt repayments ($753.4m) ($546.3m) ($865.6m) ($343.4m) ($800.1m) ($650.9m) ($971.6m) ($1.2b) ($835.7m) ($449.5m)
Long Term Debt Payments ($1.1b) ($1.7b) ($835.7m) ($449.5m)
Repayment Of Debt ($1.1b) ($1.7b) ($835.7m) ($449.5m)
Common Stock Issuance $0 $0
Net Common Stock Issuance ($161.4m) ($489.7m) ($335.6m) ($309k)
Repurchase of common stock ($16.5m) $0 ($23.2m) ($1k) ($13.1m) $0 ($161.4m) ($489.7m) ($335.6m) ($309k)
Common Stock Payments ($161.4m) ($489.7m) ($335.6m) ($309k)
Dividends paid $86.9m $9.6m $15.1m $21.3m $23.3m $23.3m $23.3m $57.7m $83.5m $82.5m
Dividends Paid Classified As Financing Activities $86.9m $9.6m $15.1m $21.3m $23.3m $23.3m $23.3m $57.7m $83.5m $82.5m
Dividends Paid Ordinary Shares Per Share $0.50 $0.04 $0.40 $0.40 $0.40 $0.40 $0.40 $1.05 $1.60 $1.62
Dividend from financial assets measured at fair value through profit or loss $0 $0 ($560k) ($679k) ($6.0m) ($3.8m) $5.9m
Cash Dividends Paid ($23.3m) ($57.7m) ($83.5m) ($82.5m)
Common Stock Dividend Paid ($23.3m) ($57.7m) ($83.5m) ($82.5m)
Dividends Received CFI $493k $1.8m $12.7m $9.6m
Net Other Financing Charges $2.3m ($28.9m) ($354k) ($11.7m)
Net cash outflow from financing activities ($310.9m) $204.7m $402.1m ($393.9m) ($259.7m) $21.9m ($1.2b) ($930.4m) ($1.2b) ($344.1m)
Decrease in restricted cash ($897k) ($9k) $7.0m $502k $4.0m $783k $0 $0
Increase / (decrease) in cash and cash equivalents ($101.1m) $86.6m $407.2m ($391.3m) ($14.8m) $42.9m $146.5m ($21.3m) ($23.0m) $419.4m
Cash and cash equivalents at January 1, $201.0m $99.9m $593.7m $202.3m $187.5m $230.4m $376.9m $355.6m $332.6m $752.0m
Change In Cash Supplemental As Reported $146.5m ($21.3m) ($23.0m) $419.4m
Interest Paid Classified As Financing Activities $69.0m $92.0m $155.3m $182.7m $132.3m $114.7m $134.9m $154.7m $96.9m $62.1m

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