3i Infrastructure plc (3IN.L) Free Cash Flow

Price: $312
Market Cap: $2.88B
Avg Volume: 1.08M
Country: GB
Industry: Asset Management
Sector: Financial Services
Beta: 0.6581495
52W Range: $303-360
Website: 3i Infrastructure plc

What is 3i Infrastructure plc's Free Cash Flow?

  • 3i Infrastructure plc's annual free cash flow as of FY 2023 is $118.00M.
  • 3i Infrastructure plc's quarterly free cash flow as of QQ2 2024 is $-34.00M.

What is Free Cash Flow?

Free cash flow (FCF) is a measure of financial performance calculated as operating cash flow minus capital expenditures. It represents the cash that a company generates after accounting for cash outflows to support operations and maintain its capital assets. FCF is important because it allows a company to pursue opportunities that enhance shareholder value.

How is Free Cash Flow calculated?

The formula for free cash flow is:

Free Cash Flow = Operating Cash Flow - Capital Expenditures

This metric helps investors understand the company's ability to generate cash and its potential to pay dividends or expand.

Related Metrics

Other important metrics to assess 3i Infrastructure plc's free cash flow financial health include:

  • Free Cash Flow Growth - the rate at which a company's free cash flow is growing:
    • Annual Growth: 145.56%
  • Free Cash Flow Per Share - free cash flow divided by the number of shares outstanding:
    • Annual: $0.13
  • Free Cash Flow Yield - free cash flow divided by the market capitalization:
    • Annual: 3.92%

These metrics provide insights into 3i Infrastructure plc's financial health and its ability to generate cash. Comparing these ratios with industry benchmarks can offer a deeper understanding of the company's performance.

Annual Free Cash Flow

$118.00M

Quarterly Free Cash Flow

$-34.00M

Historical Annual Free Cash Flow
$1.20B$1.20B$800.00M$800.00M$400.00M$400.00M$0.00$0.00-$400.00M-$400.00M-$800.00M-$800.00MFree Cash Flow (Annual)201620162017201720182018201920192020202020212021202220222023202320242024
Historical Quarterly Free Cash Flow
$900.00M$900.00M$600.00M$600.00M$300.00M$300.00M$0.00$0.00-$300.00M-$300.00M-$600.00M-$600.00MFree Cash Flow (Quarterly)20092009201020102011201120122012201320132014201420152015201620162017201720182018201920192020202020212021202220222023202320242024
Annual Free Cash Flow Growth
900.00%900.00%600.00%600.00%300.00%300.00%0.00%0.00%-300.00%-300.00%-600.00%-600.00%Free Cash Flow Growth (%)201620162017201720182018201920192020202020212021202220222023202320242024
Annual Free Cash Flow Per Share
$1.21$1.21$0.56$0.56$-0.09$-0.09$-0.75$-0.75Free Cash Flow Per Share201620162017201720182018201920192020202020212021202220222023202320242024

3i Infrastructure plc Historical Financial Metrics

The table below shows various financial metrics for each year, with the latest data available for the last fiscal year 2024.

Year Free Cash Flow Free Cash Flow Growth Free Cash Flow Per Share Free Cash Flow Yield
2024 $118.00M 145.56% $0.13 3.92%
2023 $-259.00M 55.19% $-0.33 -10.68%
2022 $-578.00M -525.00% $-0.75 -21.47%
2021 $136.00M 750.00% $0.18 5.92%
2020 $16.00M -65.22% $0.02 0.83%
2019 $46.00M -94.76% $0.06 2.16%
2018 $878.30M 300.21% $1.13 53.08%
2017 $-438.70M -328.97% $-0.57 -29.96%
2016 $191.60M 335.45% $0.25 14.58%
2015 $44.00M 316.75% $0.06 3.61%

Related Metrics

Explore detailed financial metrics and analysis for 3IN.L.