LATAM AIRLINES GROUP S.A.LTM

時価総額
PER
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Proceeds from sales of goods and services10,59610,78811,0794,6205,36010,55013,39714,038
Other cash receipts from operating activities74951285252117170213
Payments to suppliers for the supply goods and services6,7237,331-6,664-3,8174,4019,1139,6909,458
Payments to and on behalf of employees1,9551,789-1,645-1,2279411,0391,3051,420
Other payments for operating activities224256-268-71156273271345
Income taxes (paid)9229-45-669141843
Other cash inflows (outflows)-94024114-88-130-20122
Net cash (outflow) inflow from operating activities1,6671,5172,827-495-184972,2643,106
Other payments to acquire equity or debt instruments of other entities3,1063,5484,1321,14100--
Amounts raised from sale of property, plant and equipment512245076105564797
Purchases of property, plant and equipment4046611,2773245877817961,325
Purchases of intangible assets----89506894
Interest received---3791999118
Other cash inflows (outflows)-9-2-2-21865934
Net cash (outflow) inflow from investing activities-287-358-1,41934-543-749-660-1,170
Proceeds from issuing shares-----549--
Payments for changes in ownership interests in subsidiaries that do not result in loss of control--2943--0-
Proceeds from issuing other equity instruments-----3,203--
Proceeds From Term Loans1,3057791,7821,425-2,362-1,750
Proceeds From Short Term Loans132293935606624,856--
Loans from related entities---373130771--
Loans repayments1,8291,0461,8607944638,7593422,005
Payments of lease liabilities--399122103132225344
Payments of loans to related entities-----1,008--
Dividends paid6773551---175
Interest paid390357551210105522594718
Other cash (outflows) inflows1444-59-108-11-46411-74
Net cash inflow (outflow) from financing activities-1,179-1,052-1,3441,121110855-1,150-1,565
Net (decrease) increase in cash and cash equivalents before effect of exchanges rate change20010664660-617203454372
Effect of exchange rate changes on cash and cash equivalents-8-167-73-36-32-3344-129
Net (decrease) increase in cash and cash equivalents---9623-649170498243