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TMX Group Ltd (TSE:X)
TSX:X
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TMX Group (X) Cash flow

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TMX Group Cash Flow

TSE:X's free cash flow for Q3 2024 was C$-93.90M. For the 2024 fiscal year, TSE:X's free cash flow was decreased by C$67.50M and operating cash flow was C$-313.30M. See a summary of the company’s cash flow.
Cash Flow
TTM
Dec 23Dec 22Dec 21Dec 20Dec 19
Operating Cash Flow
C$ 101.00MC$ 524.90MC$ 444.10MC$ 441.40MC$ 412.20MC$ 344.00M
Investing Cash Flow
C$ -1.19BC$ -289.30MC$ -41.40MC$ -203.90MC$ -34.80MC$ -95.30M
Financing Cash Flow
C$ -466.50MC$ -309.20MC$ -292.90MC$ -194.80MC$ -304.40MC$ -234.80M
Cash Flow From Discontinued Operation
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Other Cash Adjustment Inside Changein Cash
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End Cash Position
C$ 550.70MC$ 124.70MC$ 375.70MC$ 264.30MC$ 222.10MC$ 149.00M
Income Tax Paid Supplemental Data
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Interest Paid Supplemental Data
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Issuance Of Capital Stock
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Issuance Of Debt
C$ 891.90MC$ 32.00MC$ 2.40MC$ 79.30MC$ -91.80MC$ -79.90M
Repayment Of Debt
C$ -283.00MC$ -260.60MC$ -9.70MC$ -8.40MC$ -8.30MC$ -8.20M
Free Cash Flow
C$ 272.40MC$ 459.70MC$ 392.20MC$ 441.40MC$ 412.20MC$ 344.00M
Domestic Sales
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Foreign Sales
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Currency in CAD

TMX Group Cash Flow

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