Magna International Inc.

NYSE:MGA

43.16 (USD) • At close November 7, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operating Activities:
Net Income 1,235.2456411,5536771,6322,3322,2552,0741,9401,8801,5451,4261,015973-49371663528639692589554580598430137437.8224.9232.5169109.27714.3
Depreciation & Amortization 1,780.0561,4191,5121,3661,3451,2781,1731,0568028901,063801686661737873872790711598505445425392362126168.4138.5108.885.981.380.591.5
Deferred Income Tax -265.786-202-7617731-322-794-100-46-76056-131-123-92-1279639395271216.410.6-1.5009.89.4
Stock Based Compensation 000000000404042000000000000000000000
Change In Working Capital 225.053-322-189536352-153-23281-344-245-12772-631177-94-275-94157158-95-822486-336-79-97-4.2-163.63.3-18.631.6-10.3-38.1
Accounts Receivables -835.038-798114-42629-351-297-446-410-767-584-46-909-611-400000-3130-215-116-126-16100000000
Inventory -199.594-448-65337104-92-362-159-241-343-141-315-282-17817-124-9760-83-82-3783-104-1354-20-66.7-36.2-4300-1216.7
Accounts Payables 620.168812160274-51926549456213967732924947557924100003080000000000000
Other Working Capital 639.51711219026713825-6712416818826918485387-312-151397241-8-45380226-7578-7762.5-127.446.3001.7-54.8
Other Non Cash Items 4,206.758559129257-17212361162-39184327104230611,114535171226199110271254826196-0.15.9-3.95.813.425.58.4
Operating Cash Flow 3,206.7492,0952,9403,2783,9603,7183,3293,3862,3322,7922,5672,2061,2101,8725271,0541,5931,5961,6981,4061,2161,4601,029655750184496.4216.1316242.1235.5182.593.7
Investing Activities:
Investments In Property Plant And Equipment -2,594.727-1,681-1,372-1,145-1,441-1,650-1,858-1,807-1,591-1,586-1,169-1,274-1,236-784-629-739-741-793-848-859-801-898-525-653-873-528-524.2-240.7-283.5-147-49.3-24.2-24.2
Acquisitions Net -1,407.344121-490761,401-145332-1,792359144154-41948181-20-158-46-284-187-338-41-135-40-68-21100000000
Purchases Of Investments -583.508-484-471-331-394-481-651-478-221-175-192-12200000-99000-1-46-28-49-43-3600000-10.2
Sales Maturities Of Investments 008111741622333213861167163106000000000399734614624291.414.567.80000
Other Investing Activites -06-31-117-416-223-283-332104-167-163-106-84-141-227-166-8165-16-77-160-1840000-338.6-124.1-32.3-113.7-37.85.5194.4
Investing Cash Flow -4,585.58-2,038-2,283-1,400-434-2,276-2,128-4,271-1,288-1,617-1,207-1,815-1,272-744-876-1,063-868-1,111-1,051-1,274-1,002-1,179-514-403-987-547-607.4-350.3-248-260.7-87.1-18.7160
Financing Activities:
Debt Repayment -1,439-456-121-140-102-1-642-417-99-189-22-309-24-71-1,1490000-1100-130-288-147-73000-107.8-45000
Common Stock Issued 20.3677.68310090445.02347.4545.5827011,66806305949201,56028215158227211410126368.437195.295.9194.80
Common Stock Repurchased -24-780-517-203-1,298-1,847-1,282-913-515-1,783-1,020-40-407-3235-247-1,33400-3000-2346759500-0.1-14.3-19.6-80.6-43.50
Dividends Paid -522-493.634-509.477-491.67-459.439-448-400-385-354-316-284-252-236-100-21-140-131-163-166-161-147-143-137-123-90-18-65-50.8-47.8-33.1-23.3-8-11.7
Other Financing Activities 4449.317-54-13-1,098851-514-6419102638515190-1476-51-251-2812659181-42-41-33182-103.1308.5210.9-6.8-98.8-313.9-276.6
Financing Cash Flow 1,337-1,733-1,10681-2,947-1,443-1,554-1,020741-1,378-1,300-216-457-355-1,1648944-386-426-255233-222-240400164-42.16267890.7-106.8-170.6-288.3
Other Information:
Effect Of Forex Changes On Cash -19-38232311-362416-171-98-2822-37-290-277300104-5811419123-23-24-15160000000
Net Change In Cash -41.57-1,714-4261,982590-37-329-1,8891,614-30132197-556771-1,423-1971,069203163-9407337270-12148-183-153.1491.814672.141.6-6.8-34.6
Cash At End Of Period 1,191.8711,2342,9483,3741,3928028399742,8631,2531,5541,5221,3252,1051,3342,7572,9541,8851,6821,5191,5281,227890620632484637.6793296.3147.881.740.652.3