Mgm Resorts International: (NYSE: MGM)

$15.86

0.16 (1.02%)

Volume 10,310,888

May 14 04:00 PM ET

Zacks Rank: 2-Buy

 
#2
 
 
 

Cash flow Statements

Get Cash flow Statements for:

Annual Cash Flow Statement

Fiscal Year End for MGM RESORTS INT falls in the month of December.

All data in Millions except Per Share data.

Cash Flow From Operations, Investments & Financial Activities

12/31/12 12/31/11 12/31/10 12/31/09 12/31/08
Cash Flow From Operations, Investments & Financial
Activities
         
Net Income (Loss) -1,616.91 3,234.94 -1,437.39 -1,291.68 -855.28
Depreciation/Amortization & Depletion 1,001.08 910.94 721.40 740.12 788.85
Net Change from Assets/Liabilities 116.07 74.27 186.55 -439.37 -520.56
Net Cash from Discontinued Operations 0.00 0.00 0.00 0.00 0.00
Other Operating Activities 1,409.10 -3,545.04 1,033.45 1,578.84 1,340.02
Net Cash From Operating Activities 909.35 675.12 504.01 587.91 753.03
Property & Equipment -422.33 -300.89 -129.89 -114.55 -695.78
Acquisition/ Disposition of Subsidiaries 0.00 407.04 0.00 746.26 0.00
Investments -24.33 -129.03 -702.99 -963.68 -1,279.46
Other Investing Activities 0.25 1.56 246.81 1.72 -6.19
Net Cash from Investing Activities -446.41 -21.31 -586.07 -330.25 -1,981.44

Uses of Funds

12/31/12 12/31/11 12/31/10 12/31/09 12/31/08
Cash Flow From Operations, Investments & Financial
Activities
         
Net Income (Loss) -1,616.91 3,234.94 -1,437.39 -1,291.68 -855.28
Depreciation/Amortization & Depletion 1,001.08 910.94 721.40 740.12 788.85
Net Change from Assets/Liabilities 116.07 74.27 186.55 -439.37 -520.56
Net Cash from Discontinued Operations 0.00 0.00 0.00 0.00 0.00
Other Operating Activities 1,409.10 -3,545.04 1,033.45 1,578.84 1,340.02
Net Cash From Operating Activities 909.35 675.12 504.01 587.91 753.03
Property & Equipment -422.33 -300.89 -129.89 -114.55 -695.78
Acquisition/ Disposition of Subsidiaries 0.00 407.04 0.00 746.26 0.00
Investments -24.33 -129.03 -702.99 -963.68 -1,279.46
Other Investing Activities 0.25 1.56 246.81 1.72 -6.19
Net Cash from Investing Activities -446.41 -21.31 -586.07 -330.25 -1,981.44
Issuance (Repurchase) of Capital Stock 0.00 0.00 588.45 1,105.05 -1,226.74
Issuance (Repayment) of Debt -2,193.24 1,024.32 13.36 1,574.33 -370.65
Increase (Decrease) Short-Term Debt 1,779.26 -305.88 -1,886.07 -1,027.19 2,760.45
Payment of Dividends & Other Distributions 0.00 0.00 0.00 0.00 0.00
Other Financing Activities -372.97 -6.52 -190.92 -163.44 -40.97
Net Cash from Financing Activities -786.95 711.92 -1,475.17 1,488.75 1,122.08
Effect of Exchange Rate Changes 1.62 1.21 0.00 14.15 -14.15
Net Change In Cash & Equivalents -322.40 1,366.94 -1,557.24 1,760.56 -120.48
Cash at Beginning of Period 1,865.91 498.96 2,056.20 295.64 416.12
Cash at End of Period 1,543.50 1,865.91 498.96 2,056.20 295.64
Diluted Net EPS -3.62 5.62 -3.19 -3.41 -3.06

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