ICL Group Cash Flow from Operating Activities 2014-2024 | ICL
ICL Group annual/quarterly cash flow from operating activities history and growth rate from 2014 to 2024. Cash flow from operating activities can be defined as a company's cash flows from operations.
- ICL Group cash flow from operating activities for the quarter ending March 31, 2024 was $0.279B, a 26.96% decline year-over-year.
- ICL Group cash flow from operating activities for the twelve months ending March 31, 2024 was $3.827B, a 22.17% decline year-over-year.
- ICL Group annual cash flow from operating activities for 2023 was $1.595B, a 21.23% decline from 2022.
- ICL Group annual cash flow from operating activities for 2022 was $2.025B, a 90.14% increase from 2021.
- ICL Group annual cash flow from operating activities for 2021 was $1.065B, a 32.46% increase from 2020.
ICL Group Annual Cash Flow Ops (Millions of US $) |
2023 |
$1,595 |
2022 |
$2,025 |
2021 |
$1,065 |
2020 |
$804 |
2019 |
$992 |
2018 |
$620 |
2017 |
$847 |
2016 |
$966 |
2015 |
$573 |
2014 |
$893 |
2013 |
$1,127 |
Sector |
Industry |
Market Cap |
Revenue |
Basic Materials |
Fertilizer Manufacturers |
$6.214B |
$7.536B |
ICL Group Ltd is engaged in the fertilizer and specialty chemical sectors. The company's operating segment includes Fertilizers, Industrial Products and Performance Products. Fertilizers segment is engaged in the production of standard, granular, fine red and white potash. Industrial Products segment produces flame retardants. Performance Products segment produces specialty phosphates, such as technical, food grade and electronic grade phosphoric acid, phosphate salts, food additives and wildfire safety products, as well as alumina and other chemicals. ICL Group Ltd, formerly known as Israel Chemicals Ltd, is based in Israel.
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