CIT - CIT Group Inc.

NYSE - NYSE Delayed Price. Currency in USD

Cash Flow

Annual
All numbers in thousands
Period Ending12/31/201812/31/201712/31/201612/31/2015
Net Income447,100468,200-848,0001,034,100
Operating Activities, Cash Flows Provided By or Used In
Depreciation23,90024,70025,600554,700
Adjustments To Net Income401,400381,4001,794,800-385,100
Changes In Accounts Receivables----
Changes In Liabilities----
Changes In Inventories----
Changes In Other Operating Activities-201,000-636,400827,200-243,100
Total Cash Flow From Operating Activities982,500534,2002,406,3001,189,800
Investing Activities, Cash Flows Provided By or Used In
Capital Expenditure-655,600-793,300-1,866,800-3,088,700
Investments-138,600-2,270,300-1,329,900910,300
Other Cash flows from Investing Activities44,0009,308,600147,60063,700
Total Cash Flows From Investing Activities43,8007,064,300-508,1001,085,200
Financing Activities, Cash Flows Provided By or Used In
Dividends Paid-115,900-113,700-123,000-114,900
Sale Purchase of Stock----
Net Borrowings-787,000-7,136,600-2,551,200-2,804,500
Other Cash Flows from Financing Activities1,587,500-2,718,900-297,0002,577,300
Total Cash Flows From Financing Activities-942,100-13,083,100-2,971,200-896,100
Effect Of Exchange Rate Changes-15,00015,600-34,600-63,800
Change In Cash and Cash Equivalents69,200-5,469,000-1,107,6001,315,100