LATAM AIRLINES GROUP S.A.LTM

Market cap
P/E ratio
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Proceeds from sales of goods and services10,59610,78811,0794,6205,36010,55013,39714,038
Other cash receipts from operating activities74951285252117170213
Payments to suppliers for the supply goods and services6,7237,331-6,664-3,8174,4019,1139,6909,458
Payments to and on behalf of employees1,9551,789-1,645-1,2279411,0391,3051,420
Other payments for operating activities224256-268-71156273271345
Income taxes (paid)9229-45-669141843
Other cash inflows (outflows)-94024114-88-130-20122
Net cash (outflow) inflow from operating activities1,6671,5172,827-495-184972,2643,106
Other payments to acquire equity or debt instruments of other entities3,1063,5484,1321,14100--
Amounts raised from sale of property, plant and equipment512245076105564797
Purchases of property, plant and equipment4046611,2773245877817961,325
Purchases of intangible assets----89506894
Interest received---3791999118
Other cash inflows (outflows)-9-2-2-21865934
Net cash (outflow) inflow from investing activities-287-358-1,41934-543-749-660-1,170
Proceeds from issuing shares-----549--
Payments for changes in ownership interests in subsidiaries that do not result in loss of control--2943--0-
Proceeds from issuing other equity instruments-----3,203--
Proceeds From Term Loans1,3057791,7821,425-2,362-1,750
Proceeds From Short Term Loans132293935606624,856--
Loans from related entities---373130771--
Loans repayments1,8291,0461,8607944638,7593422,005
Payments of lease liabilities--399122103132225344
Payments of loans to related entities-----1,008--
Dividends paid6773551---175
Interest paid390357551210105522594718
Other cash (outflows) inflows1444-59-108-11-46411-74
Net cash inflow (outflow) from financing activities-1,179-1,052-1,3441,121110855-1,150-1,565
Net (decrease) increase in cash and cash equivalents before effect of exchanges rate change20010664660-617203454372
Effect of exchange rate changes on cash and cash equivalents-8-167-73-36-32-3344-129
Net (decrease) increase in cash and cash equivalents---9623-649170498243