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STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
OPERATING ACTIVITIES    
Net income $ 56.8 $ 25.5
Items included in net income not affecting cash:    
Depreciation and amortization 34.0 77.6
Provision for losses on receivables (2.5) 0.6
Deferred taxes (11.4) (38.1)
Administrative fees for services from PACCAR 6.3 4.9
Change in tax-related balances with PACCAR 76.6 37.1
Decrease in payables and other (44.3) (3.8)
NET CASH PROVIDED BY OPERATING ACTIVITIES 115.5 103.8
INVESTING ACTIVITIES    
Finance and other receivables originated (724.4) (643.9)
Collections on finance and other receivables 586.7 582.3
Net (increase) decrease in wholesale receivables (24.5) 69.0
Loans to PACCAR and affiliates (50.0) (90.0)
Collections on loans from PACCAR and affiliates 55.0 211.0
Net decrease in other receivables to PACCAR and affiliates 20.0 84.5
Acquisitions of equipment for operating leases (34.6) (45.5)
Proceeds from disposals of equipment 76.5 111.2
Other, net (48.9) (28.5)
NET CASH (USED IN) PROVIDED BY INVESTING ACTIVITIES (144.2) 250.1
FINANCING ACTIVITIES    
Net increase (decrease) in short-term commercial paper 143.4 (10.5)
Proceeds from medium-term notes and other commercial paper 298.7 399.2
Payments of medium-term notes and other commercial paper (300.0) (650.0)
Dividends paid (100.0) (100.0)
NET CASH PROVIDED BY (USED IN) FINANCING ACTIVITIES 42.1 (361.3)
NET INCREASE (DECREASE) IN CASH 13.4 (7.4)
CASH AT BEGINNING OF PERIOD 22.1 48.0
CASH AT END OF PERIOD $ 35.5 $ 40.6