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Consolidated Statements of Cash Flows - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Operating activities:      
Net income $ 807.5 $ 737.8 $ 883.1
Adjustments to reconcile net income to net cash provided by/(used in) operating activities:      
Amortization and depreciation 203.5 177.6 142.1
Common share-based compensation expense 188.5 207.5 172.4
Other gains and losses, net (44.9) (65.7) 40.0
Other (gains)/losses of CIP, net (32.1) (32.9) 55.1
Equity in earnings of unconsolidated affiliates (72.7) (56.4) (33.8)
Distributions from equity method investees 33.9 9.7 9.2
Changes in operating assets and liabilities:      
(Purchase)/sale of investments by CIP, net (48.2) (213.4) (340.7)
(Purchase)/sale of investments, net 263.1 167.0 (45.5)
(Increase)/decrease in receivables 3,744.4 934.3 944.4
Increase/(decrease) in payables (3,812.7) (748.9) (997.5)
Net cash provided by/(used in) operating activities 1,230.3 1,116.6 828.8
Investing activities:      
Purchase of property, equipment and software (115.0) (124.3) (102.5)
Purchase of investments by CIP (4,548.6) (5,244.8) (4,488.3)
Sale of investments by CIP 3,782.3 3,654.9 3,210.1
Purchase of investments (153.6) (229.1) (153.5)
Sale of investments 143.2 123.3 123.1
Capital distribution from equity method investees 26.6 78.1 45.5
Collateral received/(posted), net 0.0 26.0 (63.8)
Purchase of business, net of cash acquired 0.0 290.5 (1,469.3)
Net cash provided by/(used in) investing activities (865.1) (1,425.4) (2,898.7)
Financing activities:      
Purchases of treasury shares (47.1) (469.8) (51.8)
Dividends paid - preferred (236.8) (123.6) 0.0
Dividends paid - common (357.4) (529.1) (490.6)
Third-party capital invested into CIP 185.8 289.5 465.8
Third-party capital distributed by CIP (236.4) (144.1) (117.0)
Borrowings of debt of CIP 1,268.0 3,348.8 2,463.8
Repayments of debt of CIP (791.1) (1,819.6) (1,045.4)
Payment on forward contracts (190.6) 0.0 0.0
Collateral received/(posted), net 142.0 0.0 0.0
Net borrowings/(repayments) under credit facility 0.0 (330.8) 330.8
Payment of contingent consideration (22.3) (20.0) (15.6)
Net cash provided by/(used in) financing activities (285.9) 201.3 1,540.0
Increase/(decrease) in cash and cash equivalents 79.3 (107.5) (529.9)
Foreign exchange movement on cash and cash equivalents 27.5 17.7 (43.8)
Foreign exchange movement on cash and cash equivalents of CIP 25.8 (7.0) (1.0)
Net cash inflows (outflows) upon consolidation/deconsolidation of CIP 5.5 (7.4) (137.6)
Cash and cash equivalents, beginning of period 1,701.2 1,805.4 2,517.7
Cash, cash equivalents and restricted cash, end of period 1,839.3 1,701.2 1,805.4
Total cash, cash equivalents and restricted cash per consolidated statement of cash flows 1,839.3 1,805.4 2,517.7
Supplemental Cash Flow Information:      
Interest paid (93.1) (99.4) (100.8)
Interest received 2.7 9.2 8.9
Taxes paid $ (223.8) $ (193.7) $ (322.0)