Vale do Rio Doce Cash Flow Statement
View: Annual | Quarterly
| Dec 07 | Dec 06 | Dec 05 | |
|---|---|---|---|
| Net Operating Cash Flow | 11,012.0 | 7,232.0 | 5,161.0 |
| Net Investing Cash Flow | (9,006.0) | (16,954.0) | (4,646.0) |
| Net Financing Cash Flow | (5,209.0) | 13,345.0 | (531.0) |
| Net Change in Cash | (3,402.0) | 3,407.0 | (208.0) |
| Depreciation & Amortization | 2,186.0 | 997.0 | 619.0 |
| Capital Expenditures | (6,651.0) | (4,431.0) | (3,977.0) |
| Cash Dividends Paid | (714.0) | (65.0) | -- |






