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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities      
Net income $ 910.6 $ 805.8 $ 744.3
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation 42.7 49.6 61.3
Amortization 141.1 158.6 164.3
Pension settlement charges (Note 12)   109.8  
Gain on divestiture of business, excluding transaction costs (Note 5) (254.8)    
Gain on sale of noncontrolling interest in a private company (Note 5)   (47.9)  
Deferred income tax provision/(benefit) (Note 11) (26.7) (2.6) 13.9
Other non-cash items, net 115.4 149.6 145.8
Increase/(decrease) in cash, excluding the effects of divestitures, resulting from changes in:      
Other assets (209.2) (73.0) (44.4)
Accounts payable and accrued liabilities 42.6 (24.8) (96.6)
Income taxes payable (Note 11) (152.7) (56.2) (94.4)
Other liabilities (27.4) (23.6) (16.7)
Net cash provided by operating activities 581.6 1,045.3 877.5
Cash flows from investing activities      
Payments for capitalized contract costs (71.9) (107.5) (69.1)
Payments for internal use software (104.4) (69.4) (51.2)
Purchases of property and equipment (31.9) (37.7) (36.5)
Proceeds from the sale of former corporate headquarters and other property (Note 5)     49.4
Proceeds from the sale of noncontrolling interest in a private company (Note 5)   50.9  
Purchase of noncontrolling interest in stc Bank (Note 5)   (200.0)  
Proceeds from divestitures, net of cash divested (Note 5) 887.2    
Other investing activities 17.5 3.7 (6.0)
Net cash (used in)/provided by investing activities 525.5 192.0 (373.5)
Cash flows from financing activities      
Cash dividends and dividend equivalents paid (Note 14) (364.2) (381.6) (370.3)
Common stock repurchased (Note 14) (369.9) (409.9) (239.7)
Net proceeds from/(repayments of) commercial paper (95.0) 195.0 (165.0)
Net proceeds from issuance of borrowings   891.7  
Principal payments on borrowings (300.0) (1,150.0)  
Make-whole premium on early extinguishment of debt (Note 16)   (14.3)  
Proceeds from exercise of options 9.5 11.6 2.2
Net change in settlement obligations (56.4) (412.2) 587.6
Other financing activities (1.3) 0.2 (0.7)
Net cash used in financing activities (1,177.3) (1,269.5) (185.9)
Net change in cash and cash equivalents, including settlement, and restricted cash (70.2) (32.2) 318.1
Cash and cash equivalents, including settlement, and restricted cash at beginning of period 2,110.9 2,143.1 1,825.0
Cash and cash equivalents, including settlement, and restricted cash at end of period 2,040.7 2,110.9 2,143.1
Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents [Abstract]      
Cash and cash equivalents on balance sheet 1,285.9 1,208.3 1,428.2
Settlement cash and cash equivalents (Note 8) 708.1 835.5 695.7
Restricted cash in Other assets 41.5 29.4 19.2
Cash and cash equivalents included in Assets held for sale (Note 5) 5.2 37.7  
Cash and cash equivalents, including settlement, and restricted cash 2,040.7 2,110.9 2,143.1
Supplemental cash flow information:      
Interest paid 97.2 101.6 109.6
Income taxes paid 279.8 185.9 187.3
Cash paid for lease liabilities 40.5 46.5 65.9
Non-cash lease liabilities arising from obtaining right-of-use assets (Note 13) 12.4 18.5 38.6
Internal use software capitalized but not yet paid   26.4 0.2
Accrued and unpaid capitalized contract costs 32.3    
Settlement Investments      
Cash flows from investing activities      
Purchases of investments (1,160.0) (433.0) (6,421.1)
Proceeds from the sale of investments 919.3 755.3 5,978.4
Maturities of settlement investments 169.7 $ 229.7 $ 182.6
Non Settlement Investment      
Cash flows from investing activities      
Purchases of investments (400.0)    
Proceeds from the sale of investments $ 300.0