Lions Gate Entertainment Corp (LGF-B) — Cash Flow-to-Debt Ratio

Latest as of December 2024: -0.02x

Lions Gate Entertainment Corp (LGF-B) has a Cash Flow-to-Debt Ratio of -0.02x as of December 2024, meaning its operating cash flow of $-118.80 Million could theoretically repay 0% of its total liabilities ($7.32 Billion) in one year. See cash generation quality of Lions Gate Entertainment Corp to measure how efficiently the company converts operating cash flow to free cash.

CF-to-Debt Ratio

-0.02x
Operating CF / Total Liabilities

Operating Cash Flow

$-118.80 Million
USD

Total Liabilities

$7.32 Billion
USD

Data as of

Dec 2024
Most recent filing

Lions Gate Entertainment Corp Cash Flow-to-Debt Ratio (1998–2024)

Historical debt coverage capacity for Lions Gate Entertainment Corp across 27 annual periods. Also explore LGF-B shareholders equity momentum to track the company's year-over-year net asset growth rate.

Annual Cash Flow-to-Debt Ratio for Lions Gate Entertainment Corp (1998–2024)

Year-by-year debt coverage analysis for Lions Gate Entertainment Corp. For market capitalisation and broader financial context, see LGF-B company net worth.

Year CF-to-Debt Ratio Operating CF (USD) Total Liabilities YoY Change
2024 0.05x $396.80 Million $7.28 Billion ▲ +400.3%
2023 -0.02x $-114.30 Million $6.30 Billion ▲ +83.6%
2022 -0.11x $-660.90 Million $5.99 Billion ▼ -121592.3%
2021 0.00x $-500.00K $5.51 Billion ▼ -100.1%
2020 0.12x $614.60 Million $5.29 Billion ▲ +49.1%
2019 0.08x $427.50 Million $5.49 Billion ▲ +16.3%
2018 0.07x $389.20 Million $5.81 Billion ▼ -19.9%
2017 0.08x $558.60 Million $6.68 Billion ▲ +1421.8%
2016 -0.01x $-19.01 Million $3.01 Billion ▼ -116.1%
2015 0.04x $96.51 Million $2.45 Billion ▼ -64.6%
2014 0.11x $252.51 Million $2.27 Billion ▼ -3.0%
2013 0.11x $276.12 Million $2.40 Billion ▲ +289.6%
2012 -0.06x $-163.47 Million $2.70 Billion ▼ -304.7%
2011 0.03x $42.33 Million $1.43 Billion ▲ +132.3%
2010 -0.09x $-134.96 Million $1.47 Billion ▼ -50.6%
2009 -0.06x $-101.91 Million $1.68 Billion ▼ -192.1%
2008 0.07x $89.15 Million $1.35 Billion ▼ -45.5%
2007 0.12x $107.82 Million $889.21 Million ▼ -10.9%
2006 0.14x $123.01 Million $903.98 Million ▲ +5.1%
2005 0.13x $95.50 Million $737.23 Million ▲ +180.9%
2004 -0.16x $-106.58 Million $665.94 Million ▼ -548.6%
2003 0.04x $10.80 Million $302.80 Million ▲ +117.8%
2002 -0.20x $-59.57 Million $297.13 Million ▼ -54.7%
2001 -0.13x $-32.57 Million $251.40 Million ▼ -111.3%
2000 1.14x $149.94 Million $131.23 Million ▲ +113.5%
1999 0.54x $55.72 Million $104.13 Million ▲ +366.1%
1998 -0.20x $-14.99 Million $74.54 Million
Cash Flow-to-Debt Ratio = Operating Cash Flow / Total Liabilities. Higher is better for debt service capacity.