Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Consolidated Statements of Cash Flows

v3.20.1
Consolidated Statements of Cash Flows
$ in Millions, $ in Millions
12 Months Ended 60 Months Ended
Mar. 31, 2020
USD ($)
Mar. 31, 2019
USD ($)
Mar. 31, 2018
USD ($)
Mar. 31, 2020
USD ($)
Cash Flows From Operating Activities        
Net income $ 241.5 $ 228.8 $ 146.1  
Adjustments to reconcile net income to net cash provided by operating activities:        
Depreciation and amortization 131.5 119.4 92.0  
Lease expense 18.1      
Deferred income taxes 64.0 12.7 (76.8)  
Stock-based compensation 10.3 12.5 11.1  
Asbestos adjustments 58.2 22.0 156.4  
Excess tax benefits from share-based awards (0.4) 0.0 (0.8)  
Asset impairments 77.4 15.9 0.0  
Loss on early debt extinguishment 0.0 1.0 26.1  
Other, net 17.2 16.3 12.6  
Changes in operating assets and liabilities:        
Accounts and other receivables (118.6) (18.1) (2.0)  
Inventories 3.2 (28.6) (51.7)  
Lease assets and liabilities, net (15.6)      
Prepaid expenses and other assets (2.6) (1.7) (2.8)  
Insurance receivable - Asbestos 7.6 4.8 7.3  
Accounts payable and accrued liabilities 45.1 3.5 20.7  
Asbestos claims paid (105.6) (108.8) (104.4)  
Income taxes payable (11.0) 8.8 26.9  
Other accrued liabilities 30.9 15.5 47.8  
Net cash provided by operating activities 451.2 304.0 308.5  
Cash Flows From Investing Activities        
Purchases of property, plant and equipment (193.8) (317.5) (210.2)  
Proceeds from sale of property, plant and equipment 8.0 0.0 7.9  
Capitalized interest (9.5) (5.4) (4.8)  
Acquisition of business, net of cash acquired 0.0 (558.7) 0.0  
Purchase of restricted short-term investments - Asbestos (75.5) (89.1) (78.4)  
Proceeds from restricted short-term investments - Asbestos 67.0 106.3 40.0  
Net cash used in investing activities (203.8) (864.4) (245.5)  
Cash Flows From Financing Activities        
Proceeds from credit facilities 330.0 230.0 380.0  
Repayments of credit facilities (350.0) (180.0) (455.0)  
Proceeds from 364-day term loan facility 0.0 492.4 0.0  
Repayments of 364-day term loan facility 0.0 (458.8) 0.0  
Proceeds from senior unsecured notes 0.0 458.8 800.0  
Debt issuance costs 0.0 (6.1) (15.7)  
Repayment of senior unsecured notes 0.0 0.0 (400.0)  
Call redemption premium paid to note holders 0.0 0.0 (19.5)  
Proceeds from issuance of shares 0.0 0.0 0.2  
Repayment of finance lease obligations and borrowings (0.4)      
Dividends paid (158.6) (172.1) (177.5)  
Repayments of NSW Loan - Asbestos 0.0 0.0 (51.9)  
Net cash (used in) provided by financing activities (179.0) 364.2 60.6  
Effects of exchange rate changes on cash and cash equivalents, restricted cash and restricted cash - Asbestos (6.2) 6.6 (3.2)  
Net increase (decrease) in cash and cash equivalents, restricted cash and restricted cash - Asbestos 62.2 (189.6) 120.4  
Cash and cash equivalents, restricted cash and restricted cash - Asbestos at beginning of period 123.6 313.2 192.8  
Cash and cash equivalents, restricted cash and restricted cash - Asbestos at end of period 185.8 123.6 313.2 $ 185.8
Supplemental Disclosure of Cash Flow Activities        
Capital expenditures incurred but not yet paid 8.3 25.9 8.1  
Cash paid during the year for interest 61.5 57.0 26.3  
Cash paid during the year for income taxes, net 52.5 26.3 49.1  
Cash paid to AICF $ (108.9) $ (103.0) $ (102.2) $ (468.0)