Citibank 2010 Annual Report Download - page 299

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297
Condensed Consolidating Statements of Cash Flows
Year ended December 31, 2009
In millions of dollars
Citigroup
parent
company CGMHI CFI CCC Associates
Other
Citigroup
subsidiaries
and
eliminations
Consolidating
adjustments
Citigroup
consolidated
Net cash (used in) provided by operating
activities of continuing operations $ (5,318) $ 19,442 $ 1,238 $ 4,408 $ 4,852 $ (74,824) $(4,408) $ (54,610)
Cash flows from investing activities of
continuing operations
Change in loans $ $ $ 5,759 $ 1,024 $ 1,191 $(155,601) $(1,024) $(148,651)
Proceeds from sales and securitizations of loans 176 6 241,191 (6) 241,367
Purchases of investments (17,056) (13) (589) (650) (263,396) 589 (281,115)
Proceeds from sales of investments 7,092 32 520 598 77,673 (520) 85,395
Proceeds from maturities of investments 21,030 348 459 112,125 (348) 133,614
Changes in investments and advances—intercompany (22,371) (165) 3,657 18,714 165
Business acquisitions 384 (384)
Other investing activities 6,259 299 6,558
Net cash (used in) provided by investing activities
of continuing operations $(10,921) $ 6,454 $ 5,759 $ 1,144 $ 5,255 $ 30,621 $(1,144) $ 37,168
Cash flows from financing activities of
continuing operations
Dividends paid $ (3,237) $ $ $ $ $ $ $ (3,237)
Dividends paid—intercompany (121) (1,000) 1,121
Issuance of common stock 17,514 17,514
Treasury stock acquired (3) (3)
Proceeds/(repayments) from issuance of
long-term debt—third-party, net (9,591) (2,788) 18,090 679 (791) (18,575) (679) (13,655)
Proceeds/(repayments) from issuance of
long-term debt—intercompany, net 1,550 (3,122) (3,377) 1,827 3,122
Change in deposits 61,718 61,718
Net change in short-term borrowings and other
investment banking and brokerage borrowings—
third-party (1,339) (5,142) (20,847) (10) (24,657) (51,995)
Net change in short-term borrowings and other
advances—intercompany 10,344 (18,126) (4,240) (3,056) (5,819) 17,841 3,056
Other financing activities 2,664 (41) 41 2,664
Net cash provided by (used in) financing activities
of continuing operations $ 16,231 $(25,506) $ (6,997) $(5,499) $(10,038) $ 39,316 $ 5,499 $ 13,006
Effect of exchange rate changes on cash and
due from banks $ $ $ — $ — $ $ 632 $ — $ 632
Net cash provided by (used in) discontinued
operations — — 23 23
Net (decrease) increase in cash and due from banks $ (8) $ 390 $ $ 53 $ 69 $ (4,232) $ (53) $ (3,781)
Cash and due from banks at beginning of period 13 4,557 1 290 396 24,286 (290) 29,253
Cash and due from banks at end of period $ 5 $ 4,947 $ 1 $ 343 $ 465 $ 20,054 $ (343) $ 25,472
Supplemental disclosure of cash flow information
for continuing operations
Cash paid during the year for
Income taxes $ 412 $ (663) $ 101 $ (12) $ (137) $ (2) $ 12 $ (289)
Interest 8,891 7,311 2,898 3,046 530 8,759 (3,046) 28,389
Non-cash investing activities
Transfers to repossessed assets 1,642 1,704 1,176 (1,642) 2,880