AFRM Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
06-30
2022
06-30
2021
06-30
2020
06-30
2019
06-30
Report Filing: 2023-08-25 2022-08-29 2021-09-17 2020-06-30 2019-06-30
Net Income/Starting Line -985345000 -707417000 -430923000 -112598000 -120455000
Cash From Operating Activities 12181000 -113800000 -193130000 -71302000 -87649000
Depreciation and Amortization 134634000 52722000 19979000 9444000 5266000
Deferred Income Tax 629137000 0 77422000 385000 36000
Stock Based Compensation 451709000 390983000 288033000 29625000 33701000
Other Non-Cash Items -82979000 159571000 -93893000 -29134000 14496000
Changes in Working Capital -134975000 -9659000 -53748000 30976000 -20693000
Accounts Receivable -67690000 -62700000 -22934000 -19049000 -24791000
Inventory 0 0 0 22575000 16768000
Accounts Payable -5038000 -24686000 32223000 7514000 4435000
Deferred Revenue -62247000 77727000 -63037000 19936000 -17105000
Other Working Capital 0 0 0 0 0
Cash From Investing Activities -1653070000 -2030972000 -1022033000 -253073000 -353728000
Investments in Property Plant and Equipment -120775000 -111705000 -20252000 -21019000 -21250000
Payments for Acquisitions -16051000 -5999000 -222433000 2526887000 1743561000
Purchases of Securities -1082147000 -1841380000 -5897252000 -2830320000 -1892508000
Proceeds from Sales and Maturities of Securities 1537495000 291401000 824011000 303433000 147103000
Other Investing Activities -1971592000 -363289000 4293893000 -232054000 -330634000
Cash From Financing Activities 1349945000 1997598000 2577830000 294732000 561648000
Debt Repayment -6614397000 -4698646000 -3375471000 -1882155000 -1080481000
Common Stock Issued 15768000 73914000 1305176000 2733000 309558000
Common Stock Repurchased -109000 -86000 -813000 -41445000 -17129000
Dividends Paid -15768000 0 -4819717000 -2223286000 -309558000
Other Financing Activities 7964451000 6622416000 9468655000 4438885000 1659258000
Effect of Forex Changes on Cash 81000 5349000 1837000 0 0
Net Change in Cash -290863000 -141825000 1364504000 -29643000 120271000
Cash at Beginning of Period 1550807000 1692632000 328128000 357771000 237500000
Cash at End of Period 1259944000 1550807000 1692632000 328128000 357771000
Free Cash Flow -108594000 -225505000 -213382000 -92321000 -108899000
Operating Cash Flow 12181000 -113800000 -193130000 -71302000 -87649000
Capital Expenditure -120775000 -111705000 -20252000 -21019000 -21250000

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