CHGG Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
Report Filing: 2024-02-20 2023-02-21 2022-02-22 2021-02-22 2020-02-20 2019-02-25 2018-02-26 2017-02-23 2016-03-04 2015-03-06 2014-03-06 2012-12-31 2011-12-31 2010-12-31
Net Income/Starting Line 18180000 266638000 -1458000 -6221000 -9605000 -14888000 -20283000 -42245000 -59210000 -64758000 -55850000 -49043000 -37601000 -25980000
Cash From Operating Activities 246198000 255736000 273224000 236442000 113403000 75113000 51148000 24938000 -82000 68475000 63706000 54681000 32754000 55872000
Depreciation and Amortization 129717999 91607000 74133000 62415000 30247000 22805000 19337000 23787000 55064000 81306000 74837000 67973000 61986000 55668000
Deferred Income Tax 26575000 -168679000 74919000 -109000 -39000 -323000 -3016000 467000 1861000 -1291000 5516000 2999000 6535000 4496000
Stock Based Compensation 133502000 133456000 108846000 84055000 64909000 0 38359000 41785000 38775000 36888000 36958000 18045000 13131000 8165000
Other Non-Cash Items -61075999 -72803000 21899000 62967000 48180000 10652000 -626000 105000 151000 7931000 1545000 1790000 1462000 2696000
Changes in Working Capital -701000 5517000 -5115000 33335000 -20289000 4837000 17377000 1039000 -36723000 8399000 700000 12917000 -12759000 10827000
Accounts Receivable -7799000 -3752000 -5004000 -400000 1829000 -1538000 -175000 -127000 712000 -1709000 -1474000 -4951000 -698000 -251000
Inventory 0 0 -5875000 19698000 -18041000 1504000 16299000 2166000 -23579000 3414000 -568000 7669000 -12733000 5714000
Accounts Payable 13057000 -4144000 3241000 1119000 -2395000 893000 2649000 -728000 -4236000 5037000 -30000 2680000 -4911000 2932000
Deferred Revenue -5959000 13413000 2523000 12918000 -1682000 3978000 -1396000 -272000 -9620000 1657000 2772000 7519000 5583000 2432000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities 268673000 104891000 -365768000 -732786000 -703425000 -82549000 -136234000 -5963000 8271000 -87350000 -153090000 -88103000 -59926000 -115274000
Investments in Property Plant and Equipment -83052000 -103092000 -94180000 -81317000 -42326000 -31223000 -26142000 -24689000 -8253000 -5083000 -7369000 -15148000 -2707000 -4428000
Payments for Acquisitions 9787000 -407125000 -7891000 -94796000 -79149000 -44650000 -14931000 -28075000 -2019000 -53872000 0 0 -14007000 3583000
Purchases of Securities -649792000 -730509000 -1688384000 -1045564000 -959911000 -146856000 -128247000 -7633000 -35610000 -70706000 -61420000 0 0 0
Proceeds from Sales and Maturities of Securities 991730000 1343429000 1426904000 539889000 377961000 140180000 26143000 29674000 48190000 97058000 0 0 0 0
Other Investing Activities 9787000 2188000 -2217000 -50998000 -581950000 0 6943000 24760000 5963000 -54747000 -84301000 -72955000 -43212000 -114429000
Cash From Financing Activities -852770000 -744803000 466722000 588627000 603509000 256418000 134214000 -8675000 2723000 -1872000 145218000 19845000 -8750000 83053000
Debt Repayment -505689000 -401203000 -300762000 -303967000 -97200000 -39227000 0 0 0 0 -51000000 -20500000 -42800000 0
Common Stock Issued 4165000 6477000 1091466000 15483000 35100000 29116000 147609000 2104000 13696000 2585000 162883000 0 0 0
Common Stock Repurchased -334806000 -323528000 -300000000 -80680000 -20000000 -20000000 0 0 -2263000 -604000 136926000 -5190000 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 0 -102557000 0 0 0
Other Financing Activities -16440000 -26549000 -15095000 1038471000 1562989000 661374000 -13395000 -10779000 -8710000 -3853000 -1034000 45535000 34050000 83053000
Effect of Forex Changes on Cash 21000 4137000 0 0 0 0 0 0 0 0 0 0 0 0
Net Change in Cash -337983000 -380039000 374178000 92283000 13487000 248982000 49128000 10300000 10912000 -20747000 55834000 -13577000 -35922000 23651000
Cash at Beginning of Period 473740000 855893000 481715000 389432000 375945000 126963000 77329000 67029000 56117000 76864000 21030000 34607000 70529000 46878000
Cash at End of Period 135757000 475854000 855893000 481715000 389432000 375945000 126457000 77329000 67029000 56117000 76864000 21030000 34607000 70529000
Free Cash Flow 163146000 152644000 179044000 155125000 71077000 43890000 25006000 249000 -8335000 63392000 56337000 39533000 30047000 51444000
Operating Cash Flow 246198000 255736000 273224000 236442000 113403000 75113000 51148000 24938000 -82000 68475000 63706000 54681000 32754000 55872000
Capital Expenditure -83052000 -103092000 -94180000 -81317000 -42326000 -31223000 -26142000 -24689000 -8253000 -5083000 -7369000 -15148000 -2707000 -4428000

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