CNEY Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
09-30
2022
09-30
2021
09-30
2020
09-30
2019
09-30
2018
09-30
Report Filing: 2024-02-15 2023-01-27 2022-02-15 2020-09-30 2019-09-30 2018-09-30
Net Income/Starting Line -5625740 2229708 1296360 2344770 1667812 1562618
Cash From Operating Activities -30148864 -7514619 -11593069 -1818912 148540 -2916519
Depreciation and Amortization 2759851 1537693 1226101 1039291 1057866 1141290
Deferred Income Tax -961506 -9033 83893 -8415 -1916 112629
Stock Based Compensation -35251694 0 108108 56100 4130 42650
Other Non-Cash Items 36695997 235906 -110438 40105 -104591 -114947
Changes in Working Capital -27765772 -11508893 -14197093 -5290763 -2474761 -5660759
Accounts Receivable -11266039 -8503455 -3159543 -4216674 -1290889 -1901256
Inventory -23912499 248675 1828011 -231162 104029 1497093
Accounts Payable 5446546 6357128 -3284531 -1060649 -4111721 -1458224
Deferred Revenue 1966220 -9611241 -9581030 217722 2823820 -3798372
Other Working Capital 0 0 0 0 0 0
Cash From Investing Activities -1452654 2171081 -27921675 -875831 -1214180 4830963
Investments in Property Plant and Equipment -683392 -3915094 -4187362 -19356 -1460119 -1928
Payments for Acquisitions 613.0000000004001 -17746979 77527 0 0 0
Purchases of Securities 0 0 -3072000 0 0 0
Proceeds from Sales and Maturities of Securities 0 3042843 -77527 0 245939 0
Other Investing Activities -769875.0000000005 20790311 -20662313 -856475 0 4832891
Cash From Financing Activities 13416440 24939210 38023254 2623800 790271 0
Debt Repayment -13416400 -4922636 -1689600 -1144525 -790271 0
Common Stock Issued 8945433 23528702 41000000 1800000 0 0
Common Stock Repurchased 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 0
Other Financing Activities 17887407 6333144 -1287146 1968325 790271 0
Effect of Forex Changes on Cash 333708 -1739558 112213 80643 -61098 -95652
Net Change in Cash 4744 17856114 -1379277 9700 -336467 1818792
Cash at Beginning of Period 190758 190758 1570035 1560335 1896802 78010
Cash at End of Period 195502 18046872 190758 1570035 1560335 1896802
Free Cash Flow -30832256 -11429713 -15780431 -1838268 -1311579 -2918447
Operating Cash Flow -30148864 -7514619 -11593069 -1818912 148540 -2916519
Capital Expenditure -683392 -3915094 -4187362 -19356 -1460119 -1928

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