GPRO Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023 (Q4)
12-31
2023 (Q3)
09-30
2023 (Q2)
06-30
2023 (Q1)
03-31
2022 (Q4)
12-31
2022 (Q3)
09-30
2022 (Q2)
06-30
2022 (Q1)
03-31
2021 (Q4)
12-31
2021 (Q3)
09-30
2021 (Q2)
06-30
2021 (Q1)
03-31
2020 (Q4)
12-31
2020 (Q3)
09-30
2020 (Q2)
06-30
2020 (Q1)
03-31
2019 (Q4)
12-31
2019 (Q3)
09-30
2019 (Q2)
06-30
2019 (Q1)
03-31
2018 (Q4)
12-31
2018 (Q3)
09-30
2018 (Q2)
06-30
2018 (Q1)
03-31
2017 (Q4)
12-31
2017 (Q3)
09-30
2017 (Q2)
06-30
2017 (Q1)
03-31
2016 (Q4)
12-31
2016 (Q3)
09-30
2016 (Q2)
06-30
2016 (Q1)
03-31
2015 (Q4)
12-31
2015 (Q3)
09-30
2015 (Q2)
06-30
2015 (Q1)
03-31
2014 (Q4)
12-31
2014 (Q3)
09-30
2014 (Q2)
06-30
2014 (Q1)
03-31
2013 (Q4)
12-31
2013 (Q3)
09-30
2013 (Q2)
06-30
2013 (Q1)
03-31
Report Filing: 2024-02-09 2023-11-07 2023-08-03 2023-05-09 2023-02-10 2022-11-03
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Net Income/Starting Line -2418000 -3684000 -17212000 -29869000 3073000 17570000
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Cash From Operating Activities 43729000 -1638000 -7852000 -67102000 25562000 40736000
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Depreciation and Amortization 1159000 1444000 1748000 1809000 1980000 2035000
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Deferred Income Tax 73000 -1891000 -6152000 -9921000 -3437000 3750000
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Stock Based Compensation 10031000 10017000 11117000 10314000 9565000 9339000
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Other Non-Cash Items -2767000 30000 -108000 243000 202000 2225000
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Changes in Working Capital 37651000 -7554000 2755000 -39678000 14179000 5817000
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Accounts Receivable 16152000 -25186000 -25391000 19947000 8037000 3548000
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Inventory 48610000 -19467000 19395000 -27673000 26263000 -27387000
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Accounts Payable -29938000 42766000 10573000 -27627000 -29976000 34583000
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Deferred Revenue 2827000 -5667000 -1822000 -4325000 9855000 -4927000
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Other Working Capital 0 0 0 0 0 0
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Cash From Investing Activities 14465000 43976000 55726000 7735000 -11099000 -14067000
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Investments in Property Plant and Equipment -535000 -24000 -478000 -483000 -242000 -1911000
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Payments for Acquisitions 0 0 0 -8218000 10857000 12156000
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Purchases of Securities 0 0 0 -25782000 -61857000 -56656000
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Proceeds from Sales and Maturities of Securities 15000000 44000000 56204000 34000000 51000000 44500000
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Other Investing Activities 15000000 44000000 56204000 8218000 -10857000 -12156000
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Cash From Financing Activities -57112000 -10760000 -15583000 -6927000 -9010000 -11695000
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Debt Repayment -46250000 0 0 0 -125000000 0
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Common Stock Issued -3876000 1552000 0 2324000 74000 2000000
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Common Stock Repurchased -10000000 -10000000 -15000000 -5000000 -8001000 -9856000
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Dividends Paid 0 0 0 0 0 0
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Other Financing Activities 6890000 -2312000 -583000 -4251000 123917000 -3839000
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Effect of Forex Changes on Cash 642000 -507000 -204000 385000 1121000 -1092000
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Net Change in Cash 1724000 31071000 32087000 -65909000 6574000 13882000
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Cash at Beginning of Period 220984000 189913000 157826000 223735000 217161000 203279000
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Cash at End of Period 222708000 220984000 189913000 157826000 223735000 217161000
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Free Cash Flow 43194000 -1662000 -8330000 -67585000 25320000 38825000
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Operating Cash Flow 43729000 -1638000 -7852000 -67102000 25562000 40736000
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Capital Expenditure -535000 -24000 -478000 -483000 -242000 -1911000
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Disclaimer: The data contained in this website is not necessarily real-time nor accurate. All derived (stocks, indexes, futures) and Forex prices are not provided by exchanges but rather by our third party API www.financialmodellingprep.com, and so prices may not be accurate and may differ from the actual market price, meaning prices are indicative and not appropriate for trading purposes. Therefore, Discounting Cash Flows Inc. doesn't bear any responsibility for any trading losses you might incur as a result of using this data. Discounting Cash Flows Inc. or anyone involved with Discounting Cash Flows Inc. will not accept any liability for loss or damage as a result of reliance on the information including data, quotes, charts and buy/sell signals contained within this website. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.