LOGI Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
03-31
2022
03-31
2021
03-31
2020
03-31
2019
03-31
2018
03-31
2017
03-31
2016
03-31
2015
03-31
2014
03-31
2013
03-31
2012
03-31
2011
03-31
2010
03-31
2009
03-31
2008
03-31
2007
03-31
2006
03-31
2005
03-31
2004
03-31
2003
03-31
2002
03-31
2001
03-31
2000
03-31
1999
03-31
1998
03-31
1997
03-31
1996
03-31
Report Filing: 2023-05-17 2022-05-18 2021-05-12 2020-05-27 2019-05-17 2018-05-21 2017-05-26 2016-05-23 2015-06-05 2014-11-13 2013-05-30 2012-05-30 2011-05-27 2010-05-27 2009-06-01 2008-05-30 2007-05-25 2006-05-19 2005-05-18 2004-05-19 2003-05-21 2002-06-11 2001-05-31 2000-07-17 1999-06-30 1998-06-29 1997-06-30 1996-03-31
Net Income/Starting Line 364575000 644513000 947257000 449723000 257573000 208542000 191489000 105633000 135267000 75528000 -228137000 71458000 128460000 64957000 107032000 231026000 229848000 181105000 149266000 132153000 98843000 74956000 45068000 30044000 7100000 15500000 21100000 8200000
Cash From Operating Activities 534010000 298318000 1458638000 425000000 305181000 346261000 278728000 183111000 178632000 201859000 116990000 199336000 154830000 365259000 200587000 393079000 303825000 152217000 213674000 166460000 145108000 112595000 12043000 32866000 16800000 43500000 27500000 8800000
Depreciation and Amortization 100716000 118540000 82570000 73751000 67651000 56902000 50488000 52993000 49665000 61505000 67492000 72502000 74586000 70895000 52187000 49222000 40115000 34521000 32361000 31404000 30569000 31770000 22040000 20015000 15800000 13400000 11500000 10000000
Deferred Income Tax 30714000 27334000 34484000 -159853000 -12257000 7141000 -2397000 6604000 1982000 -4374000 11552000 137000 -8998000 -18458000 -10387000 -2138000 -9691000 -4870000 -3587000 9338000 -387000 -376000 593000 -24000 -1800000 -1200000 -3100000 500000
Stock Based Compensation 70782000 93479000 86019000 54870000 0 44138000 35890000 27351000 25825000 25546000 25198000 31529000 34846000 25807000 24503000 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 10853000 6314000 9842000 -16700000 -1046000 -5588000 -18215000 -2553000 -577000 2789000 224401000 18961000 -5152000 -3394000 3000 36107000 -21546000 254000 0 -12835000 1675000 2574000 -85035000 5641000 13600000 -100000 100000 100000
Changes in Working Capital -43630000 -591862000 298466000 23209000 -57005000 35126000 21473000 -6917000 -33530000 40865000 16484000 4749000 -68912000 225452000 27249000 57822000 45635000 -58793000 35634000 6400000 14408000 3671000 -56642000 -22810000 -17900000 11500000 -7100000 -11100000
Accounts Receivable 51185000 -71510000 -201220000 -15768000 -58798000 -26363000 -36298000 25513000 -8018000 4733000 44928000 29279000 -54684000 28489000 152496000 -31212000 -9917000 -66651000 -14140000 -14085000 2565000 -28937000 -201220000 0 0 0 0 0
Inventory 247309000 -276640000 -427501000 60388000 -21551000 16047000 -15428000 31966000 -60011000 42013000 20076000 -36621000 -60482000 30942000 -9078000 -10230000 -11478000 -25425000 -35276000 -5307000 -32714000 26040000 -29411000 -345000 -32300000 19900000 -13200000 -10900000
Accounts Payable -219051000 -181303000 553960000 -24250000 -19134000 17695000 24459000 -58104000 60413000 -20251000 -36289000 3622000 37714000 94155000 -123802000 61096000 33890000 5162000 30373000 9812000 27807000 -878000 553960000 0 0 0 0 0
Deferred Revenue -79443000 -62409000 373227000 2839000 42478000 27747000 48740000 -6292000 -25914000 14370000 -12231000 8469000 8540000 71866000 7633000 38168000 33140000 28121000 54677000 15980000 16750000 7446000 -379971000 -22465000 14400000 -8400000 6100000 -200000
Other Working Capital -43630000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -105730000 -107863000 -119982000 -130234000 -173345000 -128704000 -98964000 -60690000 -48289000 -43241000 -50181000 -54404000 -38140000 -427830000 -113120000 53221000 -270058000 -54706000 -71035000 -40208000 -24600000 -24514000 -59116000 -19941000 -64800000 -7900000 -17800000 5400000
Investments in Property Plant and Equipment -92353000 -89152000 -76189000 -39484000 -35930000 -39748000 -31804000 -56615000 -45253000 -43096000 -46945000 -51001000 -41318000 -39834000 -48263000 -57900000 -47246000 -54102000 -40541000 -24718000 -28657000 -21941000 -16824000 -17872000 -24800000 -13000000 -18100000 -12300000
Payments for Acquisitions -12884000 -17699000 -47638000 -91914000 -136531000 -89563000 -67947000 -2419000 -3476000 -650000 -4420000 -18814000 1787000 -388809000 -64430000 -59722000 -20524000 860000 -30494000 -15490000 1985000 -6822000 -47696000 -4219000 0 0 0 0
Purchases of Securities -6702000 -15058000 -12336000 -11964000 -6708000 -12842000 -7052000 -9619000 -5034000 -8750000 -4196000 -7505000 -19075000 -388809000 -427000 -379793000 -416475000 560000 0 0 163000 -1115000 -12336000 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 6209000 14046000 16181000 12091000 5824000 13449000 7124000 10073000 5474000 9255000 5380000 13949000 17783000 813000 524026000 551787000 214724000 -560000 0 0 2072000 4249000 1767000 0 0 0 0 0
Other Investing Activities -4850000 -2475000 -270000 1037000 -3601000 -633000 715000 -2110000 -2110000 505000 -3236000 8967000 2683000 388809000 -524026000 -1151000 -537000 -1464000 0 0 -163000 1115000 15973000 2150000 -40000000 5100000 300000 17700000
Cash From Financing Activities -583353000 -606819000 -299929000 -176656000 -159133000 -127873000 -146056000 -141669000 -48854000 -22681000 -209784000 -139374000 46424000 -108200000 -41159000 -165647000 -82494000 -186954000 -93088000 -49089000 -46556000 13194000 45195000 -5821000 19100000 -300000 1100000 -21400000
Debt Repayment 0 -29496716 -42978524 -22681803 -17960313 0 0 0 0 0 0 0 0 -13630000 0 0 0 0 0 0 0 0 -146705000 0 0 0 -19700000 0
Common Stock Issued 28790000 29496716 42978524 22681803 17960313 42479131 39045226 20080797 0 0 0 0 0 0 0 50603000 44706000 49206000 45985000 31404000 15629000 16389000 11049000 0 4200000 11900000 37100000 3400000
Common Stock Repurchased -418346000 -412022000 -164952000 -50437000 -32449000 -30722000 -83786000 -70358000 -1663000 -5718000 -89955000 -156036000 0 -126301000 -78870000 -219742000 -138095000 -241352000 -134525000 -79162000 -63822000 -15043000 -1065000 0 -4000000 0 -14800000 -3200000
Dividends Paid -158680000 -159410000 -146705000 -124180000 0 -104248000 -93093000 -85915000 -43767000 -36123000 -133462000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -1600000 0
Other Financing Activities -35117000 -35387000 11728000 -2039000 -12713000 7097000 30823000 14604000 -3424000 13442000 13633000 16662000 46424000 31731000 37711000 3492000 10895000 5192000 -4548000 -1331000 1637000 11848000 328621000 -5821000 18900000 -12200000 100000 -21600000
Effect of Forex Changes on Cash -24620000 -5247000 -3966000 -7060000 -10134000 4730000 -5370000 1405000 -13863000 -349000 -1571000 -5119000 -5127000 -2044000 -35901000 5502000 -90000 -6820000 -3027000 -1144000 1681000 -2316000 -3406000 -929000 -200000 -1500000 -800000 -500000
Net Change in Cash -179693000 -421611000 1034761000 111050000 -37431000 94414000 28338000 -17843000 67626000 135588000 -144546000 439000 157987000 -172815000 10407000 286155000 -48817000 -96263000 46524000 76019000 75633000 98959000 -5284000 6175000 -29100000 33800000 10000000 -7700000
Cash at Beginning of Period 1328716000 1750327000 715566000 604516000 641947000 547533000 519195000 537038000 469412000 333824000 478370000 477931000 319944000 492759000 482352000 196197000 245014000 341277000 294753000 218734000 143101000 44142000 49426000 43251000 72400000 38500000 28600000 36300000
Cash at End of Period 1149023000 1328716000 1750327000 715566000 604516000 641947000 547533000 519195000 537038000 469412000 333824000 478370000 477931000 319944000 492759000 482352000 196197000 245014000 341277000 294753000 218734000 143101000 44142000 49426000 43300000 72300000 38600000 28600000
Free Cash Flow 441657000 209166000 1382449000 385516000 269251000 306513000 246924000 126496000 133379000 158763000 70045000 148335000 113512000 325425000 152324000 335179000 256579000 98115000 173133000 141742000 116451000 90654000 -4781000 14994000 -8000000 30500000 9400000 -3500000
Operating Cash Flow 534010000 298318000 1458638000 425000000 305181000 346261000 278728000 183111000 178632000 201859000 116990000 199336000 154830000 365259000 200587000 393079000 303825000 152217000 213674000 166460000 145108000 112595000 12043000 32866000 16800000 43500000 27500000 8800000
Capital Expenditure -92353000 -89152000 -76189000 -39484000 -35930000 -39748000 -31804000 -56615000 -45253000 -43096000 -46945000 -51001000 -41318000 -39834000 -48263000 -57900000 -47246000 -54102000 -40541000 -24718000 -28657000 -21941000 -16824000 -17872000 -24800000 -13000000 -18100000 -12300000

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