NEPT 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
02-29
2015
02-28
2014
02-28
2013
02-28
2012
02-29
2011
02-28
2010
02-28
2008
05-31
2007
05-31
2006
05-31
2005
05-31
2004
05-31
2003
05-31
2002
05-31
2001
05-31
2000
05-31
Report Filing: 2023-07-17 2022-07-08 2021-03-31 2020-03-31 2019-06-12 2018-06-28 2017-06-29 2016-05-31 2015-05-28 2014-05-30 2013-05-30 2012-05-29 2011-05-31 2010-08-31 2009-08-31 2008-08-28 2007-05-31 2006-05-31 2005-05-31 2004-05-31 2003-05-31 2002-05-31 2000-05-31
Net Income/Starting Line -81712447 -93730425 -154802544 -60863262 -23191699 17530858 6381442 -7469989 -27960545 -16640006 -16770358 -4619336.572021 527522.494888 -1460563.219484 -4812233.732274 -2503443.665264 -804822.66927 -1408592.193551 -2593960.657663 -2429763.934426 -1668821.165877 -765134.112077 -121323.455801
Cash From Operating Activities -38607154 -67944071 -71193144 -31430987 -8154460 -7586519 7212398 -11395509 -22689381 -18213678 -1761981 -7288420.184464 -4647411.042945 -482000.761107 -393366.187267 -1500419.822347 4115.162799 -160263.296304 -1886327.803876 -1536214.20765 -1806240.347617 -572540.194599 -90809.89088
Depreciation and Amortization 3686774 7601875 23957545 8305039 3046226 3541882 3523200 2579565 1718690 352942 613197 768414.753126 943319.018405 730966.606412 599874.283415 532193.548387 966034.240044 797099.278007 724958.162067 39898.724954 23789.362092 -5769.030647 0
Deferred Income Tax -38244 -6449194 -3644507.99737 3244493 -3769639 -7358939 0 0 0 0 0 -2212767.669453 -2516062.3721890002 -1843618.1143570002 -2171667999.9999986 0 0 0 0 0 0 0 0
Stock Based Compensation 4947315 9996381 14857294 35192364 3712415 2283756 1859910 1639849 4952101 12658586 7711510 3469444.695895 736015.337423 461046.522691 2171668000 0 0 0 0 0 0 0 0
Other Non-Cash Items 39418519 18184479 81305432 -7469009 11991013 -28659259 -2692244 -6505085 3552474 -1926614 14395180 204963.6402049996 104626.78936600033 316375.22595400043 4407599.316101785 2672953.71669 260147.132282 596539.853051 443267.02877199976 382057.55919899954 36809.936391999945 11538.061293999897 0
Changes in Working Capital -4909071 -3547187 -32866364 -9840612 57224 5075183 -2221813 -929316 10980820 -11799526 -5660562 -4899139.032216 -4442832.310838 1313792.217677 -588606.054511 -2202123.42216 -417243.540257 -145310.233811 -460592.337052 471593.442623 -198018.480224 186824.886831 30513.564921
Accounts Receivable -2181078 -203866 -10706775 -5103348 -165944 10656318 -6486274 -1072469 10767193 -9912364 1473706 -2910440.240186 -2389097.137014 1680882.884597 0 0 0 0 0 0 0 0 0
Inventory -2727993 -3343321 -22159589 -4737264 223168 -5581135 4264461 143153 213627 -1887162 -7134268 -2301271.335606 -1941886.503067 -829786.889925 736675.047772 -803252.921926 -402280.550384 345966.880768 -237193.92249 -595773.406193 -69974.871083 -69974.871083 0
Accounts Payable -1647080 2700394 -1302859.0894329995 854839 -5982120.281606 0 0 0 0 0 0 345370.789455 -15574.642126999795 156410.427172 0 0 0 0 0 0 0 0 0
Deferred Revenue 1647080 -2700394 1302859 -854839 5982120 0 0 0 0 0 0 -32798.245879000984 -96274.02862999961 306285.795833 -1325281.102283 -1398870.500234 -14962.989873000013 -491277.114579 -223398.414562 1067366.848816 -128043.609141 256799.75791400002 0
Other Working Capital 0 0 0.08943299949169159 0 0.2816059999167919 0 0 0 0 0 0 0.00000000029103830456733704 -0.00000000023283064365386963 0.00000000005820766091346741 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 30513.564921
Cash From Investing Activities 3190494 -2909518 -12720906 -24555193 -6494059 36025007 2781155 5709514 -16079913 -25991103 -20272207 -10158852.579383 -3390960.122699 -1274750.261631 -159028.462235 -3295754.090697 -335356.250851 -65247.916102 -199315.179096 -2322017.486339 -1918454.70251 -130791.14418 0
Investments in Property Plant and Equipment -1258409 -2423994 -8317654 -13785701 -6738554 -1267364 -2715947 -1199721 -17926665 -16502631 -19035820 -1031597.316516 -1056789.366053 -3479338.787936 -189728.452177 -957911.173446 -335356.250851 -8224.024991 -84398.120963 -1576688.52459 -1452104.546763 -130791.14418 0
Payments for Acquisitions 0 0 -3154664.142154 -11120011.281907 0 0 0 0 0 0 0 -118981.52339000255 0 0 402613000 -586969.7274459996 0 0 0 0 -84974.13479100005 0 0
Purchases of Securities 0 0 3145197 7361888 0 0 0 0 0 0 0 -17690574.615532 -2568350.715746 0 -556269.737504 -2431344.55353 -2431344.55353 0 0 0 -76320.576918 -76320.576918 0
Proceeds from Sales and Maturities of Securities 0 44360 9466.92123 3758122 1778010 0 0 0 0 0 0 8549329.631977 0 2204588.526306 586969.727446 586969.727446 0 0 0 84974.134791 84974.134791 0 0
Other Investing Activities 4448903 -529884 -4403251.779075999 -10769490.718093 -1533515 37292371 5497102 6909235 1846752 -9488472 -1236387 132971.24407800287 234179.9591000001 -0.00000100000761449337 -402613000 93501.63627899997 2431344.55353 -57023.891111000004 -114917.05813300003 -830303.0965400003 -390029.5788289998 76320.576918 0
Cash From Financing Activities 26073162 7441609 144535505 62513018 188969 -19885019 -338168 6699903 36231439 34910359 32681828 21344585.256933 6947317.99591 2353340.310151 437984.511717 4593698.924731 961504.018891 407674.959756 1365122.577804 3195526.411658 4828289.008717 -184610.281492 1107059.098342
Debt Repayment 0 0 -2934059.526733 -3392769.708081 -1016667.165968 0 0 0 0 0 0 -963930.881184 -1065789.366053 -724279.32642 -3396823000 0 0 0 0 0 0 0 0
Common Stock Issued 11000004 8000000 120453951 43040535 0 0 0 0 0 0 0 11543737.364594 2047546.01227 0 78053.907271 4656499.298738 1461514.009355 251097.333567 251097.333567 728597.449909 3628641.729707 3628641.729707 1134581.372843
Common Stock Repurchased -775979 -1764690 -901309 -962077 0 0 0 0 0 0 0 0 -168535.787321 0 50000 0 0 0 0 -120915.846995 -433954.794126 -433954.794126 0
Dividends Paid 0 0 -116618582.62553799 -38685688.477365 0 0 0 0 0 0 0 0 -3428064.4171780003 0 -3395626803.680982 0 0 0 0 0 0 0 0
Other Financing Activities 15849137 1206299 144535505 62513018 1205636 -19885019 -338168 6699903 36231439 34910359 32681828 10764778.773523 9562161.554192001 3077619.636571 6792759734.285428 -62800.37400699966 -500009.99046400003 156577.62618900003 1114025.244237 2587844.8087440003 1633602.073136 -3379297.2170729996 -27522.274501000065
Effect of Forex Changes on Cash 243599 -486938 -233356 230887 -8206 -68725 -120521 205946 268562 914329 489554 -70433.400722 -67154.396728 -351682.047379 404410.13778499997 88064.85052799969 -832737.9191509999 448099.183489 902684.1525180001 -57815.12283599994 -1766299.2409219993 1991535.57886 0
Net Change in Cash -8215832 -64294440 58627122 6757725 -14467756 8484744 -5472927 1219854 -2269293 -8380093 14902459 3826879.092363 -1158207.566463 244907.24003400002 -114410.13778500003 -202474.98831199994 630262.930839 182163.74735 -720520.405167 -662705.282332 1103593.958589 -887941.620272 1016249.2074610001
Cash at Beginning of Period 10909758 75204198 16577076 9819351 24287107 15802363 5472927 4253073 6522366 14902459 0 -39762.429217 1117785.276074 795140.329179 663133.863019 818981.767181 165251.350983 -37167.492788 686286.699941 1343941.712204 103484.01958 990792.965295 445.156339
Cash at End of Period 2693926 10909758 75204198 16577076 9819351 24287107 0 5472927 4253073 6522366 14902459 3787116.663146 -40422.290389 1040047.569213 548723.725234 616506.778869 795514.281822 144996.254562 -34233.705226 681236.429872 1207077.978169 102851.345023 1016694.3638
Free Cash Flow -39865563 -70368065 -79510798 -45216688 -14893014 -8853883 4496451 -12595230 -40616046 -34716310 -20797801 -8320017.50098 -5704200.408998 -3961339.549043 -583094.639444 -2458330.995793 -331241.08805200004 -168487.321295 -1970725.924839 -3112902.73224 -3258344.8943800004 -703331.3387790001 -90809.89088
Operating Cash Flow -38607154 -67944071 -71193144 -31430987 -8154460 -7586519 7212398 -11395509 -22689381 -18213678 -1761981 -7288420.184464 -4647411.042945 -482000.761107 -393366.187267 -1500419.822347 4115.162799 -160263.296304 -1886327.803876 -1536214.20765 -1806240.347617 -572540.194599 -90809.89088
Capital Expenditure -1258409 -2423994 -8317654 -13785701 -6738554 -1267364 -2715947 -1199721 -17926665 -16502631 -19035820 -1031597.316516 -1056789.366053 -3479338.787936 -189728.452177 -957911.173446 -335356.250851 -8224.024991 -84398.120963 -1576688.52459 -1452104.546763 -130791.14418 0

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