NOTV 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
2017
09-30
2016
09-30
2015
09-30
2014
09-30
2013
09-30
2012
09-30
2011
09-30
2010
09-30
2009
09-30
2008
09-30
2007
09-30
2006
09-30
2005
09-30
2004
09-30
2003
09-30
2002
09-30
2001
09-30
2000
09-30
1999
09-30
1998
09-30
1997
09-30
Report Filing: 2023-12-12 2023-01-13 2021-12-21 2020-12-22 2019-12-26 2018-12-21 2017-12-22 2016-12-28 2015-12-24 2014-12-29 2013-12-30 2012-12-31 2011-12-29 2011-01-12 2010-01-13 2009-01-14 2007-12-27 2006-12-29 2006-01-18 2005-01-13 2004-01-13 2003-01-13 2001-12-27 2000-12-29 1999-12-29 1998-12-24 1997-09-30
Net Income/Starting Line -104902000 -337262000 10895000 -4685000 -790000 -194000 884000 -3230000 1089000 -1070000 773000 -6390000 543000 -2691000 -5463000 -1489000 926000 -2609942 -100998 -203000 87306 1066445 1766757 -1382010 600000 400000 700000
Cash From Operating Activities 27883000 -5217000 10746000 1290000 1777000 3487000 1236000 1060000 2031000 1684000 1519000 -200000 1088000 2441000 2587000 598000 2928000 3843929 -541250 2834000 2945194 2032499 4027782 -539160 1600000 2400000 800000
Depreciation and Amortization 54717000 49324000 6268000 3929000 2717000 1875000 1680000 1556000 1409000 1597000 1723000 2278000 2134000 2323000 2645000 3013000 3458000 3888899 3441420 3441000 2681692 2042004 1761709 1636413 1300000 900000 500000
Deferred Income Tax -25810000 -17835000 -4985000 202000 0 0 0 0 -1488000 0 0 0 -14000 12000 160000 388000 -472000 -1335256 -623230 13000 137662 -67525 362313 -237330 0 100000 0
Stock Based Compensation 7844000 24202000 1786000 540000 278000 0 19000 45000 79000 84000 225000 83000 153000 226000 570000 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 79078000 316631000 -12861000 356000 -336000 -4000 -5000 880000 1499000 1238000 -614000 436000 -24000 204000 1198000 -1295000 -40000 1892280 -21428 29000 -362755 12883 18671 48708 0 0 100000
Changes in Working Capital 16956000 -40277000 9643000 948000 -92000 1676000 -1342000 1809000 -557000 -165000 -588000 3393000 -1704000 2367000 3477000 -611000 -1152000 2045815 -3237014 -446000 401289 -1021308 118332 -604941 -300000 1000000 -500000
Accounts Receivable 9550000 -23838000 -11951000 -620000 -3087000 -589000 -941000 1639000 -1084000 910000 -25000 917000 -236000 650000 3680000 -1510000 -1070000 0 0 0 503049000 0 0 0 0 0 0
Inventory 14011000 -35198000 98000 395000 87000 -269000 540000 13000 98000 -185000 277000 -20000 37000 174000 338000 -207000 -7000 154242 -471808 486000 618900 -232969 -156437 -440878 100000 100000 0
Accounts Payable 5963000 -8042000 2619000 -2047000 1019000 980000 -913000 1122000 259000 -863000 -269000 2375000 -482000 -86000 -212000 969000 -21000 0 0 0 -540139000 0 0 0 0 0 0
Deferred Revenue -12568000 26801000 18877000 3220000 1889000 1554000 -28000 -965000 170000 -27000 -571000 121000 -1023000 1629000 -329000 137000 -54000 1891573 -2765206 -932000 36872389 -788339 274769 -164063 -400000 900000 -500000
Other Working Capital 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 -28755000 -333722000 -54060000 -10131000 -8149000 -8074000 -339000 -1256000 -1434000 -490000 12000 -860000 -1174000 -450000 -834000 -1042000 -253000 -1415941 3586275 -3497000 -4692767 -5262098 -1627986 -2005124 -4000000 -5000000 -4000000
Investments in Property Plant and Equipment -27503000 -36300000 -12472000 -6200000 -6878000 -1317000 -347000 -1256000 -1467000 -490000 -8000 -1090000 -1174000 -450000 -834000 -1713000 -878000 -1686860 -2301153 -3568000 -5329166 -4684278 -1673411 -2019096 -4100000 -5100000 -4100000
Payments for Acquisitions 1115000 -297712000 -41590000 -3931000 -1271000 -6759000 8000 0 0 0 0 0 0 0 0 0 0 0 0 -8000 -1003409 0 0 0 0 0 0
Purchases of Securities 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
Proceeds from Sales and Maturities of Securities 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
Other Investing Activities -2367000 290000 2000 -3931000 1 2000 8000 0 33000 0 20000 230000 0 0 0 671000 625000 270919 5887428 79000 1639808 -577820 45425 13972 100000 100000 100000
Cash From Financing Activities 15872000 203151000 198832000 9641000 6205000 4926000 -849000 144000 -1213000 -1513000 -947000 -1164000 1660000 -1458000 -1476000 -2071000 -1095000 -1987549 -2836877 311000 2393272 3696890 -2494412 1100325 3200000 3700000 2700000
Debt Repayment -25161000 -59743000 -4639000 -27491000 -29659000 -8007000 -15364000 -12367000 -8805000 -16334000 -22732000 -29085000 -34014000 -30273000 -20264000 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 110000 118000 48971000 26000 6000 1000 71000 3000 0 0 0 128000 4606000 0 0 14000 79000 94470 5313 0 38780 16655 11195 25225 0 9600000 0
Common Stock Repurchased 0 0 0 0 0 0 0 0 -32000 0 0 128000 334000 0 0 0 0 0 0 0 0 0 0 0 0 0 -300000
Dividends Paid 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
Other Financing Activities 40923000 262776000 154500000 37106000 35858000 12933000 14515000 12511000 7592000 14869000 21866000 27771000 31068000 28815000 18788000 -2085000 -1174000 -2082019 -2842190 311000 2354492 3680235 -2505607 1075100 3200000 -5900000 3000000
Effect of Forex Changes on Cash 1512000 -2156000 0 0 0 0 0 0 73000 -4000 -1000 -18000 -33000 19000 258000 13000 -390000 -47642 273232 -253000 -93352 -15065 -9281 -2815 -100000 2600000 3200000
Net Change in Cash 16512000 -137944000 155518000 800000 -167000 339000 48000 -52000 -543000 -323000 583000 -2242000 1541000 552000 535000 -2502000 1190000 392797 481380 -605000 552347 452226 -103897 -1446774 700000 3700000 2700000
Cash at Beginning of Period 18980000 156924000 1406000 606000 773000 434000 386000 438000 981000 1304000 721000 2963000 1422000 870000 335000 2837000 1647000 1254269 772889 1378000 825964 373738 477635 1924409 1200000 200000 600000
Cash at End of Period 35492000 18980000 156924000 1406000 606000 773000 434000 386000 438000 981000 1304000 721000 2963000 1422000 870000 335000 2837000 1647066 1254269 773000 1378311 825964 373738 477635 1900000 3900000 3300000
Free Cash Flow 380000 -41517000 -1726000 -4910000 -5101000 2170000 889000 -196000 564000 1194000 1511000 -1290000 -86000 1991000 1753000 -1115000 2050000 2157069 -2842403 -734000 -2383972 -2651779 2354371 -2558256 -2500000 -2700000 -3300000
Operating Cash Flow 27883000 -5217000 10746000 1290000 1777000 3487000 1236000 1060000 2031000 1684000 1519000 -200000 1088000 2441000 2587000 598000 2928000 3843929 -541250 2834000 2945194 2032499 4027782 -539160 1600000 2400000 800000
Capital Expenditure -27503000 -36300000 -12472000 -6200000 -6878000 -1317000 -347000 -1256000 -1467000 -490000 -8000 -1090000 -1174000 -450000 -834000 -1713000 -878000 -1686860 -2301153 -3568000 -5329166 -4684278 -1673411 -2019096 -4100000 -5100000 -4100000

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