RGS Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
06-30
2022
06-30
2021
06-30
2020
06-30
2019
06-30
2018
06-30
2017
06-30
2016
06-30
2015
06-30
2014
06-30
2013
06-30
2012
06-30
2011
06-30
2010
06-30
2009
06-30
2008
06-30
2007
06-30
2006
06-30
2005
06-30
2004
06-30
2003
06-30
2002
06-30
2001
06-30
2000
06-30
1999
06-30
1998
06-30
1997
06-30
1996
06-30
1995
06-30
1994
06-30
1993
06-30
1992
06-30
1991
06-30
Report Filing: 2023-08-23 2022-08-23 2021-08-26 2020-08-31 2019-08-27 2018-08-23 2017-08-23 2016-08-23 2015-08-28 2014-08-26 2013-08-27 2012-08-29 2011-08-26 2010-08-27 2009-08-28 2008-08-29 2007-08-29 2006-09-11 2005-09-09 2004-09-10 2003-09-17 2002-09-24 2001-09-12 2000-09-26 1999-09-17 1998-09-17 1997-09-24 1996-09-16 1995-06-30 1994-06-30 1993-06-30 1992-06-30 1991-06-30
Net Income/Starting Line -7385000 -85857000 -113331000 -171362000 -14226000 8701000 -16140000 -11316000 -33842000 -135727000 29194000 -114093000 -8905000 42740000 -124466000 85204000 83170000 109578000 64631000 105478000 86675000 72054000 53088000 49654000 30300000 30500000 6600000 19100000 14700000 4100000 3900000 4400000 -3200000
Cash From Operating Activities -7889000 -38638000 -99883000 -86409000 -17524000 2328000 60055000 55032000 93962000 117403000 69148000 153700000 229178000 192223000 188064000 222383000 241860000 281685000 215731000 205664000 149623000 152039000 110309000 85384000 72200000 67700000 34900000 36900000 30700000 23100000 18900000 6600000 12100000
Depreciation and Amortization 7189000 6504000 17871000 33101000 33261000 43171000 54961000 56992000 68259000 81406000 84018000 111435000 98428000 102336000 115016000 119977000 117327000 107470000 91753000 75547000 67399000 59732000 64918000 54117000 44100000 35700000 32100000 18800000 15300000 14300000 12900000 10700000 10500000
Deferred Income Tax -8000 391000 -3388000 -3934000 -9812000 -75863000 7962000 7023000 11154000 68781000 10322000 -14171000 -14711000 5115000 -3843000 -3789000 -6243000 7409000 -9257000 16071000 3475000 11890000 3249000 -1003000 -1100000 7300000 1100000 200000 -1000000 -900000 -1200000 1500000 -600000
Stock Based Compensation 2316000 1334000 3254000 3275000 9003000 0 13142000 9797000 8647000 6400000 5881000 7597000 9596000 9337000 7525000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 3603000 68045000 28278000 90129000 22355000 51629000 19198000 26085000 29002000 74119000 -7058000 192758000 122783000 32619000 260523000 14448000 37555000 17961000 39500000 1265000 710000 739000 120000 -381000 6000000 -100000 -4900000 -1200000 1700000 5600000 5600000 700000 -100000
Changes in Working Capital -13604000 -29055000 -32567000 -37618000 -58105000 -33579000 -19068000 -33549000 10742000 22424000 -53209000 -29826000 21987000 76000 -66691000 7963000 14587000 43823000 20016000 7303000 -8636000 7624000 -11066000 -17003000 -7100000 -8000000 0 0 -1800000 0 -2300000 -10400000 5000000
Accounts Receivable 943000 11896000 -279000 -3902000 -17304000 -12081000 724000 -577000 446000 5681000 -4332000 -4502000 -2358000 1192000 -12104000 -709000 -4092000 -4918000 -6516000 -16000 8000 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -182000 7886000 17879000 -2255000 -8492000 13940000 4010000 -7109000 6197000 2555000 -10745000 2644000 4629000 4823000 7128000 -5232000 2709000 -6068000 -17974000 -462000 -31145000 -7759000 -16724000 -20350000 -10000000 -10800000 0 0 -1700000 0 -2600000 0 -800000
Accounts Payable -497000 -10966000 -21669000 4588000 -5836000 -1103000 -684000 -4624000 -3261000 1907000 19086000 -4856000 -2973000 -4966000 -3613000 -9480000 11814000 151000 8288000 -4991000 1363000 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -13868000 -37871000 -28498000 -36049000 -26473000 -34335000 -23118000 -21239000 7360000 12281000 -57218000 -23112000 22689000 -973000 -58102000 23384000 4156000 54658000 36218000 12772000 21138000 15383000 5658000 3347000 2900000 2800000 0 0 -100000 0 300000 0 5800000
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 0 0 0 0 -10400000 0
Cash From Investing Activities 4019000 7684000 -2099000 61029000 87788000 -1576000 -29091000 -17387000 -35583000 -44384000 165140000 -90859000 -144330000 -44580000 -115511000 -266029000 -193049000 -280665000 -428818000 -173378000 -143067000 -125284000 -124707000 -146878000 -112900000 -80400000 -49800000 -53800000 -17700000 -28500000 -23900000 -10500000 1100000
Investments in Property Plant and Equipment -481000 -5316000 -11475000 -37494000 -31616000 -30742000 -33843000 -31117000 -38257000 -49439000 -105857000 -88356000 -89459000 -61485000 -73574000 -85799000 -90079000 -119914000 -101097000 -74076000 -77460000 -66232000 -125389000 -147730000 -117300000 -80400000 -39400000 -26100000 -15300000 -15800000 -19300000 -13200000 -13800000
Payments for Acquisitions 4500000 13000000 0 0 0 0 0 0 0 -15000 0 5592000 73487000 -3664000 -40051000 -132971000 -68747000 -155481000 -328567000 -99734000 -66880000 -59925000 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities 0 0 0 0 0 0 0 0 0 0 0 -15000000 -72301000 -8771000 -20971000 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 500000 0 0 5056000 131581000 11995000 16804000 16099000 19008000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 4500000 13000000 9376000 98523000 119404000 29166000 4252000 13730000 2674000 14000 139416000 -5090000 -72861000 13241000 77000 -47259000 -34223000 -5270000 846000 432000 1273000 873000 682000 852000 4400000 0 -10400000 -27700000 -2400000 -12700000 -4600000 2700000 14900000
Cash From Financing Activities -2145000 29424000 7777000 56165000 -126695000 -62235000 -6849000 -101797000 -221639000 104206000 -146799000 -43548000 -148431000 -39133000 -148307000 -11004000 -6425000 28571000 242494000 -16848000 -36261000 34154000 24105000 65906000 40500000 8600000 16300000 21100000 -15000000 6500000 3700000 2500000 -10300000
Debt Repayment -11083000 -16916000 -1313000 -126269000 -378000 -124230000 0 -2000 -173751000 -7059000 -123423000 -501193000 -137671000 -691175000 -6617704000 -38226000 -68918000 -35463000 0 -5599000 -13696000 -34288000 0 -65974000 0 0 0 0 0 0 0 0 0
Common Stock Issued 0 37185000 0 0 0 0 0 0 0 0 0 0 682000 159498000 3894000 8893000 14310000 14410000 17257000 17347000 7051000 7750000 1987000 1494000 3700000 11700000 15000000 10900000 100000 8400000 0 5800000 37800000
Common Stock Repurchased -36000 -845000 -348000 -28246000 -152661000 -24798000 -3698000 -101035000 -47888000 0 -14868000 0 148498000 540823000 6620722000 -49957000 -79710000 -20280000 -23117000 -22548000 -21694000 -7743000 0 -1425000 0 0 0 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 -6793000 -13708000 -13855000 -11509000 -9146000 -6912000 -6964000 -7169000 -7256000 -7149000 -6166000 -5202000 -5078000 -4935000 -5191000 -3600000 -2100000 -1700000 -1200000 0 0 0 0 0
Other Financing Activities 8974000 10845000 9438000 210680000 26344000 86793000 -6849000 -760000 -222421000 118058000 5200000 471500000 -148431000 -39133000 -148307000 75250000 135062000 77160000 255503000 118000 -2720000 73513000 27053000 137002000 40400000 -1000000 3000000 11400000 -15100000 -1900000 3700000 -3300000 -48100000
Effect of Forex Changes on Cash -53000 -158000 477000 -284000 35000 -514000 935000 -781000 -3088000 914000 1056000 -3613000 7975000 823000 -9335000 -2508000 7002000 3088000 -256000 2675000 2282000 1536000 63000 123000 -100000 -100000 14900000 16900000 -100000 100000 -100000 3900000 -100000
Net Change in Cash -6068000 -1688000 -93728000 30501000 -56396000 -61997000 25050000 -64933000 -166348000 178139000 88545000 15680000 -55608000 109333000 -85089000 -57158000 49388000 32679000 29151000 18113000 -27423000 62445000 9770000 4535000 -300000 -4200000 16300000 21100000 -2200000 1200000 -1400000 2500000 2800000
Cash at Beginning of Period 27464000 29152000 122880000 92379000 148775000 172396000 147346000 212279000 378627000 200488000 111943000 96263000 151871000 42538000 127627000 184785000 135397000 102718000 73567000 55454000 87103000 24658000 14888000 10353000 7700000 8900000 7600000 1200000 3500000 2300000 3800000 5200000 2400000
Cash at End of Period 21396000 27464000 29152000 122880000 92379000 110399000 172396000 147346000 212279000 378627000 200488000 111943000 96263000 151871000 42538000 127627000 184785000 135397000 102718000 73567000 59680000 87103000 24658000 14888000 7400000 4700000 23900000 22300000 1300000 3500000 2400000 7700000 5200000
Free Cash Flow -8370000 -43954000 -111358000 -123903000 -49140000 -28414000 26212000 23915000 55705000 67964000 -36709000 65344000 139719000 130738000 114490000 136584000 151781000 161771000 114634000 131588000 72163000 85807000 -15080000 -62346000 -45100000 -12700000 -4500000 10800000 15400000 7300000 -400000 -6600000 -1700000
Operating Cash Flow -7889000 -38638000 -99883000 -86409000 -17524000 2328000 60055000 55032000 93962000 117403000 69148000 153700000 229178000 192223000 188064000 222383000 241860000 281685000 215731000 205664000 149623000 152039000 110309000 85384000 72200000 67700000 34900000 36900000 30700000 23100000 18900000 6600000 12100000
Capital Expenditure -481000 -5316000 -11475000 -37494000 -31616000 -30742000 -33843000 -31117000 -38257000 -49439000 -105857000 -88356000 -89459000 -61485000 -73574000 -85799000 -90079000 -119914000 -101097000 -74076000 -77460000 -66232000 -125389000 -147730000 -117300000 -80400000 -39400000 -26100000 -15300000 -15800000 -19300000 -13200000 -13800000

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