SAIL Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
Report Filing: 2022-02-28 2021-02-25 2020-02-24 2019-03-18 2018-03-19 2016-12-31 2015-12-31
Net Income/Starting Line -61634000 -10763000 -8500000 3670000 -7592000 -3173000 -10807000
Cash From Operating Activities -957000 57949000 50091000 37540000 21856000 6540000 3560000
Depreciation and Amortization 22376000 18290000 14992000 10736000 10220000 9982000 9620000
Deferred Income Tax -3463000 -7553000 -7268000 -1280000 69000 -2537000 -3326000
Stock Based Compensation 51757000 29057000 18714000 18975000 4514000 568000 246000
Other Non-Cash Items 25335000 36919000 15472000 12151000 2428000 754000 155000
Changes in Working Capital -35328000 -8001000 16681000 -6712000 12217000 946000 7672000
Accounts Receivable -34579000 -6772000 -5072000 -31249000 -24116000 -17245000 -5252000
Inventory 0 -1793000 -13734000 -18223000 6255000 -1924000 1992000
Accounts Payable 1344000 1529000 -1630000 2406000 1443000 -262000 -640000
Deferred Revenue -2093000 -965000 37117000 40354000 28635000 20377000 11572000
Other Working Capital 0 0 0 0 0 0 0
Cash From Investing Activities -75021000 -3973000 -38906000 -10856000 -2521000 -1255000 -16308000
Investments in Property Plant and Equipment -4060000 -4002000 -6552000 -10889000 -2711000 -1263000 -1232000
Payments for Acquisitions -70960000 0 -32393000 0 0 0 -15209000
Purchases of Securities 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 0 0 0 0 0 0 0
Other Investing Activities -1000 29000 39000 33000 190000 8000 133000
Cash From Financing Activities 1498000 12548000 361699000 -65575000 78520000 -1962000 9849000
Debt Repayment 0 0 0 -70000000 -90000000 -115000000 0
Common Stock Issued -6056000 -797000 5649000 3351000 171980000 1329000 307000
Common Stock Repurchased 0 0 0 0 -658000 -226000 -458000
Dividends Paid 0 0 0 0 -50387000 0 0
Other Financing Activities 7554000 13345000 356050000 1074000 47585000 111935000 10000000
Effect of Forex Changes on Cash 0 0 0 0 0 0 0
Net Change in Cash -74480000 66524000 372884000 -38891000 97855000 3323000 -2899000
Cash at Beginning of Period 516644000 450120000 77236000 116127000 18272000 14949000 17848000
Cash at End of Period 442164000 516644000 450120000 77236000 116127000 18272000 14949000
Free Cash Flow -5017000 53947000 43539000 26651000 19145000 5277000 2328000
Operating Cash Flow -957000 57949000 50091000 37540000 21856000 6540000 3560000
Capital Expenditure -4060000 -4002000 -6552000 -10889000 -2711000 -1263000 -1232000

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