SCS Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2024 (Q4)
02-23
2023 (Q3)
11-24
2023 (Q2)
08-25
2023 (Q1)
05-26
2023 (Q4)
02-24
2022 (Q3)
11-25
2022 (Q2)
08-26
2022 (Q1)
05-27
2022 (Q4)
02-25
2021 (Q3)
11-26
2021 (Q2)
08-27
2021 (Q1)
05-28
2021 (Q4)
02-26
2020 (Q3)
11-27
2020 (Q2)
08-28
2020 (Q1)
05-29
2020 (Q4)
02-28
2019 (Q3)
11-22
2019 (Q2)
08-23
2019 (Q1)
05-24
2019 (Q4)
02-22
2018 (Q3)
11-23
2018 (Q2)
08-24
2018 (Q1)
05-25
2018 (Q4)
02-23
2017 (Q3)
11-24
2017 (Q2)
08-25
2017 (Q1)
05-26
2017 (Q4)
02-24
2016 (Q3)
11-25
2016 (Q2)
08-26
2016 (Q1)
05-27
2016 (Q4)
02-26
2015 (Q3)
11-27
2015 (Q2)
08-28
2015 (Q1)
05-29
2015 (Q4)
02-27
2014 (Q3)
11-28
2014 (Q2)
08-29
2014 (Q1)
05-30
2014 (Q4)
02-28
2013 (Q3)
11-22
2013 (Q2)
08-23
2013 (Q1)
05-24
2013 (Q4)
02-22
2012 (Q3)
11-23
2012 (Q2)
08-24
2012 (Q1)
05-25
2012 (Q4)
02-24
2011 (Q3)
11-25
2011 (Q2)
08-26
2011 (Q1)
05-27
2011 (Q4)
02-25
2010 (Q3)
11-26
2010 (Q2)
08-27
2010 (Q1)
05-28
2010 (Q4)
02-26
2009 (Q3)
11-27
2009 (Q2)
08-28
2009 (Q1)
05-29
2009 (Q4)
02-27
2008 (Q3)
11-28
2008 (Q2)
08-29
2008 (Q1)
05-30
2008 (Q4)
02-29
2007 (Q3)
11-23
2007 (Q2)
08-24
2007 (Q1)
05-25
2007 (Q4)
02-23
2006 (Q3)
11-24
2006 (Q2)
08-25
2006 (Q1)
05-26
2006 (Q4)
02-24
2005 (Q3)
11-25
2005 (Q2)
08-26
2005 (Q1)
05-27
2005 (Q4)
02-25
2004 (Q3)
11-26
2004 (Q2)
08-27
2004 (Q1)
05-28
2004 (Q4)
02-27
2003 (Q3)
11-28
2003 (Q2)
08-29
2003 (Q1)
05-30
2003 (Q4)
02-28
2002 (Q3)
11-22
2002 (Q2)
08-23
2002 (Q1)
05-24
2002 (Q4)
02-22
2001 (Q3)
11-23
2001 (Q2)
08-24
2001 (Q1)
05-25
2001 (Q4)
02-23
2000 (Q3)
11-24
2000 (Q2)
08-25
2000 (Q1)
05-26
2000 (Q4)
02-25
1999 (Q3)
11-26
1999 (Q2)
08-27
1999 (Q1)
05-28
1999 (Q4)
02-26
1998 (Q3)
11-27
1998 (Q2)
08-28
1998 (Q1)
05-29
Report Filing: 2024-04-12 2023-12-20 2023-09-22 2023-06-23 2023-04-14 2022-12-21
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Net Income/Starting Line 20500000 30800000 27500000 1500000 15700000 11400000
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Cash From Operating Activities 57400000 120100000 48800000 11300000 88000000 75800000
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Depreciation and Amortization 20800000 21100000 21300000 20400000 22800000 23500000
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Deferred Income Tax -23000000 0 -21600000 0 -1000000 0
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Stock Based Compensation 3900000 3600000 4500000 14000000 3800000 2400000
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Other Non-Cash Items 24200000 -11300000 -48800000 6800000 -9500000 8700000
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Changes in Working Capital 11000000 75900000 65900000 -31400000 56200000 29800000
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Accounts Receivable 14300000 3100000 -8600000 11300000 24400000 15500000
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Inventory 28500000 11200000 36500000 12100000 60200000 19200000
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Accounts Payable -20300000 7700000 11200000 11300000 -47100000 -25700000
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Deferred Revenue -11500000 53900000 26800000 -66100000 18700000 20800000
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Other Working Capital 0 0 0 0 0 0
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Cash From Investing Activities 11300000 4700000 -1800000 -11200000 -7300000 -12200000
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Investments in Property Plant and Equipment -9700000 -13100000 -12600000 -11700000 -16300000 -13900000
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Payments for Acquisitions 21200000 12500000 15700000 0 4300000 100000
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Purchases of Securities 0 0 0 0 0 0
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Proceeds from Sales and Maturities of Securities 0 0 0 0 0 0
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Other Investing Activities -200000 5300000 -4900000 500000 4700000 1600000
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Cash From Financing Activities -11900000 -16300000 -7400000 -50300000 -46300000 -59900000
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Debt Repayment -69000000 0 -1800000 -99400000 -118300000 -259900000
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Common Stock Issued -69000000 0 0 0 0 0
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Common Stock Repurchased -4200000 0 0 0 0 -500000
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Dividends Paid -11900000 -11800000 -11800000 -12100000 -11700000 -11600000
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Other Financing Activities 4200000 -4500000 6200000 61200000 83700000 212100000
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Effect of Forex Changes on Cash -200000 0 200000 -400000 1100000 -600000
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Net Change in Cash 56600000 108500000 47000000 -50600000 35500000 3100000
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Cash at Beginning of Period 262000000 160600000 46600000 97200000 61700000 58600000
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Cash at End of Period 318600000 269100000 93600000 46600000 97200000 61700000
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Free Cash Flow 47700000 107000000 36200000 -400000 71700000 61900000
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Operating Cash Flow 57400000 120100000 48800000 11300000 88000000 75800000
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Capital Expenditure -9700000 -13100000 -12600000 -11700000 -16300000 -13900000
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