SLGG Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023 (Q4)
12-31
2023 (Q3)
09-30
2023 (Q2)
06-30
2023 (Q1)
03-31
2022 (Q4)
12-31
2022 (Q3)
09-30
2022 (Q2)
06-30
2022 (Q1)
03-31
2021 (Q4)
12-31
2021 (Q3)
09-30
2021 (Q2)
06-30
2021 (Q1)
03-31
2020 (Q4)
12-31
2020 (Q3)
09-30
2020 (Q2)
06-30
2020 (Q1)
03-31
2019 (Q4)
12-31
2019 (Q3)
09-30
2019 (Q2)
06-30
2019 (Q1)
03-31
2018 (Q4)
12-31
2018 (Q3)
09-30
2018 (Q2)
06-30
2018 (Q1)
03-31
2017 (Q4)
12-31
Report Filing: 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
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Net Income/Starting Line -13274000 -2984000 -6836000 -7236000 -16213000 -52602000
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Cash From Operating Activities -1399000 -3298000 -7814000 -2978000 -3790000 -5789000
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Depreciation and Amortization 1447000 1250000 1342000 1337000 1348000 1354000
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Deferred Income Tax -2036000 -1512000 1244000 0 -205000 42423000
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Stock Based Compensation 560000 643000 749000 783000 979000 1185000
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Other Non-Cash Items 9405000 -813000 286000 40000 8343000 415000
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Changes in Working Capital 2499000 118000 -4599000 2098000 1958000 1436000
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Accounts Receivable -452000 -2605000 -1727000 2671000 -935000 -557000
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Inventory 0 -17000 -2587000 428000 3571000 -84000
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Accounts Payable 1870000 2673000 -212000 -919000 -596000 2072000
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Deferred Revenue 1081000 67000 -73000 -82000 -82000 5000
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Other Working Capital 0 0 0 0 0 0
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Cash From Investing Activities -167000 -6000 -358000 -294000 -176000 -293000
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Investments in Property Plant and Equipment -167000 -6000 -208000 -294000 -176000 -293000
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Payments for Acquisitions 0 0 0 0 0 0
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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 0 0 -150000 0 0 0
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Cash From Financing Activities 8035000 1875000 10151000 1380000 5305000 156000
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Debt Repayment 0 0 0 -539000 -3621000 -156000
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Common Stock Issued 7235000 1885000 10151000 1919000 8614000 312000
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Common Stock Repurchased 0 0 0 0 0 0
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Dividends Paid 0 0 0 0 0 0
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Other Financing Activities 800000 -10000 0 0 312000 0
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Effect of Forex Changes on Cash 0 0 0 0 0 0
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Net Change in Cash 6469000 -1429000 1979000 -1892000 1339000 -5926000
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Cash at Beginning of Period 1140000 2569000 590000 2482000 1143000 7069000
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Cash at End of Period 7609000 1140000 2569000 590000 2482000 1143000
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Free Cash Flow -1566000 -3304000 -8022000 -3272000 -3966000 -6082000
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Operating Cash Flow -1399000 -3298000 -7814000 -2978000 -3790000 -5789000
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Capital Expenditure -167000 -6000 -208000 -294000 -176000 -293000
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