TEAM 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
Report Filing: 2023-08-18 2022-08-19 2021-08-13 2020-08-14 2019-08-23 2018-08-30 2017-09-01 2016-08-18 2015-06-30 2014-06-30 2013-06-30
Net Income/Starting Line -486761000 -564572000 -634664000 -346209000 -605556000 -65834000 -59652000 -4907000 -749000 22228000 11403000
Cash From Operating Activities 868111000 883496000 841330000 574210000 466342000 311456000 199381000 129542000 98221000 75280000 54310000
Depreciation and Amortization 60923000 93958000 92848000 97398000 70248000 79435000 61546000 21926000 15511000 13316000 12060000
Deferred Income Tax 10613000 -2002000 596916000 344798000 568147000 -65834000 -2806000 -9276000 -3365000 -2614000 -2833000
Stock Based Compensation 948087000 707087000 385732000 313395000 257762000 162873000 137448000 75480000 41534000 11364000 3491000
Other Non-Cash Items 26693000 378673000 115538000 21809000 6741000 80044000 -4851000 -2116000 -326000 -308000 241000
Changes in Working Capital 308556000 270352000 284960000 143019000 169000000 120772000 67696000 48435000 45616000 31294000 29948000
Accounts Receivable -169526000 -134764000 -61256000 -29440000 -30211000 -19635000 -10208000 -3487000 0 -1959000 0
Inventory 36381000 -31741000 -13054000 -10608000 1085000 -7293000 -5647000 -4203000 0 -4810000 0
Accounts Payable 78902000 31741000 64899000 51532000 75624000 43477000 10947000 11622000 16013000 13278000 12883000
Deferred Revenue 362799000 405116000 294371000 131535000 122502000 104223000 72604000 44503000 29603000 24785000 17065000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -1258000 46852000 256644000 -318931000 -604198000 -51696000 -224573000 -489510000 -28566000 -46554000 -12442000
Investments in Property Plant and Equipment -25812000 -74601000 -33320000 -35709000 -46302000 -30209000 -16054000 -34213000 -32676000 -10259000 -7246000
Payments for Acquisitions -5775000 -12377000 -91584000 -53212000 -418595000 0 -381090000 0 -10615000 -2149000 0
Purchases of Securities -44250000 -132671000 -119431000 -985931000 -648036000 -347822000 -423540000 -569067000 -50033000 -45498000 -12191000
Proceeds from Sales and Maturities of Securities 74579000 263199000 503782000 758766000 505566000 329981000 600075000 114795000 64758000 11641000 7095000
Other Investing Activities 0 3302000 -2803000 -2845000 3169000 -3646000 -3964000 -1025000 0 -289000 -100000
Cash From Financing Activities -148421000 -461732000 -1654805000 -42575000 -3187000 906789000 9438000 432784000 2338000 -2571000 2841000
Debt Repayment 0 -1597828000 -1848118000 -38127000 -410000 0 0 0 0 0 0
Common Stock Issued 0 32000 1163000 1802000 3542000 0 0 431447000 0 0 0
Common Stock Repurchased -150006000 0 0 0 0 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 -10000000 -2201000
Other Financing Activities 1585000 1136064000 192150000 -6250000 -6319000 906789000 9438000 1337000 2338000 7429000 5042000
Effect of Forex Changes on Cash -1805000 -9194000 5406000 -1176000 -855000 -630000 465000 -201000 -1665000 445000 -1349000
Net Change in Cash 717229000 466038000 -560742000 211528000 -141898000 1165919000 -15289000 72615000 70328000 26600000 43360000
Cash at Beginning of Period 1386686000 919227000 1479969000 1268441000 1410339000 244420000 259709000 187094000 116766000 90166000 46806000
Cash at End of Period 2103915000 1385265000 919227000 1479969000 1268441000 1410339000 244420000 259709000 187094000 116766000 90166000
Free Cash Flow 842299000 808895000 808010000 538501000 420040000 281247000 183327000 95329000 65545000 65021000 47064000
Operating Cash Flow 868111000 883496000 841330000 574210000 466342000 311456000 199381000 129542000 98221000 75280000 54310000
Capital Expenditure -25812000 -74601000 -33320000 -35709000 -46302000 -30209000 -16054000 -34213000 -32676000 -10259000 -7246000

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