TIG Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
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
Report Filing: 2023-03-16 2022-11-08 2022-08-09 2022-05-09 2022-03-16 2021-11-12
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Net Income/Starting Line -91360000 7574000 5491000 12340000 1244000 6518000
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Cash From Operating Activities 32400000 36472000 31327000 8748000 40949000 30590000
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Depreciation and Amortization 1718000 1720000 1705000 1675000 1710000 1749000
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Deferred Income Tax -3267000 6000 -209000 1249000 -146000 -1478000
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Stock Based Compensation 477000 460000 403000 156000 424000 468000
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Other Non-Cash Items 77633000 -4501000 -1614000 -5375000 -258000 -38000
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Changes in Working Capital 47199000 31213000 25551000 -1297000 37975000 23371000
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Accounts Receivable -31160000 4979000 -8983000 -14479000 53138000 -2183000
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Inventory 0 0 0 0 -11308000 -489564000
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Accounts Payable -5223000 20396000 -236000 -5260000 11308000 -9860000
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Deferred Revenue 83582000 5838000 34770000 18442000 -15163000 524978000
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Other Working Capital 0 0 0 0 0 0
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Cash From Investing Activities -20698000 -86530000 -34243000 -33969000 -49025000 -5532000
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Investments in Property Plant and Equipment -339000 0 -107000 -232000 92000 -19000
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Payments for Acquisitions 0 0 0 -62979000 3563000 -3795000
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Purchases of Securities -36047000 -101415000 -59566000 -96948000 -67567000 -25291000
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Proceeds from Sales and Maturities of Securities 15349000 14885000 25430000 63211000 -61766000 23573000
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Other Investing Activities 339000 0 0 62979000 76653000 0
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Cash From Financing Activities -437000 46852000 -412000 -420000 -328000 -500000
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Debt Repayment -412000 -413000 -412000 -413000 -1031000 -412000
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Common Stock Issued 0 0 0 0 0 0
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Common Stock Repurchased 23000 -16000 0 -7000 88000 -88000
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Dividends Paid 0 0 0 0 0 0
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Other Financing Activities -48000 47281000 0 0 615000 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 11265000 -3206000 -3328000 -25641000 0 24558000
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Cash at Beginning of Period 97809000 101015000 104343000 129984000 138388000 113830000
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Cash at End of Period 109074000 97809000 101015000 104343000 138388000 138388000
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Free Cash Flow 32061000 36472000 31220000 8516000 41041000 30571000
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Operating Cash Flow 32400000 36472000 31327000 8748000 40949000 30590000
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Capital Expenditure -339000 0 -107000 -232000 92000 -19000
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