DTSS 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
Report Filing: 2023-09-27 2022-09-28 2021-09-28 2020-09-28 2019-10-15 2018-09-13 2017-10-13 2016-09-28 2015-09-28
Net Income/Starting Line -9698015 -7111682 -4884316 -1863253 -1425181 -1604141 -1193216 -1124850 -202740
Cash From Operating Activities -3136081 -5139712 -3948349 -4573352 75952 -1484730 -1150034 -1136983 -195680
Depreciation and Amortization 701430 577822 199232 110322 36306 32694 50097 29825 1970
Deferred Income Tax -47978 0 298174 0 0 0 0 0 0
Stock Based Compensation 4378887 642000 21000 0 0 0 0 0 0
Other Non-Cash Items 620696 1149565 -8383 -466 0 8999 0 0 0
Changes in Working Capital 908899 -397417 425944 -2819955 1464827 77718 -6915 -41958 5090
Accounts Receivable -15387 -267771 -613 -1129 0 225 -221 0 0
Inventory -46919 -25323 33169 -78644 279 27195 -90122 0 0
Accounts Payable 839735 26236 122641 34570 0 -994134 -180023 204755 0
Deferred Revenue -777429 -130559 270747 -2774752 1464548 1044432 263451 -246713 5090
Other Working Capital 908899 0 0 0 0 0 0 0 0
Cash From Investing Activities -113131 -1133424 -168685 -306813 -566385 -27454 -10676 -87290 -53080
Investments in Property Plant and Equipment -84319 -1102451 -168685 -306813 -566385 -27454 -10676 -58961 -53080
Payments for Acquisitions 0 0 0 0 0 0 0 12618 0
Purchases of Securities -28812 -30973 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 0 0 0 0 0 0 0 0 0
Other Investing Activities 0 0 0 0 0 0 0 -40947 0
Cash From Financing Activities 3109207 6379304 2448847 -84842 5609202 1235870 2316401 1230864 254650
Debt Repayment -198431 -1402336 -1449310 -84842 -60867 -123850 0 0 0
Common Stock Issued 0 7681796 931000 -84842 5148335 1432128 1687740 442027 0
Common Stock Repurchased 0 0 0 0 0 0 0 0 195880
Dividends Paid 0 0 0 0 0 0 0 0 0
Other Financing Activities 3307638 99844 2967157 84842 521734 -72408 628661 788837 58770
Effect of Forex Changes on Cash -4484 8373 51927 -41694 -77618 132850 7457 -694 20
Net Change in Cash -144489 114541 -1616260 -5006701 5041151 -143464 1163148 5898 5910
Cash at Beginning of Period 164217 49676 1665936 6672637 1031486 1174950 11802 5904 -10
Cash at End of Period 19728 164217 49676 1665936 6072637 1031486 1174950 11802 5900
Free Cash Flow -3220400 -6242163 -4117034 -4880165 -490433 -1512184 -1160710 -1195944 -248760
Operating Cash Flow -3136081 -5139712 -3948349 -4573352 75952 -1484730 -1150034 -1136983 -195680
Capital Expenditure -84319 -1102451 -168685 -306813 -566385 -27454 -10676 -58961 -53080

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