PRTC Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
Report Filing: 2023-04-28 2022-04-26 2021-04-15 2019-12-31 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31 2013-12-31 2012-12-31
Net Income/Starting Line -37065000 -62709000 4568000 366065000 -70659000 -70697000 -81608000 -58244000 -75943000 -5159000 -12247000
Cash From Operating Activities -178792000 -158274000 -131827000 -98156000 -72796000 -88688000 -58033000 -28611000 -10543000 -8774000 -1452000
Depreciation and Amortization 8893000 7287000 6645000 6665000 2778000 2099000 1570000 740000 455000 453000 500000
Deferred Income Tax -70120000 -112613000 -151347000 -546611000 -19419000 -116811000 -783000 -383000 233000 1361000 3247000
Stock Based Compensation 14698000 13950000 10718000 14468000 12637000 11849000 10153000 11095000 2811000 290000 408000
Other Non-Cash Items -111117000 -5050000 6114000 46229000 -8097000 81903000 10700000 13374000 59031000 246000 1510000
Changes in Working Capital 15919000 861000 -8525000 15028000 9964000 2969000 1935000 4807000 2870000 -5965000 5130000
Accounts Receivable -7734000 -617000 -529000 747000 0 0 0 0 0 0 0
Inventory 0 -102999 0 0 0 0 0 0 0 0 0
Accounts Payable 22033000 8337999 605000 11166000 0 0 0 0 0 0 0
Deferred Revenue 1620000 -6757000 -8601000 3115000 0 0 0 0 0 0 0
Other Working Capital 0 0 0 0 9964000 2969000 1935000 4807000 2870000 -5965000 5130000
Cash From Investing Activities -107223000 197375000 364478000 63659000 -39645000 83682000 -43231000 -184241000 747000 -858000 -200000
Investments in Property Plant and Equipment -2176000 -5661000 -5424000 -12538000 -4490000 -2171000 -3676000 -4610000 -420000 -588000 -1453000
Payments for Acquisitions -20440000 321000 -10000000 -16036000 -13390000 -16340000 0 1155000 53000 79000 617000
Purchases of Securities -268733000 -500000 -1150000 -91247000 -169952000 -147203000 -312825000 -385383000 -2219000 -3488000 -2520000
Proceeds from Sales and Maturities of Securities 183710000 218125000 380702000 183289000 148062000 249396000 273270000 205752000 3386000 3082000 3773000
Other Investing Activities 416000 -14910000 350000 191000 125000 0 0 -1155000 -53000 57000 -617000
Cash From Financing Activities -29827000 22727000 38869000 49910000 156887000 14696000 29488000 285937000 64723000 5939000 1256000
Debt Repayment -393000 -2215000 -39720000 -178000 -185000 -163000 0 -366000 -20000 -18000 -3884000
Common Stock Issued 332000 -12913000 -11760000 50272000 152030000 12400000 27260000 235656000 55841000 0 698000
Common Stock Repurchased -26492000 -2582000 0 1208000 -35000 -66000 0 0 9076000 0 1286000
Dividends Paid -393000 -367000 0 -112000 -1070000 -91000 0 0 -96000 -2000 -136000
Other Financing Activities -2881000 40804000 90349000 -1280000 6147000 2616000 2228000 50647000 -78000 5959000 3292000
Effect of Forex Changes on Cash 0 -1000 1000 -104000 -44000 0 -16000 -294000 -138000 9000 -7000
Net Change in Cash -315842000 61827000 271521000 15309000 44402000 9690000 -71792000 72791000 54789000 -3684000 -403000
Cash at Beginning of Period 465708000 403881000 132360000 117051000 72649000 62959000 134751000 61960000 7171000 10855000 11258000
Cash at End of Period 149866000 465708000 403881000 132360000 117051000 72649000 62959000 134751000 61960000 7171000 10855000
Free Cash Flow -180968000 -163935000 -137251000 -110694000 -77286000 -90859000 -61709000 -33221000 -10963000 -9362000 -2905000
Operating Cash Flow -178792000 -158274000 -131827000 -98156000 -72796000 -88688000 -58033000 -28611000 -10543000 -8774000 -1452000
Capital Expenditure -2176000 -5661000 -5424000 -12538000 -4490000 -2171000 -3676000 -4610000 -420000 -588000 -1453000

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