AMRS 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
2011
12-31
2010
12-31
2009
12-31
2008
12-31
Report Filing: 2023-03-16 2022-03-09 2021-03-05 2020-03-13 2019-10-01 2018-04-17 2017-04-17 2016-03-30 2015-03-31 2014-04-02 2013-03-28 2012-02-28 2011-03-14 2009-12-31 2008-12-31
Net Income/Starting Line -543371000 -271792000 -326874000 -242767000 -230235000 -72329000 -97334000 -218052000 2167000 -234907000 -206033000 -179511000 -82790000 -64800000 -42336000
Cash From Operating Activities -525894000 -181333000 -175753000 -156933000 -109366000 -100617000 -82367000 -85132000 -84708000 -105859000 -150872000 -92496000 -64577000 -45718000 -38879000
Depreciation and Amortization 27274000 12694000 12126000 17178000 4921000 11358000 11374000 12920000 14969000 16639000 14570000 11077000 7280000 5775000 2627000
Deferred Income Tax 0 28868000 74344000 48846000 63818000 -3557000 -37370000 -5283000 -127418000 104816000 -1158000 927000 1758000 559000 -256000
Stock Based Compensation 48711000 33394000 13743000 12554000 9190000 6265000 7325000 9134000 14105000 18047000 27473000 25492000 10432000 3299000 2027000
Other Non-Cash Items -68068000 60398000 105300000 31034000 18330000 -1774000 -14621000 91752000 -115781000 118076000 46613000 16320000 -1112000 1285000 132000
Changes in Working Capital 9560000 -44895000 -54392000 -23778000 24610000 -44137000 10889000 19114000 -168000 -23714000 -33495000 34126000 1613000 8723000 -1329000
Accounts Receivable -9584000 2395000 -24161000 -2818000 7448000 -19647000 -8959000 4271000 -1221000 -4849000 2837000 -1975000 -3565000 -585000 -787000
Inventory -35027000 -32237000 -16249000 -17989000 -4416000 -3126000 5686000 4470000 -4481000 -5612000 2919000 -20680000 -1708000 -878000 -1420000
Accounts Payable 114533000 37389000 -10081000 23748000 11603000 5858000 6442000 4373000 -3209000 -2636000 -11811000 15648000 3478000 -997000 1278000
Deferred Revenue -60362000 -52442000 -3901000 -26719000 9975000 -27222000 7720000 6000000 8743000 -10617000 -27440000 41133000 3408000 11183000 -400000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -123707000 -64098000 -12781000 -13080000 -12472000 51992000 5642000 -5144000 -9831000 -10337000 -49644000 5853000 -79405000 -25422000 -14660000
Investments in Property Plant and Equipment -105947000 -45636000 -12781000 -13080000 -12472000 -4412000 -922000 -3367000 -5004000 -8087000 -56858000 -97024000 -15512000 -7608000 -21996000
Payments for Acquisitions -17760000 -18462000 0 0 0 54827000 10000000 0 -2075000 0 0 -2934000 0 0 0
Purchases of Securities 0 0 0 0 0 -11786000 -5559000 -2759000 -1371000 -2795000 -8334000 -67639000 -197484000 -47996000 -54353000
Proceeds from Sales and Maturities of Securities 0 0 0 0 0 12498000 6187000 2321000 1409000 1281000 16503000 173106000 129085000 31940000 63651000
Other Investing Activities 0 0 0 0 0 865000 -4064000 -1339000 -2790000 -736000 -955000 344000 4506000 -1758000 -1962000
Cash From Financing Activities 231413000 701962000 222525000 124910000 107957000 78348000 92199000 61424000 130921000 91181000 138117000 41052000 266687000 71473000 67979000
Debt Repayment -950000 -81047000 -55420000 -117661000 -42649000 -39409000 -11338000 -41548000 -6778000 -4643000 -56360000 -7853000 -12450000 -2119000 -503000
Common Stock Issued 47834000 130793000 215037000 53721000 1415000 0 5180000 25239000 6488000 20289000 85573000 8445000 86263000 113000 586000
Common Stock Repurchased 0 0 0 0 0 0 0 0 0 0 0 -497000 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 0 0 -37957000 0 0 0
Other Financing Activities 184529000 652216000 62908000 188850000 149191000 117757000 98357000 77733000 131211000 75535000 108904000 40957000 192874000 73479000 67896000
Effect of Forex Changes on Cash 474000 359000 -4268000 -252000 -77000 186000 -316000 -1203000 -1203000 1291000 -2712000 -1766000 1167000 956000 -555000
Net Change in Cash -417714000 456890000 29723000 -45355000 -13958000 29909000 15158000 -30055000 35179000 -23724000 -65111000 -47357000 123872000 1289000 13885000
Cash at Beginning of Period 488312000 31422000 1699000 47054000 61012000 27150000 11992000 42047000 6868000 30592000 95703000 143060000 19188000 17899000 4014000
Cash at End of Period 70598000 488312000 31422000 1699000 47054000 57059000 27150000 11992000 42047000 6868000 30592000 95703000 143060000 19188000 17899000
Free Cash Flow -631841000 -226969000 -188534000 -170013000 -121838000 -105029000 -83289000 -88499000 -89712000 -113946000 -207730000 -189520000 -80089000 -53326000 -60875000
Operating Cash Flow -525894000 -181333000 -175753000 -156933000 -109366000 -100617000 -82367000 -85132000 -84708000 -105859000 -150872000 -92496000 -64577000 -45718000 -38879000
Capital Expenditure -105947000 -45636000 -12781000 -13080000 -12472000 -4412000 -922000 -3367000 -5004000 -8087000 -56858000 -97024000 -15512000 -7608000 -21996000

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