CRSR Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
Report Filing: 2024-02-27 2023-02-27 2022-03-01 2021-03-11 2019-12-31 2018-12-31 2017-12-31 2016-12-31 2015-12-31
Net Income/Starting Line 3187000 -53946000 100960000 103217000 -8394000 -13720000 11734000 29092000 17492000
Cash From Operating Activities 89153000 66389000 20192000 168953000 37103000 422000 -2982000 29885000 22266000
Depreciation and Amortization 50698000 53523000 45094000 43234000 37507000 36563000 14100000 3344000 -3786000
Deferred Income Tax -6332000 -21736000 -11962000 -7476000 -11535000 -3017000 -6087000 -1356000 355000
Stock Based Compensation 30873000 22158000 17235000 5796000 3848000 0 3710000 1028000 1319000
Other Non-Cash Items 39000 4867000 9617000 9258000 2642000 3384000 76156000 28744000 3724000
Changes in Working Capital 10688000 61523000 -140752000 14924000 13035000 -25539000 -27767000 -5400000 -3091000
Accounts Receivable -17686000 55845000 444000 -91492000 -48033000 -7339000 -37803000 -6494000 -19622000
Inventory -39470000 111288000 -71316000 -80086000 15711000 -29753000 -20191000 -21651000 -7340000
Accounts Payable 62150000 -65928000 -63722000 116522000 16203000 25835000 15076000 10294000 20847000
Deferred Revenue 5694000 -39682000 -6158000 69980000 29154000 -14282000 15151000 12451000 3024000
Other Working Capital 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -26981000 -47034000 -20541000 -10280000 -145427000 -38555000 -535770999 -3983000 -2793000
Investments in Property Plant and Equipment -12761000 -26315000 -10974000 -8989000 -9023000 -8345000 -6636000 -3983000 -2793000
Payments for Acquisitions -14220000 -19534000 -4846000 -1291000 -126104000 -30210000 -529135000 0 0
Purchases of Securities 0 -1000000 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 0 -1000000 0 0 0 0 0 0 0
Other Investing Activities -26981000 815000 -4721000 -10280000 -10300000 0 -249999 -15000 0
Cash From Financing Activities -37387000 72609000 -65404000 -79131000 132314000 47354000 519869000 -898000 -10202000
Debt Repayment -41000000 -710983000 -391688000 -190394000 -3969000 -3088000 -281299000 -1096000 -10029000
Common Stock Issued 6952000 81359000 14872000 118575000 53500000 -3297000 238570000 198000 446000
Common Stock Repurchased -1409000 -1532000 -397000 0 -1531000 0 0 0 -619000
Dividends Paid 0 0 0 0 0 0 0 0 0
Other Financing Activities -3339000 708077000 326284000 -7312000 171323000 135442000 238441000 -898000 -9583000
Effect of Forex Changes on Cash -281000 -3284000 -2435000 2079000 37000 -331000 -793000 35000 1099000
Net Change in Cash 24498000 88680000 -68188000 81621000 24027000 8890000 -29984000 25039000 10370000
Cash at Beginning of Period 153827000 65380000 133568000 51947000 27920000 19030000 49014000 23975000 13605000
Cash at End of Period 178325000 154060000 65380000 133568000 51947000 27920000 19030000 49014000 23975000
Free Cash Flow 76392000 40074000 9218000 159964000 28080000 -7923000 -9618000 25902000 19473000
Operating Cash Flow 89153000 66389000 20192000 168953000 37103000 422000 -2982000 29885000 22266000
Capital Expenditure -12761000 -26315000 -10974000 -8989000 -9023000 -8345000 -6636000 -3983000 -2793000

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