MESA Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
09-30
2022
09-30
2021
09-30
2020
09-30
2019
09-30
2018
09-30
2017
09-30
2016
09-30
2008
09-30
2007
09-30
2006
09-30
2005
09-30
2004
09-30
2003
09-30
2002
09-30
2001
09-30
2000
09-30
1999
09-30
1998
09-30
1997
09-30
1996
09-30
1995
09-30
1994
09-30
1993
09-30
1992
09-30
1991
09-30
Report Filing: 2024-01-26 2022-12-29 2021-12-10 2020-12-14 2019-12-17 2018-12-20 2017-09-30 2016-09-30 2009-01-13 2008-01-15 2006-12-14 2005-12-14 2004-12-14 2003-12-29 2002-12-23 2001-12-28 2000-12-29 2000-01-21 1999-01-12 1998-01-13 1996-12-26 1995-12-15 1994-09-30 1993-09-30 1992-09-30 1991-09-30
Net Income/Starting Line -120116000 -182678000 16588000 27464000 47580000 33255000 32828000 14920000 -29160000 -71538000 33967000 56867000 26282000 27961000 -9309000 -48076000 58872000 -13412000 -53434000 -48597000 30407000 14012000 27300000 26400000 14300000 4600000
Cash From Operating Activities -24091000 13362000 132871000 174662000 151676000 118939000 74727000 104492000 41673000 101671000 -16576000 22270000 47331000 54626000 -2374000 45034000 33246000 31763000 -18266000 10968000 43047000 42986000 37000000 37100000 28000000 7100000
Depreciation and Amortization 60359000 81508000 82847000 82296000 77994000 65031000 61048000 46020000 37658000 27205000 36537000 38029000 21758000 5383000 5974000 10471000 15630000 17524000 12578000 33114000 21025000 18976000 -16400000 -13100000 -11900000 -2800000
Deferred Income Tax -9304000 -52221000 5665000 9234000 15503000 -17874000 20515000 9513000 1161000 -44221000 22988000 31625000 18723000 15352000 -4651000 -24068000 -13349000 0 0 -20439000 10473000 493000 6100000 8600000 4100000 2100000
Stock Based Compensation 2275000 2761000 3126000 4414000 5508000 0 1288000 1546000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 53373000 190909000 19854000 15230000 7157000 9187000 -7071000 -6592000 127660000 45788000 -4480000 8705000 18825000 -8468000 36872000 103788000 -17575000 13985000 11779000 81949000 -10349000 601000 32300000 23300000 16500000 5100000
Changes in Working Capital -10678000 -26917000 4791000 36024000 -2066000 16411000 -33881000 39085000 -95646000 144437000 -105588000 -112956000 -38257000 14398000 -31260000 2919000 -10332000 13666000 10811000 -35059000 -8509000 8904000 -12300000 -8100000 5000000 -1900000
Accounts Receivable -4275000 -811000 -8090000 38190000 -9275000 -5437000 530000 1908000 -62906000 -12429000 -9358000 7471000 -11032000 3001000 -5228000 -2584000 -11095000 -1900000 28400000 -19700000 3700000 1700000 -9600000 -1100000 8900000 300000
Inventory -2530000 -2882000 -1865000 -1529000 -6310000 -744000 -3379000 -1675000 3350000 -7673000 542000 -2693000 -11415000 -5445000 10953000 -3634000 -2989000 6960000 1603000 -4421000 -2274000 -5281000 -6600000 -3200000 -1900000 -1500000
Accounts Payable 496000 -2772000 7861000 3418000 12119000 2427000 -17336000 29673000 -4825000 6526000 3489000 5787000 4921000 14881000 -19692000 21127000 3236000 -300000 -9600000 8100000 -4400000 12500000 1100000 -200000 -3600000 -900000
Deferred Revenue -4369000 -20452000 6885000 -4055000 1400000 20165000 -13166000 11087000 -94171000 158013000 -100261000 -123521000 -20731000 1961000 -17293000 -11990000 1032000 8906000 -9592000 -38076000 -5535000 -30000 5600000 -7200000 3200000 400000
Other Working Capital 0 0 0 0 0 0 -530000 -1908000 62906000 0 0 0 0 0 0 0 -516000 0 0 19038000 0 15000 -2800000 3600000 -1600000 -200000
Cash From Investing Activities 142285000 1365000 -33471000 -26667000 -104842000 -138827000 -84122000 -491127000 7017000 -11442000 -40189000 -55764000 -66215000 -37379000 -12058000 -44135000 -46483000 22163000 19022000 7512000 22559000 -15509000 -5800000 -95600000 -16700000 -1700000
Investments in Property Plant and Equipment -36641000 -48435000 -23471000 -26667000 -125350000 -117989000 -84500000 -490081000 -3477000 -59662000 -89122000 -89122000 -100566000 -54740000 -26932000 -67090000 -80490000 -32240000 -16162000 -9162000 -40563000 -219085000 -32600000 -38900000 -11300000 -8400000
Payments for Acquisitions 178644000 50000000 0 0 125350000 0 18000 196000 0 0 20076000 0 -9160000 0 -5268000 0 0 50597000 0 0 0 0 3400000 31700000 3700000 0
Purchases of Securities 0 -200000 -10000000 0 -14884000 -19921000 0 0 123611000 0 -15000000 -45584000 -2483000 -4786000 -5349000 -9072000 -4908000 -6000000 0 0 0 0 -89900000 -102700000 -21400000 0
Proceeds from Sales and Maturities of Securities 0 -50000000 0 0 34961000 0 0 0 5938000 0 11847000 0 -47900000 0 8198000 0 0 3907000 11102000 1000000 40861000 23499000 136200000 13300000 12700000 0
Other Investing Activities 282000 50000000 -6322000 -26667000 -124919000 -917000 -84122000 -491127000 1079000 18389000 7525000 -11203000 -4289000 -5223000 -1441000 -1518000 -1330000 40356000 16020000 11112000 1998000 53292000 -19500000 32700000 3300000 6700000
Cash From Financing Activities -143147000 -77569000 -78374000 -117655000 -81467000 66411000 28497000 365848000 -70304000 -53430000 -51104000 3812000 87222000 89430000 -14202000 47202000 -13265000 -36689000 -22366000 -15968000 -64561000 -9369000 -31700000 73300000 -3700000 3600000
Debt Repayment -203946000 -117324000 -271033000 -138289000 -244087000 -222153000 -152995000 -75496000 -73214000 -44617000 0 -28911000 -16859000 -15733000 -9371000 -28802000 -8062000 -37997000 -50272000 -17114000 -12141000 -18553000 -11100000 -59200000 -194500000 -11700000
Common Stock Issued 284000 399000 471000 0 185000 124246000 0 0 0 573000 6364000 813000 843000 2224000 930000 9951000 51000 1308000 442000 123000 1510000 1592000 2600000 85300000 32600000 6000000
Common Stock Repurchased -363000 -455000 -1486000 -586000 -1871000 -4993000 -1043000 -1411000 -7092000 -40664000 -25007000 -12065000 -11764000 -2314000 -5956000 -6770000 -10784000 0 0 0 -53930000 0 -24500000 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Financing Activities 60515000 39811000 194145000 21220000 164491000 357014000 182535000 442755000 10002000 31278000 -32461000 43975000 115002000 105253000 195000 72823000 5530000 0 27464000 1023000 0 7592000 1300000 47200000 158200000 9300000
Effect of Forex Changes on Cash 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Change in Cash -24953000 -62842000 21026000 30340000 -34633000 46523000 19102000 -20787000 -21614000 36799000 -107869000 -29682000 68338000 106677000 -28634000 48101000 -26502000 17237000 -21610000 2512000 1045000 18108000 -500000 14800000 7600000 9000000
Cash at Beginning of Period 61025000 123867000 102841000 72501000 107134000 56788000 37686000 58473000 72377000 35578000 143428000 173110000 152547000 45870000 74504000 26403000 52905000 35668000 57232000 54720000 53675000 35567000 36100000 21300000 13800000 4100000
Cash at End of Period 36072000 61025000 123867000 102841000 72501000 103311000 56788000 37686000 50763000 72377000 35559000 143428000 220885000 152547000 45870000 74504000 26403000 52905000 35622000 57232000 54720000 53675000 35600000 36100000 21400000 13100000
Free Cash Flow -60732000 -35073000 109400000 147995000 26326000 950000 -9773000 -385589000 38196000 42009000 -105698000 -66852000 -53235000 -114000 -29306000 -22056000 -47244000 -477000 -34428000 1806000 2484000 -176099000 4400000 -1800000 16700000 -1300000
Operating Cash Flow -24091000 13362000 132871000 174662000 151676000 118939000 74727000 104492000 41673000 101671000 -16576000 22270000 47331000 54626000 -2374000 45034000 33246000 31763000 -18266000 10968000 43047000 42986000 37000000 37100000 28000000 7100000
Capital Expenditure -36641000 -48435000 -23471000 -26667000 -125350000 -117989000 -84500000 -490081000 -3477000 -59662000 -89122000 -89122000 -100566000 -54740000 -26932000 -67090000 -80490000 -32240000 -16162000 -9162000 -40563000 -219085000 -32600000 -38900000 -11300000 -8400000

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