NUWE 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
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
2009
06-30
2008
06-30
2007
06-30
2006
06-30
2005
06-30
2004
06-30
Report Filing: 2024-03-11 2023-03-03 2022-03-03 2021-03-25 2020-03-05 2019-02-21 2018-03-22 2017-03-08 2016-03-15 2015-03-20 2014-03-14 2013-03-12 2012-03-23 2010-06-30 2009-06-30 2008-06-30 2007-06-30 2006-06-30 2005-06-30 2004-06-30
Net Income/Starting Line -20209000 -14525000 -19578000 -15836000 -18114000 -17032000 -13382000 -15792000 -26583000 -25587000 -21758000 -14065000 -16196000 -5551965.325288 -6520204.506569 -9316963.098325 -9787458.015267 -5220646.769861 -3816736.053924 -1013362.138278
Cash From Operating Activities -17937000 -15149000 -17880000 -16572000 -16367000 -14560000 -11920000 -16292000 -22989000 -22644000 -17362000 -13083000 -13089000 -6175933.370161 -6252520.418375 -8756003.099856 -8479636.980492 -4698788.976121 -4843704.059536 -1239375.380162
Depreciation and Amortization 362000 372000 488000 376000 239000 232000 769000 697000 325000 277000 185000 138000 50000 51175 56262 74891 54511 34362 28491 23482
Deferred Income Tax 1348000 0 -2502000 0 -2054000 0 0 -318000 0 -2678000 -2953000 -1185000 -50000 0.0000009993091225624084 -51854.60180200171 35204 11144 -243825.4107250003 0 0
Stock Based Compensation 670000 862000 1314000 1349000 1512000 0 499000 949000 2154000 2678000 2953000 1248000 939000 485717 0 0 0 0 0 0
Other Non-Cash Items 1312000 -2456000 2502000 -1162000 2054000 2317000 2543000 187000 263000 2678000 3192000 1528000 50000 39079 56262 4443.126261999831 54511 217144 0 0.00000100000761449337
Changes in Working Capital -1420000 598000 -104000 -1299000 -4000 153000 -2349000 -2015000 852000 -12000 1019000 -747000 2118000 -701218.714146 67391 130860 916441 297032 -1055459.480892 -249495.563899
Accounts Receivable -545000 -656000 155000 -106000 -13000 -241000 -263000 -282000 59000 0 -59000 0 258000 0 0 0 0 0 0 0
Inventory 697000 140000 -143000 -1420000 -343000 -70000 -911000 -677000 -181000 0 -1100000 0 -2026000 0 0 0 0 0 0 0
Accounts Payable -1500000 1278000 -302000 115000 334000 545000 -1176000 -934000 1066000 -7000 1100000 -760000 2026000 94712 0 -35203.451938 -224008.481764 33089 0 140586
Deferred Revenue -72000 -164000 186000 112000 18000 -81000 1000 -122000 -92000 -5000 1078000 13000 1860000 -795931.67042 0 166064 1140449 263943 -1055459.480892 -390081.870364
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0.9562739999964833 67391 -0.5480620000162162 0.4817639999091625 0 0.0 0.306464999972377
Cash From Investing Activities 330000 14728000 -219000 -267000 -490000 -198000 -259000 -4117000 -199000 -351000 -293000 -158000 -451000 -4344.537458 -6914.00071 -8500.684073 -147791.348601 -90087.710185 -77974.502089 -9548.279744
Investments in Property Plant and Equipment -248000 -122000 -219000 -298000 -490000 -198000 -259000 -117000 -199000 -351000 -293000 -158000 -451000 -4344.537458 -6914.00071 -8500.684073 -147791.348601 -90087.710185 -77974.502089 -9548.279744
Payments for Acquisitions 0 0 31000000 31000 0 0 0 -4000000 0 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities 0 0 -18850000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 578000 14850000 3350000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 479000 14850000 -15500000 31000 0 0 0 -4950000 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Financing Activities 3683000 9423000 27871000 30016000 12665000 4647000 26454000 -1364000 15055000 89000 57566000 20837000 7627000 7858168 0.0000000009313225746154785 10734216 11395818 2279952 9919488 964880
Debt Repayment -28000 -26000 -26000 -20000 0 0 0 -8000000 -8000000 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 3711000 9449000 27896000 25921000 12665000 4647000 24281000 6636000 7055000 89000 57566000 20837000 7627000 8366310 0 10950471 11706866 2448761 11437459 139.829827
Common Stock Repurchased 2325000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -216255.106629 0 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
Other Financing Activities -28000 9423000 1000 4115000 12665000 4647000 2173000 6636000 8000000 89000 57566000 20837000 0 -508141.758382 0 -0.000001000240445137024 -311048.346056 -168808.714623 -1517971.2995999996 964740
Effect of Forex Changes on Cash -13000 -7000 -4000 -19000 -9000 -4000 -3000 -17000 -47000 63000 1000 65000 126000 -39084.689585 -2308.971172 -4443.126262 -65655.640373 26681 -3777.411779 -3395.068202
Net Change in Cash -13937000 8995000 9768000 13158000 -4201000 -10115000 14272000 -21790000 -8180000 -22843000 39912000 7661000 -5787000 1638805 -6261743.390257 1965269 2702734 -2482242.7687330004 4994032 -287438.38748199993
Cash at Beginning of Period 17737000 8742000 14437000 1279000 5480000 15595000 1323000 23113000 31293000 54136000 14224000 6563000 12350000 1711482 7886994 7384638 3843913 5845189 1012230 1215572
Cash at End of Period 3800000 17737000 24205000 14437000 1279000 5480000 15595000 1323000 23113000 31293000 54136000 14224000 6563000 3350288 1625250 9349907 6546648 3362946 6006263 928134
Free Cash Flow -18185000 -15271000 -18099000 -16870000 -16857000 -14758000 -12179000 -16409000 -23188000 -22995000 -17655000 -13241000 -13540000 -6180277.9076189995 -6259434.419085001 -8764503.783929 -8627428.329093 -4788876.686306 -4921678.561625 -1248923.659906
Operating Cash Flow -17937000 -15149000 -17880000 -16572000 -16367000 -14560000 -11920000 -16292000 -22989000 -22644000 -17362000 -13083000 -13089000 -6175933.370161 -6252520.418375 -8756003.099856 -8479636.980492 -4698788.976121 -4843704.059536 -1239375.380162
Capital Expenditure -248000 -122000 -219000 -298000 -490000 -198000 -259000 -117000 -199000 -351000 -293000 -158000 -451000 -4344.537458 -6914.00071 -8500.684073 -147791.348601 -90087.710185 -77974.502089 -9548.279744

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