OM 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
Report Filing: 2024-02-21 2023-02-13 2022-02-23 2021-03-22 2019-12-31 2018-12-31
Net Income/Starting Line -172797000 -162956000 -131935000 -121492000 -68299000 -49780000
Cash From Operating Activities -131373000 -145729000 -130264000 -99015000 -70292000 -46442000
Depreciation and Amortization 5810000 5169000 5162000 3159000 1935000 1069000
Deferred Income Tax -5636000 0 3076000 2491000 -4105000 -75000
Stock Based Compensation 38634000 27203000 17445000 21439000 883000 0
Other Non-Cash Items 3389000 5997000 1591000 1237000 893000 1773000
Changes in Working Capital -773000 -21142000 -25603000 -5849000 -1599000 -217000
Accounts Receivable -5094000 -2506000 -19137000 -2566000 -2886000 -552000
Inventory 1647000 -14730000 -22042000 -16287000 -5020000 -2212000
Accounts Payable 5312000 -1281000 -3066000 737000 802000 2675000
Deferred Revenue -2638000 -2625000 18642000 12267000 5505000 -128000
Other Working Capital 0 0 0 0 0 0
Cash From Investing Activities 83026000 -66295000 -142507000 3947000 74297000 -68776000
Investments in Property Plant and Equipment -3440000 -8325000 -3108000 -9108000 -3293000 -1766000
Payments for Acquisitions -86466000 57970001 139399000 31000 -77590000 0
Purchases of Securities -172284000 -261154000 -178432000 -32884000 -91878000 -132310000
Proceeds from Sales and Maturities of Securities 258750000 203184000 39033000 45908000 169468000 65300000
Other Investing Activities 86466000 -57970001 -139399000 13024000 77590000 0
Cash From Financing Activities 43652000 72898000 160147000 385682000 249000 134872000
Debt Repayment -33225000 -31203000 0 -30994000 -9000 -9000
Common Stock Issued 10427000 8042000 149085000 254805000 258000 134567000
Common Stock Repurchased 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 0
Other Financing Activities 66450000 96059000 11062000 161871000 -181000 314000
Effect of Forex Changes on Cash 0 0 0 0 0 0
Net Change in Cash -4695000 -139126000 -112624000 290614000 4254000 19654000
Cash at Beginning of Period 76533000 215659000 328283000 37669000 33415000 13761000
Cash at End of Period 71838000 76533000 215659000 328283000 37669000 33415000
Free Cash Flow -134813000 -154054000 -133372000 -108123000 -73585000 -48208000
Operating Cash Flow -131373000 -145729000 -130264000 -99015000 -70292000 -46442000
Capital Expenditure -3440000 -8325000 -3108000 -9108000 -3293000 -1766000

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