SPTN Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
10-07
2022
12-31
2021
12-31
2020
12-31
2019
12-28
2018
12-29
2017
12-30
2016
12-31
2015
12-31
2014
12-31
2013
03-30
2012
03-31
2011
03-26
2010
03-27
2009
03-28
2008
03-29
2007
03-31
2006
03-25
2005
03-26
2004
03-27
2003
03-29
2002
03-30
2001
03-31
2000
03-25
1999
03-27
1998
03-28
1997
03-29
Report Filing: 2023-11-08 2023-03-01 2022-03-02 2021-03-03 2020-02-26 2019-02-27 2018-02-26 2017-03-01 2016-03-02 2015-03-04 2013-05-23 2012-05-23 2011-05-16 2010-05-17 2009-06-08 2008-05-15 2007-05-18 2006-05-19 2005-05-23 2004-05-27 2003-06-25 2002-06-28 2001-06-20 2000-06-20 1999-06-25 1998-06-26 1997-06-27
Net Income/Starting Line 0 34518000 73751000 75914000 5917000 33791000 -52617000 57056000 63166000 59120000 27842000 31870000 32539000 25933000 36957000 34306000 25160000 18172000 19863000 -5920000 -33987000 9847000 23442000 17194000 20496724 14233981 9702725
Cash From Operating Activities 95680000 110350000 161155000 306716000 180192000 171658000 52843000 154524000 219489000 139073000 59341000 93734000 89756000 91702000 80037000 71064000 60170000 50704000 60630000 27566000 53936000 34208000 58281000 54574000 49991031 29611962 16407077
Depreciation and Amortization 0 94180000 92711000 89876000 90597000 84190000 84390000 79183000 84905000 88475000 38854000 36767000 35273000 34895000 28919000 24421000 22153000 21392000 22582000 28433000 30262000 48551000 39445000 32063000 21412939 21639466 20175210
Deferred Income Tax 0 1415000 17603000 2457000 -2260000 7407000 -79921000 6761000 2512000 3537000 -4121000 17861000 19655000 12030000 18143000 18227000 12774000 9677000 8426000 -3202000 -34130000 3805000 2730000 2703000 627000 -583000 4035000
Stock Based Compensation 0 8353000 6868000 6299000 7312000 7646000 9611000 7936000 7240000 6939000 4062000 5048000 5372000 4627000 4878000 3013000 1906000 0 0 0 76149000 0 0 0 0 0 0
Other Non-Cash Items 0 57561000 21496000 32118000 31733000 40462000 232345000 31194000 7341000 9388000 5815000 8304000 3129000 12354000 -1320000 3702000 2872000 -1310000 -752000 8518000 543000 -3715000 -799000 -4046000 -1001139 -3666952 -1260447
Changes in Working Capital 0 -85677000 -51274000 100052000 46893000 -1838000 -140965000 -27606000 54325000 -28386000 -13111000 -6116000 -6212000 1863000 -7540000 -12605000 -4695000 2773000 10511000 -263000 15099000 -24280000 -6537000 6660000 8455507 -2011533 -16245411
Accounts Receivable 0 -38168000 -4005000 -12936000 2025000 -1177000 -25276000 30537000 -33063000 -517000 -1941000 -2309000 -1855000 -2487000 3294000 -16866000 -561000 -1871000 -4590000 3422000 5660000 2909000 13382000 -3823000 0 0 0
Inventory 0 -92346000 320000 -7030000 40971000 38213000 -48478000 -18456000 59473000 6004000 -23750000 2635000 17885000 -3702000 4130000 -117000 -4845000 96000 91000 8501000 -2838000 -448000 8800000 5092000 14694633 -7497222 -6549385
Accounts Payable 0 28069000 -18286000 65197000 14941000 -18358000 -24477000 21946000 30250000 -29231000 12984000 8841000 -14496000 18095000 -3296000 13917000 2063000 6259000 7547000 -20074000 15607000 -23500000 -15834000 -2846000 0 0 0
Deferred Revenue 0 16768000 -29303000 54821000 -11044000 -20516000 -42734000 -61633000 -2335000 -4642000 -404000 -15283000 -7746000 -10043000 -11668000 -9539000 -1352000 -1711000 7463000 7888000 -3330000 -3241000 -12885000 8237000 -6239126 5485689 -9696026
Other Working Capital 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 0
Cash From Investing Activities -82003000 -100948000 -47978000 -57221000 -143172000 -64156000 -315393000 -68227000 -95300000 -81687000 -53056000 -43800000 -33123000 -58028000 -145939000 -85200000 -76132000 -27983000 -21784000 -10283000 -11061000 -16272000 -115625000 -38401000 -70340895 -3226697 -35807398
Investments in Property Plant and Equipment 0 -97280000 -79427000 -67298000 -74815000 -71495000 -70906000 -73429000 -79394000 -90012000 -42012000 -42518000 -33029000 -50472000 -57249000 -40076000 -28365000 -29497000 -25354000 -11539000 -12196000 -35235000 -36527000 -14843000 -16418527 -23997384 -46237512
Payments for Acquisitions 0 -41429000 0 0 -86659000 0 -226939000 0 -41517000 -13720000 -13720000 -478000 -1250000 -6375000 -102972000 -47879000 -53773000 0 0 0 0 -2106000 -85131000 -101188000 0 0 0
Purchases of Securities 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 0
Proceeds from Sales and Maturities of Securities 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 0
Other Investing Activities -82003000 37761000 31449000 10077000 18302000 7339000 -17548000 5202000 25611000 22045000 2676000 -804000 1156000 -1181000 14282000 2755000 6006000 1514000 3570000 1256000 1135000 21069000 6033000 77630000 -53922368 20770687 10430114
Cash From Financing Activities -25209000 9018000 -122414000 -253764000 -31219000 -104300000 254003000 -83927000 -107696000 -59962000 -26213000 -67206000 -19369000 -27896000 52554000 21940000 20370000 -29946000 -37218000 -6922000 -47523000 -25610000 48483000 -8507000 27435402 -23557377 13803055
Debt Repayment 0 -1389258000 -1460726000 -1590803000 -1246402000 -1131732000 -1147947000 -1394104000 -1170501000 -1100007000 -520056000 -55251000 -158584000 -528637000 -11437000 0 0 0 0 0 0 0 0 0 -13650000 -30470692 -36939210
Common Stock Issued 0 0 1372226000 1382001000 0 1075572000 1461905000 1343733000 1093640000 1120000 398000 73558000 0 0 0 735000 3208000 882000 748000 0 666000 806000 701000 3933000 2985341 3407234 3899110
Common Stock Repurchased 0 -32494000 -5325000 -10000000 0 -20000000 -34995000 -9000000 -9000000 -4987000 -11381000 -12381000 0 0 0 0 0 0 0 0 0 -33000 -2569000 -8814000 -10359474 -10119467 -8325035
Dividends Paid 0 -29708000 -28327000 -34509000 -20709000 -25923000 -24704000 -22496000 -20299000 -18090000 -6899000 -5926000 -4525000 -4483000 -4428000 -4371000 -4302000 -1050000 0 0 0 0 -125000 -503000 -555714 -587071 -605937
Other Financing Activities -25209000 1460478000 -262000 -453000 1235892000 -2217000 -256000 -2060000 -1536000 1062002000 511725000 -67206000 143740000 505224000 68419000 25576000 21464000 -29778000 -37966000 -6922000 -48189000 -26383000 50476000 -3123000 49015249 14212619 55774127
Effect of Forex Changes on Cash 0 0 0 0 -214000 -284000 -137000 -738000 -217000 -197000 -451000 -76000 -2610000 -3127000 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Change in Cash -11532000 18420000 -9237000 -4269000 5587000 2918000 -8684000 1632000 16276000 -2773000 -20379000 -17348000 34654000 2651000 -13348000 7804000 4408000 -7225000 1628000 10361000 -4648000 -7674000 -8861000 7666000 7085538 2827888 -5597266
Cash at Beginning of Period 29086000 10666000 19903000 24172000 18585000 15667000 24351000 22719000 6443000 9216000 26476000 43824000 9170000 6519000 19867000 12063000 7655000 14880000 13252000 2318000 27954000 21577000 36422000 28756000 37026640 34198752 39796018
Cash at End of Period 17554000 29086000 10666000 19903000 24172000 18585000 15667000 24351000 22719000 6443000 6097000 26476000 43824000 9170000 6519000 19867000 12063000 7655000 14880000 12679000 23306000 13903000 27561000 36422000 44112178 37026640 34198752
Free Cash Flow 95680000 13070000 81728000 239418000 105377000 100163000 -18063000 81095000 140095000 49061000 17329000 51216000 56727000 41230000 22788000 30988000 31805000 21207000 35276000 16027000 41740000 -1027000 21754000 39731000 33572504 5614578 -29830435
Operating Cash Flow 95680000 110350000 161155000 306716000 180192000 171658000 52843000 154524000 219489000 139073000 59341000 93734000 89756000 91702000 80037000 71064000 60170000 50704000 60630000 27566000 53936000 34208000 58281000 54574000 49991031 29611962 16407077
Capital Expenditure 0 -97280000 -79427000 -67298000 -74815000 -71495000 -70906000 -73429000 -79394000 -90012000 -42012000 -42518000 -33029000 -50472000 -57249000 -40076000 -28365000 -29497000 -25354000 -11539000 -12196000 -35235000 -36527000 -14843000 -16418527 -23997384 -46237512

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