TXG 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
Report Filing: 2024-02-15 2023-02-16 2022-02-18 2021-02-26 2020-02-27 2018-12-31 2017-12-31
Net Income/Starting Line -255099000 -166000000 -58223000 -542731000 -31251000 -112485000 -18762000
Cash From Operating Activities -15197000 -33606000 -21373000 -217898000 34627000 -76409000 -10699000
Depreciation and Amortization 43619000 33006000 28254000 19021000 7066000 3905000 4305000
Deferred Income Tax -262947000 0 0 1550000 614000 251000 0
Stock Based Compensation 166950000 136848000 95962000 48626000 13333000 0 1661000
Other Non-Cash Items 274937000 1957000 79000 306017000 101000 1247000 149000
Changes in Working Capital 17343000 -39417000 -87445000 -50381000 44764000 28015000 1948000
Accounts Receivable -10613000 -18948000 -34041000 -17847000 -5284000 -14747000 -5131000
Inventory 7871000 -21192000 -30132000 -14601000 -6699000 -3732000 -1995000
Accounts Payable -6017000 5858000 11084000 -7770000 4901000 2587000 3034000
Deferred Revenue 26102000 -5135000 -34356000 -10163000 51846000 43907000 6040000
Other Working Capital 0 0 0 0 0 0 0
Cash From Investing Activities 133491999 -350887000 -106729000 -38394000 -42767000 -6709000 -3756000
Investments in Property Plant and Equipment -49524000 -131661000 -101278000 -38394000 -42767000 -6709000 -3756000
Payments for Acquisitions 0 -4000000 -5451000 0 0 0 0
Purchases of Securities 0 -282871000 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 183016000 67645000 0 0 0 0 0
Other Investing Activities -1 -215226000 0 -1728000 -25000 0 0
Cash From Financing Activities 13669000 15817000 35297000 468906000 414590000 105367000 20583000
Debt Repayment -5814000 -5409000 -5028000 -31256000 -11000000 -773000 -393000
Common Stock Issued 19483000 21226000 40325000 482267000 410824000 1798000 0
Common Stock Repurchased 0 0 0 0 0 0 -80000
Dividends Paid 0 0 0 0 0 0 0
Other Financing Activities -5814000 -5409000 -5028000 17895000 14766000 104342000 21056000
Effect of Forex Changes on Cash -33000 -44000 234000 -463000 -45000 -18000 -14000
Net Change in Cash 136905000 -368720000 -92571000 212151000 406405000 22231000 6114000
Cash at Beginning of Period 222379000 596073000 688644000 476493000 70088000 47857000 41743000
Cash at End of Period 359284000 227353000 596073000 688644000 476493000 70088000 47857000
Free Cash Flow -64721000 -165267000 -122651000 -256292000 -8140000 -83118000 -14455000
Operating Cash Flow -15197000 -33606000 -21373000 -217898000 34627000 -76409000 -10699000
Capital Expenditure -49524000 -131661000 -101278000 -38394000 -42767000 -6709000 -3756000

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