ZS Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
07-31
2022
07-31
2021
07-31
2020
07-31
2019
07-31
2018
07-31
2017
07-31
2016
07-31
2015
07-31
Report Filing: 2023-09-14 2022-09-15 2021-09-16 2020-09-17 2019-09-18 2018-09-13 2017-07-31 2016-07-31 2015-07-31
Net Income/Starting Line -202335000 -390278000 -262029000 -115116000 -28655000 -33646000 -35460000 -27438000 -12832000
Cash From Operating Activities 462343000 321912000 202040000 79317000 58027000 17307000 -6019000 -11916000 -3279000
Depreciation and Amortization 66816000 49466000 36458000 21118000 11306000 7988000 6840000 4872000 2854000
Deferred Income Tax 352000 -562000 -2406000 -1172000 -1392000 0 0 0 0
Stock Based Compensation 444834000 409562000 258535000 121395000 46423000 0 9919000 3617000 1561000
Other Non-Cash Items 124103000 156273000 125914000 44479000 16754000 13311000 8385000 5456000 3920000
Changes in Working Capital 28573000 97451000 45568000 8613000 13591000 18430000 4297000 1577000 1218000
Accounts Receivable -183858000 -143336000 -111605000 -54222000 -31730000 -22559000 -14563000 -6188000 -4723000
Inventory -45305000 0 -18907000 -18892000 -7978000 -2992000 2658000 1970000 -1062000
Accounts Payable -8416000 14358000 7451000 862000 495000 -779000 2249000 563000 -389000
Deferred Revenue 266152000 226429000 168629000 80865000 52804000 44760000 13953000 5232000 7392000
Other Working Capital 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -259337000 374063000 -109668000 -1038162000 -162074000 -178103000 -8342000 -6647000 -595000
Investments in Property Plant and Equipment -128724000 -90580000 -58297000 -51809000 -30162000 -15170000 -8174000 -6247000 -6705000
Payments for Acquisitions -15643000 -25287000 -40530000 -41601000 -11432000 0 0 0 1534000
Purchases of Securities -1067349000 -844944000 -818557000 -1255629000 -335186000 -163366000 0 0 -38000
Proceeds from Sales and Maturities of Securities 952379000 1334874000 807716000 310877000 214706000 0 0 0 6148000
Other Investing Activities -146497000 468646000 -20973000 -955489000 -125122000 433000 -168000 -400000 -1534000
Cash From Financing Activities 45990000 41337000 41675000 1022212000 46384000 208397000 9497000 27563000 85615000
Debt Repayment 0 0 0 -985277000 0 0 0 0 -5500000
Common Stock Issued 46207000 6943000 43925000 36935000 44501000 205344000 0 0 0
Common Stock Repurchased 42263000 34649000 25704000 15333000 -22000 -3811000 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0
Other Financing Activities -42480000 -255000 -27954000 2977433000 1905000 6864000 9497000 27563000 91115000
Effect of Forex Changes on Cash 0 0 0 0 0 0 0 0 0
Net Change in Cash 248996000 737312000 134047000 63367000 -57663000 47601000 -4864000 9000000 81741000
Cash at Beginning of Period 1013210000 275898000 141851000 78484000 136147000 87978000 92842000 83842000 2101000
Cash at End of Period 1262206000 1013210000 275898000 141851000 78484000 135579000 87978000 92842000 83842000
Free Cash Flow 333619000 231332000 143743000 27508000 27865000 2137000 -14193000 -18163000 -9984000
Operating Cash Flow 462343000 321912000 202040000 79317000 58027000 17307000 -6019000 -11916000 -3279000
Capital Expenditure -128724000 -90580000 -58297000 -51809000 -30162000 -15170000 -8174000 -6247000 -6705000

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