Financial Fundamentals - Cash Flow

  Year Ending Dec 2025 (Update) Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update) Year Ending Dec 2021 (Update)
Net Income/Starting Line -33.94 31.50 15.93 28.79 135.54
Depreciation – Supplemental 33.66 33.44 32.57 31.42 28.39
Depreciation/Depletion 33.66 33.44 32.57 31.42 28.39
Deferred Taxes -11.62 -7.45 -9.83 -9.39 1.77
Unusual Items 2.92 -- -3.00 1.91 -132.52
Other Non-Cash Items 33.96 27.27 25.09 18.56 13.60
Non-Cash Items 36.88 27.27 22.08 20.47 -118.92
Accounts Receivable -63.84 -28.55 15.60 -46.07 -34.07
Inventories 14.09 2.32 -15.98 -20.84 -17.13
Other Assets -1.25 -0.89 -7.16 -1.35 -7.21
Accounts Payable -0.55 3.24 -18.42 24.22 2.79
Accrued Expenses -13.08 -7.65 -10.16 0.44 -5.54
Other Liabilities 6.25 -19.05 6.42 4.99 13.81
Changes in Working Capital -58.38 -50.57 -29.68 -38.61 -47.34
Cash from Operating Activities -33.41 34.18 31.07 32.68 -0.57
Purchase of Fixed Assets -15.24 -14.13 -19.52 -19.69 -16.86
Purchase/Acquisition of Intangibles -- -- -114.38 -69.48
Capital Expenditures -15.24 -14.13 -133.90 -19.69 -86.34
Acquisition of Business --
Sale of Business -- -- 0.37 --
Sale of Fixed Assets 2.11 0.22 0.40 0.08 143.65
Other Investing Cash Flow -- -- 0.44
Other Investing Cash Flow Items, Total 2.11 0.22 0.40 0.45 144.09
Cash from Investing Activities -13.12 -13.91 -133.50 -19.24 57.75
Other Financing Cash Flow -3.55 -- -- -2.51 --
Financing Cash Flow Items -3.55 -- -- -2.51 --
Sale/Issuance of Common -- -- 85.11
Common Stock, Net -- -- 85.11
Options Exercised -3.22 -2.86 -3.28 -1.38 -4.05
Issuance (Retirement) of Stock, Net -3.22 -2.86 81.83 -1.38 -4.05
Long Term Debt Issued
Long Term Debt, Net
Total Debt Issued 345.00 20.00 176.50 254.00 96.00
Total Debt Reduction -283.54 -43.14 -159.29 -293.62 -129.29
Issuance (Retirement) of Debt, Net 61.46 -23.14 17.21 -39.62 -33.29
Cash from Financing Activities 54.68 -26.00 99.05 -43.51 -37.34
Net Change in Cash 8.15 -5.72 -3.38 -30.07 19.85
Net Cash - Beginning Balance 37.14 42.86 46.25 76.32 56.47
Net Cash - Ending Balance 45.29 37.14 42.86 46.25 76.32
Cash Interest Paid 11.07 14.01 19.86 10.98 10.14
Cash Taxes Paid 2.33 12.88 22.95 3.83 32.93
For a more complete picture of our financial results, please review our SEC Filings

In millions of USD (except for per share items)

Source: LSEG

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