Fundamentals - Annual Cash Flow

  Year Ending Dec 2025 (Update) Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Reclassified) Year Ending Dec 2021 (Update)
Net Income/Starting Line -146.88 -104.18 4.57 36.66 40.67
Depreciation – Supplemental 18.07 7.72 7.10 10.03 9.29
Depreciation/Depletion 18.07 7.72 7.10 10.03 9.29
Amortization of Intangibles 46.23 51.28 55.08 47.91 48.73
Amortization 46.23 51.28 55.08 47.91 48.73
Deferred Taxes -17.59 8.37 5.15 14.58 12.51
Unusual Items 147.18 118.09 30.45 28.52 13.52
Equity in Net Earnings (Loss) -- 5.13
Other Non-Cash Items 6.88 7.94 25.33 22.45 17.05
Non-Cash Items 154.05 126.03 60.92 50.97 30.57
Accounts Receivable 22.04 18.99 8.70 -16.12 -22.73
Prepaid Expenses 2.42 2.58 -2.38 -6.65 6.65
Other Assets -0.24 -4.44 0.56 1.02 -13.75
Accounts Payable -7.73 -0.31 2.41 0.30 3.45
Accrued Expenses -26.03 2.75 -4.53 4.11 16.10
Taxes Payable
Other Liabilities -40.18 -69.56 -68.67 -67.02 -51.34
Other Assets & Liabilities, Net -1.75 -4.25 -9.25
Changes in Working Capital -49.73 -51.73 -68.16 -93.61 -61.61
Cash from Operating Activities 4.16 37.48 64.65 66.55 80.15
Purchase of Fixed Assets -10.07 -7.23 -7.68 -6.76 -6.29
Purchase/Acquisition of Intangibles
Capital Expenditures -10.07 -7.23 -7.68 -6.76 -6.29
Acquisition of Business -0.25 -0.25 -27.50 -25.00 --
Sale of Business
Sale of Fixed Assets -- 5.61 4.98 3.08 8.00
Sale/Maturity of Investment -- 0.83 6.56
Investment, Net -- 136.83
Purchase of Investments -0.61 -30.84
Other Investing Cash Flow -- 13.01
Other Investing Cash Flow Items, Total -0.25 5.58 103.03 -21.92 8.00
Cash from Investing Activities -10.32 -1.64 95.36 -28.68 1.71
Other Financing Cash Flow -5.09 -1.80 -4.40 -1.09 -13.56
Financing Cash Flow Items -5.09 -1.80 -4.40 -1.09 -13.56
Sale/Issuance of Common 33.28
Repurchase/Retirement of Common -2.76 -8.13 -1.63 -26.54 -0.97
Common Stock, Net -2.76 -8.13 -1.63 -26.54 32.31
Options Exercised 0.05 0.40
Issuance (Retirement) of Stock, Net -2.76 -8.13 -1.63 -26.49 32.70
Short Term Debt Issued -- 1.26
Short Term Debt, Net 10.00 1.26
Long Term Debt Issued 59.99 832.51
Long Term Debt Reduction -167.20 -123.16 -22.28 -67.12 -855.16
Long Term Debt, Net -107.21 -123.16 -22.28 -67.12 -22.65
Issuance (Retirement) of Debt, Net -97.21 -121.90 -22.28 -67.12 -22.65
Cash from Financing Activities -105.05 -131.83 -28.31 -94.70 -3.50
Net Change in Cash -111.22 -96.00 131.69 -56.84 78.36
Net Cash - Beginning Balance 137.57 233.57 101.88 158.72 73.86
Net Cash - Ending Balance 26.36 137.57 233.57 101.88 152.22
Cash Interest Paid 53.97 50.72 54.83 62.04 45.84
Cash Taxes Paid 0.08 2.47 1.98 2.09 1.14
For a more complete picture of our financial results, please review our SEC Filings

Source: LSEG