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+0.32
(+0.40%)
At close: 04:00PM EDT
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After hours:
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Summary
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Show
:
Income Statement
Balance Sheet
Cash Flow
Annual
Quarterly
Cash Flow
All numbers in thousands
Breakdown
ttm
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Cash flows from operating activities
Net Income
247,498
251,400
311,440
354,108
108,013
Depreciation & amortization
111,539
127,052
117,399
115,571
146,601
Deferred income taxes
-3,818
-5,135
-8,118
-9,798
-11,263
Stock based compensation
22,887
23,051
21,021
19,126
17,778
Change in working capital
242,205
210,413
-503,133
-115,076
-35,550
Accounts receivable
91,312
123,830
-64,495
-31,622
22,885
Inventory
344,044
283,826
-399,851
-100,261
64,884
Accounts Payable
-67,443
-85,862
40,429
75,513
-49,275
Other working capital
609,713
581,690
-83,708
319,662
247,319
Net cash provided by operating activites
665,068
636,297
-25,241
354,406
276,077
Cash flows from investing activities
Investments in property, plant and equipment
-55,355
-54,607
-58,467
-34,744
-28,758
Purchases of investments
-489,262
-528,491
-44,876
-130,191
-35,044
Sales/Maturities of investments
231,587
121,279
176,083
1,184
36,631
Net cash used for investing activites
-313,030
-461,819
72,740
-163,751
-27,171
Cash flows from financing activities
Debt repayment
-
-837
-52,979
-38,156
-403,146
Common stock repurchased
-218,897
-184,022
-287,443
-165,415
-132,889
Dividends Paid
-72,718
-73,440
-75,082
-68,623
-17,195
Other financing activites
-4,738
-4,681
-4,833
-5,812
-7,811
Net cash used privided by (used for) financing activities
-290,571
-254,789
-360,831
-210,889
-151,700
Net change in cash
57,413
-79,922
-333,163
-27,321
104,716
Cash at beginning of period
361,049
430,241
763,404
790,725
686,009
Cash at end of period
422,516
350,319
430,241
763,404
790,725
Free Cash Flow
Operating Cash Flow
665,068
636,297
-25,241
354,406
276,077
Capital Expenditure
-55,355
-54,607
-58,467
-34,744
-28,758
Free Cash Flow
609,713
581,690
-83,708
319,662
247,319
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