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NYSE - Nasdaq Real Time Price. Currency in USD
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713.41
+12.04
(+1.72%)
As of 02:31PM EDT. Market open.
Summary
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Statistics
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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
205,288
205,288
67,079
352,075
300,365
Depreciation & amortization
302,903
302,903
328,706
235,977
251,163
Deferred income taxes
43,765
43,765
-3,844
65,046
14,377
Stock based compensation
6,712
6,712
6,121
5,659
6,348
Change in working capital
-68,935
-68,935
-127,155
-111,238
-69,761
Accounts receivable
8,231
8,231
45,518
-59,292
61,328
Inventory
-62,873
-62,873
-64,324
4,551
3,786
Other working capital
166,428
166,428
152,920
39,889
141,072
Other non-cash items
-10,331
-10,331
-322
-2,969
13,991
Net cash provided by operating activites
259,875
259,875
235,604
202,426
210,663
Cash flows from investing activities
Investments in property, plant and equipment
-93,447
-93,447
-82,684
-162,537
-69,591
Acquisitions, net
-92,199
-92,199
-169,000
-360,413
-32,447
Purchases of investments
-6,162
-6,162
-40,518
-48,036
-20,004
Sales/Maturities of investments
61,979
61,979
102,040
65,499
93,775
Other investing activites
-27,440
-27,440
1,039
557
2,068
Net cash used for investing activites
-152,975
-152,975
-184,066
-494,635
199,371
Cash flows from financing activities
Debt repayment
-225,988
-225,988
-14,484
-60,208
-97,520
Common stock repurchased
-193,160
-193,160
-71,386
-55,683
-161,829
Dividends Paid
-30,953
-30,953
-30,712
-30,136
-29,970
Other financing activites
-16,853
-16,853
-8,054
-27,826
-19,773
Net cash used privided by (used for) financing activities
-99,835
-99,835
-18,107
31,027
-204,002
Net change in cash
11,459
11,459
31,589
-264,211
209,010
Cash at beginning of period
190,432
190,432
158,843
423,054
214,044
Cash at end of period
201,891
201,891
190,432
158,843
423,054
Free Cash Flow
Operating Cash Flow
259,875
259,875
235,604
202,426
210,663
Capital Expenditure
-93,447
-93,447
-82,684
-162,537
-69,591
Free Cash Flow
166,428
166,428
152,920
39,889
141,072
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