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Taro Pharmaceutical Industries Ltd. (TARO)

NYSE - Nasdaq Real Time Price. Currency in USD
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42.25-0.01 (-0.02%)
As of 10:25AM EDT. Market open.
Annual

Cash Flow

All numbers in thousands
Breakdown
ttm
2023-03-31
2022-03-31
2021-03-31
2020-03-31
Cash flows from operating activities
Net Income
45,702
25,445
58,266
-386,653
244,241
Depreciation & amortization
33,679
32,127
25,915
23,680
21,383
Deferred income taxes
17,379
16,802
23,200
-38,413
7,584
Change in working capital
66,218
-37,907
-279,027
460,659
10,649
Accounts receivable
53,431
37,482
-6,229
21,683
2,724
Inventory
7,208
-16,922
-2,069
-27,219
-4,994
Accounts Payable
-
1,649
-2,129
32,308
-6,202
Other working capital
86,001
11,903
-270,016
28,618
243,191
Other non-cash items
-
-15,292
-
-
-
Net cash provided by operating activites
142,868
31,750
-158,698
45,770
271,605
Cash flows from investing activities
Investments in property, plant and equipment
-56,867
-19,847
-111,318
-17,152
-28,414
Purchases of investments
-1,253,945
-972,155
-875,789
-1,132,501
-1,222,190
Sales/Maturities of investments
1,053,253
866,446
809,119
1,217,386
952,421
Other investing activites
-
-
-99,275
8
21
Net cash used for investing activites
148,213
-125,556
-170,581
67,741
-298,162
Cash flows from financing activities
Common stock repurchased
-
0
-24,934
-24,196
-26,984
Dividends Paid
-
-
-
0
0
Net cash used privided by (used for) financing activities
-
0
-24,934
-24,196
-26,984
Net change in cash
290,436
-96,639
-354,043
91,823
-54,097
Cash at beginning of period
91,973
251,134
605,177
513,354
567,451
Cash at end of period
383,054
154,495
251,134
605,177
513,354
Free Cash Flow
Operating Cash Flow
142,868
31,750
-158,698
45,770
271,605
Capital Expenditure
-56,867
-19,847
-111,318
-17,152
-28,414
Free Cash Flow
86,001
11,903
-270,016
28,618
243,191