Oxford Lane Capital Corp. 8.75% Notes due 2030 (OXLCI)

25.6

(0.33%)

Annual Cash Flows

(In USD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -123.79 Million 381.29 Million 547.45 Million 124 Million 122.79 Million 91.55 Million
Net Income 235.1 Million -171.28 Million 125.87 Million 289.93 Million -291.13 Million -20.98 Million
Depreciation & Amortization 2.47 Million - - - - -
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital 2.41 Million 6.7 Million -3.9 Million -4.54 Million 174.16 Thousand -3.31 Million
Other non-cash items -363.79 Million 538.91 Million 429.1 Million -156.56 Million 413.63 Million 118.7 Million
Investing Cash Flow -546.96 Million -472.86 Million -932.95 Million -131.94 Million -394.02 Million -174.95 Million
Investments in PPE -4.00 - - - - -
Acquisitions - - - - - -
Investment purchases -597.19 Million -543.45 Million -1.21 Billion -375.19 Million -497.4 Million -504.13 Million
Sales/Maturities of investments 50.23 Million 70.59 Million 285.93 Million 243.24 Million 103.38 Million 329.17 Million
Other Investing Activities - - - - - -
Financing Cash Flow 145.02 Million 78.63 Million 329.3 Million 87.14 Million 261.41 Million 84.53 Million
Debt repayment - -63.7 Million -103.17 Million -56.33 Million -2.49 Million -
Dividends payments -166.59 Million -122.53 Million -85.6 Million -75.09 Million -83.99 Million -54.23 Million
Common Stock Repurchased - - - -6.37 Million -30 Million -
Common Stock Issuance 311.81 Million 203.56 Million 310.62 Million 112.28 Million 377.89 Million 138.77 Million
Other Financing Activities 311.62 Million 201.16 Million 314.9 Million 62.23 Million 345.4 Million -
Accounts receivables -4.25 Million 1.73 Million -6.3 Million -6.1 Million -2.52 Million -3.29 Million
Accounts payables 4.78 Million 5.22 Million 2.68 Million 1.28 Million 2.64 Million 440.56 Thousand
Inventory - - - - - -
Other working capital 6.67 Million -262.81 Thousand -288.21 Thousand 276.82 Thousand 51.27 Thousand -461.75 Thousand
Cash at beginning of period 21.74 Million 34.67 Million 90.86 Million 11.66 Million 21.47 Million 20.33 Million
Cash at end of period 42.97 Million 21.74 Million 34.67 Million 90.86 Million 11.66 Million 21.47 Million
Capital Expenditure -4.00 - - - - -
Effect of forex changes on cash - - - - - -
Net cash flow / Change in cash 21.23 Million -12.93 Million -56.19 Million 79.2 Million -9.81 Million 1.13 Million
Free Cash Flow -123.79 Million 381.29 Million 547.45 Million 124 Million 122.79 Million 91.55 Million

Cash Flow Charts