Trinity Capital Inc. 7.875% Notes Due 2029 (TRINI)

USD 25.26

(-0.63%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019
Operating Cash Flow -96.26 Million 54.91 Million 23.9 Million 20.7 Million -
Net Income 76.89 Million -30.37 Million 132.32 Million -6.11 Million -1.25 Million
Depreciation & Amortization 4.28 Million - - 50 Thousand -
Deferred income taxes - - - - -
Stock-based compensation 8.79 Million 6.06 Million 1.06 Million - -
Change in working capital -10.44 Million 5.69 Million 731 Thousand 6.04 Million 336 Thousand
Other non-cash items -175.78 Million 77.02 Million -113.26 Million 17.17 Million 921.6 Thousand
Investing Cash Flow -2.74 Million -290.85 Million -266.77 Million -170.9 Million -
Investments in PPE -2.74 Million -194 Thousand -1.2 Million -253 Thousand -
Acquisitions - - - -91.72 Million -
Investment purchases -632.75 Million -627.21 Million -555.74 Million -239.82 Million -
Sales/Maturities of investments 471.92 Million 336.55 Million 290.17 Million 160.9 Million -
Other Investing Activities - - - - -
Financing Cash Flow 93.15 Million 199.8 Million 228.51 Million 211.3 Million -
Debt repayment -25.5 Million -150.85 Million -148.79 Million -107.18 Million -
Dividends payments -78.8 Million -61.15 Million -24.92 Million -10.35 Million -
Common Stock Repurchased -3.82 Million -2 Million -138 Thousand - -
Common Stock Issuance 150.27 Million 113.14 Million 104.78 Million 114.47 Million -
Other Financing Activities 150.27 Million -1.02 Million -138 Thousand 102.96 Million -
Accounts receivables -1.25 Million -2.6 Million -2.08 Million -2.35 Million -
Accounts payables 4.98 Million 5.17 Million 6.2 Million 6 Million -
Inventory - - - - -
Other working capital -9.19 Million 3.12 Million -3.38 Million 2.39 Million 336 Thousand
Cash at beginning of period 10.61 Million 46.74 Million 61.1 Million - -
Cash at end of period 4.76 Million 10.61 Million 46.74 Million 61.1 Million -
Capital Expenditure -2.74 Million -194 Thousand -1.2 Million -253 Thousand -
Effect of forex changes on cash - - - - -
Net cash flow / Change in cash -5.85 Million -36.13 Million -14.35 Million 61.1 Million -
Free Cash Flow -99 Million 54.72 Million 22.69 Million 20.44 Million -

Cash Flow Charts