Vicinity Motor Corp. (VEV)

USD 0.02

(-58.3%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -24.69 Million -9.08 Million 3.59 Million -6 Million -2.89 Million 2.15 Million
Net Income -16.63 Million -17.94 Million -7.32 Million -3.45 Million -3.81 Million 696.71 Thousand
Depreciation & Amortization 1.41 Million 2.96 Million 1.24 Million 774.02 Thousand 776.04 Thousand 538.15 Thousand
Deferred income taxes 877 Thousand - 200 Thousand -291.72 Thousand -153.29 Thousand -638.32 Thousand
Stock-based compensation 929 Thousand 1.38 Million 1.35 Million 738 Thousand 490.14 Thousand 1.16 Million
Change in working capital -16.32 Million 1 Million 7.4 Million -4.36 Million -724.17 Thousand -432.32 Thousand
Other non-cash items 5.03 Million 3.51 Million 716 Thousand 572.47 Thousand 536.93 Thousand 818.42 Thousand
Investing Cash Flow -1.94 Million -10.69 Million -23.12 Million -899.49 Thousand -133.96 Thousand -431.18 Thousand
Investments in PPE -2.39 Million -11.76 Million -24.13 Million -1.11 Million -363.26 Thousand -431.18 Thousand
Acquisitions 16.29 Thousand 242.01 Thousand 722.58 Thousand 215.07 Thousand 234.49 Thousand -
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities 430.7 Thousand 826.98 Thousand 290.41 Thousand -979.22 -5191.95 -
Financing Cash Flow 27.01 Million 17.36 Million 22.94 Million 7.33 Million 1.57 Million -3.01 Million
Debt repayment -26.78 Million -447 Thousand -6.88 Million -1.04 Million -301.39 Thousand -4.3 Million
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 867 Thousand 18.52 Million 24.08 Million 7.09 Million 95.69 Thousand 1.1 Million
Other Financing Activities -635 Thousand -708 Thousand 5.74 Million 1.28 Million 1.77 Million 189.39 Thousand
Accounts receivables -3.06 Million -223.76 Thousand 466.85 Thousand 3.91 Million 3.47 Million -
Accounts payables 4.41 Million -1.56 Million -2.7 Million 3.92 Million -1.07 Million -
Inventory -12.75 Million -1.21 Million 14.07 Million -10.35 Million -2.5 Million 1.04 Million
Other working capital -4.93 Million 4 Million -4.42 Million -1.83 Million -610.31 Thousand -1.47 Million
Cash at beginning of period 1.62 Million 4.4 Million 1 Million 593.65 Thousand 2.09 Million 3.1 Million
Cash at end of period 2.02 Million 1.62 Million 4.4 Million 1 Million 579.71 Thousand 2 Million
Capital Expenditure -2.39 Million -11.76 Million -24.13 Million -1.11 Million -363.26 Thousand -431.18 Thousand
Effect of forex changes on cash 32 Thousand -368 Thousand -25 Thousand -23.52 Thousand -61.41 Thousand 195.6 Thousand
Net cash flow / Change in cash 404 Thousand -2.78 Million 3.39 Million 412.49 Thousand -1.51 Million -1.09 Million
Free Cash Flow -27.08 Million -20.84 Million -20.53 Million -7.11 Million -3.25 Million 1.72 Million

Cash Flow Charts