Glass House Brands Inc. (GHBWF)

USD 0.47

(34.29%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019
Operating Cash Flow 23.64 Million -40.8 Million -20.28 Million -7.69 Million 3.07 Million
Net Income -100.07 Million -35.59 Million -44.36 Million -16.65 Million 2.89 Million
Depreciation & Amortization 14.89 Million 12.3 Million 4.76 Million 2.57 Million -
Deferred income taxes 1.54 Million -2.62 Million -89.76 Thousand 1.33 Million -730.01 Thousand
Stock-based compensation - 12.75 Million 8.7 Million 2.54 Million -
Change in working capital 14.11 Million -3.82 Million 1.93 Million -2.64 Million 910.2 Thousand
Other non-cash items 114.63 Million -23.81 Million 8.76 Million 5.15 Million -
Investing Cash Flow -12.94 Million -29.2 Million -111.5 Million -7.71 Million -415.23 Million
Investments in PPE -12.53 Million -27.76 Million -108.49 Million -3.85 Million -
Acquisitions - 2.28 Million -1.07 Million -3.06 Million -
Investment purchases -185.84 Thousand -493 Thousand -780.57 Thousand -3.14 Million -415.23 Million
Sales/Maturities of investments - 3.49 Million 1.12 Million 3.48 Million -
Other Investing Activities -226.21 Thousand -6.71 Million -2.27 Million -1.14 Million -
Financing Cash Flow 8.01 Million 30.08 Million 181.31 Million 17.32 Million 416.37 Million
Debt repayment -933.85 Thousand -9.88 Million -954.09 Thousand -1.14 Million -
Dividends payments -6.44 Million -3.84 Million -1.78 Million - -
Common Stock Repurchased - -772.71 Thousand - - -
Common Stock Issuance 15.58 Million 303.69 Thousand 125.85 Million - 423.03 Million
Other Financing Activities -185.49 Thousand 44.43 Million 58.2 Million 18.46 Million -6.66 Million
Accounts receivables -174.96 Thousand -2.01 Million 2.18 Million -3.54 Million -
Accounts payables 6.09 Million 559.5 Thousand 3.24 Million 1.88 Million -
Inventory 2.4 Million -1.53 Million 612.98 Thousand -3.76 Million -
Other working capital 5.78 Million -835.14 Thousand -4.1 Million 2.77 Million 910.2 Thousand
Cash at beginning of period 14.13 Million 54.06 Million 4.53 Million 2.63 Million -95.95 Thousand
Cash at end of period 32.35 Million 14.14 Million 54.06 Million 4.53 Million 4.12 Million
Capital Expenditure -12.53 Million -27.76 Million -108.49 Million -3.85 Million -
Effect of forex changes on cash -497.07 Thousand - - - 0.61
Net cash flow / Change in cash 18.22 Million -39.92 Million 49.53 Million 1.9 Million 4.22 Million
Free Cash Flow 11.11 Million -68.57 Million -128.78 Million -11.54 Million 3.07 Million

Cash Flow Charts