Tobii AB (publ) (TBIIF)

USD 0.18

(0.11%)

Annual Cash Flows

(In SEK)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 95 Million 137 Million -23 Million 189 Million -13.4 Million -13 Million
Net Income -199 Million -99 Million -181 Million -166.2 Million -161.8 Million -165.9 Million
Depreciation & Amortization 42 Million 149 Million 160 Million 219.3 Million 170.4 Million 163.1 Million
Deferred income taxes - -2.2 Million -4.09 Million -1.5 Million -300 Thousand -
Stock-based compensation 3.3 Million 2.2 Million 4.09 Million 1.5 Million 300 Thousand 300 Thousand
Change in working capital 132 Million 96 Million 11 Million 113 Million -31.2 Million 7.8 Million
Other non-cash items 72 Million -9 Million -13 Million 22.9 Million 9.2 Million -18 Million
Investing Cash Flow -229 Million -169 Million -300 Million -94 Million -250.3 Million -396.3 Million
Investments in PPE -214 Million -174 Million -129 Million -198.1 Million -248.5 Million -223.1 Million
Acquisitions -15 Million - -172 Million 105 Million -1.5 Million -158.8 Million
Investment purchases - - - -900 Thousand -300 Thousand -1.4 Million
Sales/Maturities of investments - 5 Million - 166.5 Million 213.2 Million -204.2 Million
Other Investing Activities -202 Million -1 Million 1 Million -166.5 Million -213.2 Million 191.2 Million
Financing Cash Flow -29 Million -8 Million 156 Million 148.3 Million 275.1 Million 47.8 Million
Debt repayment -3 Million -1 Million -450 Million -171 Million -293.2 Million -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance - 21 Million 336 Million 3.5 Million 6.6 Million 47.8 Million
Other Financing Activities 1 Million -28 Million 270 Million 315.8 Million 561.7 Million 47.8 Million
Accounts receivables 25 Million 6 Million -92 Million 95 Million -56.5 Million -41.2 Million
Accounts payables 112 Million 99 Million 110 Million -4 Million 38.2 Million 73.1 Million
Inventory -5 Million -9 Million -7 Million 5.3 Million -12.9 Million -24 Million
Other working capital 132 Million 99 Million 110 Million 16.7 Million 38.2 Million 31.8 Million
Cash at beginning of period 402 Million 438 Million 410 Million 185.2 Million 192.3 Million 536.8 Million
Cash at end of period 192 Million 402 Million 438 Million 409.6 Million 208.4 Million 192.3 Million
Capital Expenditure -214 Million -174 Million -129 Million -198.1 Million -248.5 Million -223.1 Million
Effect of forex changes on cash -3 Million 5 Million 7 Million -15.9 Million 4.8 Million 4 Million
Net cash flow / Change in cash -210 Million -36 Million 28 Million 224.4 Million 16.1 Million -344.5 Million
Free Cash Flow -119 Million -37 Million -152 Million -9.1 Million -261.9 Million -236.1 Million

Cash Flow Charts