F5, Inc. (FFV.DE)

EUR 297.7

(0.4%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 653.4 Million 442.63 Million 645.19 Million 660.89 Million 747.84 Million 761.06 Million
Net Income 394.94 Million 322.16 Million 331.24 Million 307.44 Million 427.73 Million 453.68 Million
Depreciation & Amortization 112.7 Million 115.6 Million 115.42 Million 95.85 Million 68.5 Million 59.49 Million
Deferred income taxes -108.52 Million -40.24 Million -76.93 Million 7.29 Million 7.44 Million 20.81 Million
Stock-based compensation 236.65 Million 249.21 Million 243.27 Million 201.94 Million 162.91 Million 157.85 Million
Change in working capital -25.72 Million -250.28 Million -47.62 Million -2.57 Million 65.1 Million 68.02 Million
Other non-cash items 43.35 Million 46.17 Million 79.81 Million 50.93 Million 16.14 Million 79.6 Million
Investing Cash Flow 36.39 Million 218.11 Million -445.33 Million -747 Million -414.63 Million -455.98 Million
Investments in PPE -54.18 Million -33.62 Million -30.65 Million -59.94 Million -103.54 Million -53.46 Million
Acquisitions -35.04 Million -67.91 Million -411.31 Million -955.57 Million -611.55 Million -
Investment purchases -1.78 Million -61.28 Million -472.16 Million -584.24 Million -602.98 Million -855.42 Million
Sales/Maturities of investments 127.41 Million 380.93 Million 468.8 Million 852.75 Million 903.44 Million 451.86 Million
Other Investing Activities 125.62 Million 319.65 Million -3.36 Million 268.51 Million 300.45 Million 36 Thousand
Financing Cash Flow -653.29 Million -476.5 Million -468.28 Million 337.24 Million -155.44 Million -551.26 Million
Debt repayment -350 Million -20 Million -20 Million -10 Million - -
Dividends payments - - - - - -
Common Stock Repurchased -350.04 Million -500.02 Million -500 Million -100.01 Million -201.04 Million -600.08 Million
Common Stock Issuance - - - - - -
Other Financing Activities 46.75 Million 43.51 Million 51.72 Million 447.25 Million 45.59 Million 48.81 Million
Accounts receivables 16.7 Million -130.6 Million -46.28 Million 46.5 Million -18.3 Million -4.88 Million
Accounts payables -156.66 Million - -223.61 Million -91.09 Million -23.48 Million 22.63 Million
Inventory 32.49 Million -46.31 Million 5.84 Million 6.5 Million -3.83 Million -734 Thousand
Other working capital 81.74 Million -73.37 Million 216.43 Million 35.51 Million 110.71 Million 51.01 Million
Cash at beginning of period 762.2 Million 584.33 Million 852.82 Million 602.25 Million 425.89 Million 673.22 Million
Cash at end of period 800.83 Million 762.2 Million 584.33 Million 852.82 Million 602.25 Million 424.7 Million
Capital Expenditure -54.18 Million -33.62 Million -30.65 Million -59.94 Million -103.54 Million -53.46 Million
Effect of forex changes on cash 2.12 Million -6.36 Million -74 Thousand -567 Thousand -1.4 Million -2.33 Million
Net cash flow / Change in cash 38.62 Million 177.87 Million -268.49 Million 250.57 Million 176.36 Million -248.52 Million
Free Cash Flow 599.22 Million 409 Million 614.54 Million 600.95 Million 644.29 Million 707.6 Million

Cash Flow Charts