Semtech Corporation

NASDAQ: SMTC · Real-Time Price · USD
49.83
-0.69 (-1.37%)
At close: Aug 15, 2025, 3:59 PM
49.80
-0.06%
After-hours: Aug 15, 2025, 07:49 PM EDT

Semtech Cash Flow Statement

Financials in USD. Fiscal year is February - January.
Fiscal Year Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Apr 27, 2025 Jan 26, 2025 Oct 27, 2024 Jul 28, 2024 Apr 28, 2024 Jan 28, 2024 Oct 29, 2023 Jul 30, 2023 Apr 30, 2023 Jan 29, 2023 Oct 30, 2022 Jul 31, 2022 May 1, 2022 Jan 30, 2022 Oct 31, 2021 Aug 1, 2021 May 2, 2021 Jan 31, 2021 Oct 25, 2020 Jul 26, 2020 Apr 26, 2020
Net Income
-119.44M -161.94M -843.4M -874.07M -1.09B -1.09B -500.69M -439.69M -6.09M 61.37M 147.18M 158.86M 140.19M 125.64M 106.48M 90.54M 73.73M 59.87M 39.84M 38.96M 28.2M
Depreciation & Amortization
48.97M 49.37M 48.15M 60.87M 70.23M 84.45M 85.16M 69.44M 54.24M 36.89M 35.12M 35.2M 35.63M 35.3M 37.63M 36.98M 35.79M 35.86M 33.52M 35.32M 37.3M
Stock-Based Compensation
59.64M 68.04M 62.61M 50.74M 47M 40.17M 40.36M 36.91M 36.76M 39.25M 37.72M 51.98M 50.24M 51.19M 57.58M 53.78M 55.45M 52.99M 59.41M 54.64M 50.1M
Other Working Capital
-26.91M -16.42M 14.65M -66.44M -37.29M -27.45M -21.85M 21.69M 46.73M 24.58M 14.94M 27.88M 17.87M 20.09M 14.46M -14.19M -18.92M -16.42M -1.24M 10.72M 3.42M
Other Non-Cash Items
150.48M 195.82M 796.52M 823.13M 958.09M 914.61M 302.57M 292.71M 6.41M 3.57M 878K 1.65M 1.65M 4.4M 7.38M 9.81M 12.73M 13.46M 14.1M 13.72M 10.01M
Deferred Income Tax
-18.38M -21.67M -16.66M -10.84M 43.09M 40.64M 38.72M 35.02M -20.34M -15.26M 141K -4.24M -2.01M -3.78M -1.81M -468K -7.24M -7.4M -14.53M -15.06M -6.01M
Change in Working Capital
-34.55M -28.33M 34.5M -4.37M 5.82M -81.76M -92.76M -97M -65.61M 19.58M -5.85M 20.11M -5.13M -9.63M -27.86M -49.41M -45.03M -35.84M 4.59M 14.24M 18.36M
Operating Cash Flow
85.9M 57.16M 37.59M 2.16M -4.85M -93.92M -126.64M -102.61M -13.33M 126.71M 196.5M 244.85M 220.59M 203.12M 179.39M 141.23M 125.43M 118.93M 136.93M 141.82M 137.96M
Capital Expenditures
-7.77M -8.25M -8.08M -19.67M -19.78M -31.1M -33.92M -33.93M -33.98M -28.32M -30.74M -29.03M -28.74M -26.18M -29.01M -30.83M -30.82M -32.73M -24.45M -20.8M -15.47M
Cash Acquisitions
n/a n/a 2K 368K 410K 410K -1.24B -1.24B -1.21B -1.21B 26.35M 26.88M 78K 110K 82K 42K 32K n/a n/a n/a n/a
Purchase of Investments
-434K -434K -434K -434K -500K -930K -930K -4.39M -5.18M -6.75M -9.16M -8.36M -7.32M -8.24M -5.83M -7.43M -9.98M -10.94M -12.98M -10.63M -14.89M
Sales Maturities Of Investments
259K 2.37M 2.37M 2.65M 2.61M -42K -42K -42K 2.27M 2.27M 2.27M 2.27M n/a n/a 51K 51K 51K 51K n/a n/a n/a
Other Investing Acitivies
-10.4M -4.64M 6.95M 7.49M 10.65M 8.42M 2M 2.15M 27.41M 25.84M 25.86M 19.87M -7.92M -5.89M -5.55M -3.84M -3.51M -7.43M -7.77M -3.33M -3.65M
Investing Cash Flow
-18.75M -11.89M -516K -5.79M -6.5M -22.7M -1.27B -1.28B -1.25B -1.25B -11.25M -14.23M -41.98M -40.32M -40.34M -37.8M -40M -42.91M -37.06M -30.87M -30.12M
Debt Repayment
-666.41M -656.41M -10M -12.33M -3.52M 36.48M 936.48M 1.24B 1.22B 1.19B 292.5M -4M 6M -8M -8M -12M -16M -16M -15.31M -15.99M -16.68M
Common Stock Repurchased
2.42M n/a -1.24M -8.48M -7.53M -6.71M -5.48M -2.42M -2.65M -51.05M -83.79M -113.79M -154.75M -129.75M -102M -96.05M -66.43M -71.43M -94.02M -92.5M -100.11M
Dividend Paid
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Financial Acitivies
628.59M 634.75M -14.61M -12.1M -17.75M -20.82M -25.21M -73.26M -67.1M -60.41M -49.23M -9.81M -10.03M -16.67M -17.05M -18.62M -16.46M -16.02M -14.33M -9.73M -10.29M
Financial Cash Flow
-37.82M -20.84M -25.02M -27.9M -25.55M 10.55M 907.41M 1.17B 1.15B 1.08B 155.95M -131.13M -161.65M -152.1M -124.72M -122.23M -96.16M -100.45M -120.66M -117.33M -126.19M
Net Cash Flow
29.7M 23.16M 12.68M -31.98M -37.42M -106.92M -493.98M -214.24M -110.99M -44.09M 341.2M 99.49M 16.96M 10.71M 14.33M -18.8M -10.73M -24.43M -20.79M -6.38M -18.36M
Free Cash Flow
78.95M 49.73M 30.33M -17.51M -24.63M -125.02M -160.56M -136.54M -47.31M 98.39M 165.75M 215.82M 191.85M 176.94M 150.38M 110.4M 94.61M 86.2M 112.48M 121.02M 122.49M