Taboola.com Ltd. (TBLAW)
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At close: undefined
0.40
-0.10%
After-hours Dec 13, 2024, 03:17 PM EST

Cashflow (Annual)

Get detailed ratio statement breakdowns, uncovering price to free cash flow ratio, price per earnings, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18
Net Income -82.04M -11.97M -24.95M 8.49M -28.02M 10.66M
Depreciation & Amortization 96.51M 91.22M 53.11M 33.96M 39.36M 35.27M
Stock-Based Compensation 64.33M 74.92M 127.96M 28.28M 8.25M 10.45M
Other Working Capital 33.27M -36.62M -51.81M 54.40M -16.97M 17.18M
Other Non-Cash Items 833.00K -18.66M -24.57M -2.80M -615.00K 5.97M
Deferred Income Tax -15.50M -17.33M -1.58M -3.38M -239.00K -359.00K
Change in Working Capital 20.23M -64.69M -66.44M 74.54M -678.00K 14.99M
Operating Cash Flow 84.37M 53.48M 63.52M 139.09M 18.06M 76.98M
Capital Expenditures -32.13M -34.91M -39.07M -17.77M -44.33M -32.16M
Acquisitions - -7.98M -583.46M -202.00K -3.97M -
Purchase of Investments -21.99M -126.38M -2.07M -28.96M - -
Sales Maturities Of Investments 114.49M 29.62M 2.07M 28.96M 1.41M -
Other Investing Acitivies -730.00K 91.00K 2.07M 28.86M -583.00K -6.78M
Investing Cash Flow 59.64M -139.56M -620.46M 10.88M -47.47M -38.94M
Debt Repayment -82.25M -64.26M 288.00M - - -
Common Stock Repurchased -55.51M -5.75M - - - -
Dividend Paid - - - - - -
Other Financial Acitivies 3.15M 1.39M 57.75M 2.60M 991.00K -12.16M
Financial Cash Flow -134.61M -62.87M 631.13M 2.60M 991.00K -12.16M
Net Cash Flow 10.21M -153.43M 76.51M 155.89M -27.96M 23.77M
Free Cash Flow 52.24M 18.57M 24.45M 121.31M -26.27M 44.82M