Hologic
Cash Flow

Last updated:

Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of Hologic generated cash of $1,285,200,000, which is more than the previous year. Cash used in financing activities reached the amount of -$1,108,600,000 last year. Net change in cash is therefore -$562,300,000.

Cash Flow

Hologic, Inc. (LSE:0J5Q.L): Cash Flow
2015 796.8M -86.1M -947.4M
2016 798.2M -68.4M -670.7M
2017 8.3M 285.8M -309.2M
2018 732.9M -195.2M -404.8M
2019 649.5M -280.7M -431.5M
2020 896.6M -143.4M -658.1M
2021 2.33B -1.33B -521.29M
2022 2.12B -206.3M -756M
2023 1.05B -152.1M -483.2M
2024 1.28B -781M -1.10B

0J5Q.L Cash Flow Statement (2015 โ€“ 2024)

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Cash at beginning of period
2.72B2.33B1.17B701M601.8M666.7M540.6M548.4M491.3M736.1M
Operating activities
Net income
789.5M456M1.30B1.87B1.11B-203.6M-111.3M755.5M330.8M131.6M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
309M323.4M430.1M406.9M376M463M480.3M449.2M459.2M491.4M
Stock-based compensation expense
079.6M66.7M65M83.3M62M068.2M65.4M59.3M
Deferred income tax benefit 079.6M66.7M65M83.3M62M068.2M65.4M59.3M
Changes in operating assets and liabilities:
Accounts receivable, net
41M-1.5M272.3M110.9M-427.1M-76.5M-38.2M-41.5M-31.8M-30.3M
Inventories
-47.4M-4.9M-136.6M-84.1M-25.3M-63M-50.6M-11.6M7.6M43.9M
Accounts payable
22.2M-23M-14.4M20.4M-4.9M-5.5M0-10.6M00
Cash generated by operating activities
1.28B1.05B2.12B2.33B896.6M649.5M732.9M8.3M798.2M796.8M
Investing activities
Purchases Of Investments
-310.2M-10M000-21.2M0000
Investments In Property Plant And Equipment
-140.2M-150.2M-127.2M-162.7M-156.4M-113.6M-105.6M-107.6M-94.5M-89.4M
Acquisitions Net
-328.6M-5M-83.6M-1.17B18.1M-110.6M0306.9M00
Cash generated by investing activities
-781M-152.1M-206.3M-1.33B-143.4M-280.7M-195.2M285.8M-68.4M-86.1M
Financing activities
Common Stock Issued
37.8M43M33.5M51.3M65.59M49.8M049M00
Payments for dividends
0000000000
Repurchases of common stock
-835.1M-498.8M-542.1M-409.8M-653.6M-200.1M-292.5M-200.1M-266.39M-12.9M
Repayments of term debt
-291.3M-19M-212.3M-113.4M-31.5M-260.39M-2.94B-136.5M-467.8M-1.14B
Cash used in financing activities
-1.10B-483.2M-756M-521.29M-658.1M-431.5M-404.8M-309.2M-670.7M-947.4M
Net Change In Cash
-562.3M416.2M1.16B469.3M99.2M-64.9M126.1M-7.8M57.1M-244.8M
Cash at end of period
2.16B2.75B2.33B1.17B701M601.8M666.7M540.6M548.4M491.3M
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