American Coastal Insurance
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 American Coastal Insurance generated cash of -$136,003,000, which is more than the previous year. Cash used in financing activities reached the amount of $26,769,000 last year. Net change in cash is therefore -$111,778,000.

Cash Flow

American Coastal Insurance Corporation (NASDAQ:ACIC): Cash Flow
2014 68.91M -91.46M 49.05M
2015 98.31M -67.01M -7.90M
2016 65.74M -49.75M 49.91M
2017 14.30M -7.34M 118.62M
2018 10.11M -125.64M 23.36M
2019 149.01M -33.97M -12.09M
2020 -10.47M 36.56M -11.65M
2021 -295.39M 251.37M -12.20M
2022 -173.11M 236.83M -25.39M
2023 -136.00M -2.54M 26.76M

ACIC Cash Flow Statement (2014 – 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
283.61M245.27M301.49M287.05M184.12M276.27M150.68M84.78M61.39M34.88M
Operating activities
Net income
309.91M-469.96M-59.86M-95.49M-29.48M394K10.14M5.69M27.35M41.01M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
10.62M23.31M11.76M11.04M11.99M18.48M37.53M11.71M3.32M801K
Stock-based compensation expense
1.31M1.38M1.18M1.38M3.00M2.41M2.61M1.94M1.97M649K
Deferred income tax benefit 1.31M1.38M1.18M1.38M3.00M2.41M2.61M1.94M1.97M649K
Changes in operating assets and liabilities:
Accounts receivable, net
16.04M-641.08M-167.72M-271.38M84.55M-251.12M-356.96M-13.05M-9.47M-5.00M
Inventories
000296.10M000000
Accounts payable
-44.82M-190.48M-7.92M88.08M-1.59M50.60M42.72M36.39M18.29M5.77M
Cash generated by operating activities
-136.00M-173.11M-295.39M-10.47M149.01M10.11M14.30M65.74M98.31M68.91M
Investing activities
Purchases Of Investments
-53.24M-35.46M-270.91M-797.45M-276.58M-372.17M-205.72M-201.23M-270.14M-305.01M
Investments In Property Plant And Equipment
-196K-3.04M-5.27M-10.84M-21.89M-4.06M-5.23M-3.14M-10.91M-6.34M
Acquisitions Net
-231.95M21.23M-256.64M500M12.08M095.28M-32.89M14.46M0
Cash generated by investing activities
-2.54M236.83M251.37M36.56M-33.97M-125.64M-7.34M-49.75M-67.01M-91.46M
Financing activities
Common Stock Issued
26.79M25K39K25K296K000054.04M
Payments for dividends
0-2.58M-10.35M-10.31M-10.28M-10.26M-8.99M-4.97M-4.30M-3.33M
Repurchases of common stock
0-25K-39K-25K-296K-418K-287K-270K-185K-367K
Repayments of term debt
0-4.44M-1.81M-1.22M-1.52M-1.52M109.92M-1.37M-3.42M-1.17M
Cash used in financing activities
26.76M-25.39M-12.20M-11.65M-12.09M23.36M118.62M49.91M-7.90M49.05M
Net Change In Cash
-111.77M38.33M-56.22M14.44M102.93M-92.15M125.58M65.90M23.39M26.50M
Cash at end of period
171.83M283.61M245.27M301.49M287.05M184.12M276.27M150.68M84.78M61.39M
Data source