Color Star Technology Co., Ltd.
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 Color Star Technology Co., Ltd. generated cash of -$2,780,452, which is more than the previous year. Cash used in financing activities reached the amount of $2,561,197 last year. Net change in cash is therefore -$219,255.

Cash Flow

Color Star Technology Co., Ltd. (NASDAQ:CSCW): Cash Flow
2010 -192.51K -7.09M 6.93M
2011 -2.70M -13.27M 14.11M
2012 -9.84M 12.99M -2.36M
2016 5.86M 4.92M -12.30M
2018 2.45M -138.15K -1.40M
2020 -2.53M -1.39M 4.79M
2021 -2.80M -65.52M 67.51M
2023 -7.87M 0 7.24M
2024 -2.78M 0 2.56M

CSCW Cash Flow Statement (2010 โ€“ 2023)

2023 2022 2020 2019 2017 2015 2012 2011 2010
Cash at beginning of period
239.47K872.31K988.69K347.48K224.67K2.69M1.61M3.30M3.63M
Operating activities
Net income
-26.86M-37.84M-9.63M-5.16M-7.39M-15.80M-6.23M17.06M13.00M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
4.26M5.85M3.71M01.23M1.95M4.38M3.89M2.92M
Stock-based compensation expense
3.86M3.49M5.71M3.44M1.38M498.60K132.64K885.67K595.88K
Deferred income tax benefit 3.86M3.49M5.71M3.44M1.38M498.60K132.64K885.67K595.88K
Changes in operating assets and liabilities:
Accounts receivable, net
-13.01M157.17K-3.19M0-4.64M-31.30M-45.49M-52.82M-28.60M
Inventories
0000218.25K-60.84K-528.79K780.31K-938.08K
Accounts payable
0-500K00-12.83M33.10M14.76M23.46M5.63M
Cash generated by operating activities
-2.78M-7.87M-2.80M-2.53M2.45M5.86M-9.84M-2.70M-192.51K
Investing activities
Purchases Of Investments
0000000-11.88M0
Investments In Property Plant And Equipment
20-66.92M-2M-138.15K-208.11K-398.25K-2.14M-7.17M
Acquisitions Net
0005.27K00000
Cash generated by investing activities
00-65.52M-1.39M-138.15K4.92M12.99M-13.27M-7.09M
Financing activities
Common Stock Issued
1.38M6.51M62.34M4.50M600K00011.11M
Payments for dividends
00000000-543.63K
Repurchases of common stock
00000000-75K
Repayments of term debt
1.18M217.11K0300K-6.51M-18.78M-33.62M-75.56K-4.69M
Cash used in financing activities
2.56M7.24M67.51M4.79M-1.40M-12.30M-2.36M14.11M6.93M
Net Change In Cash
-219.25K-632.84K-814.50K863.80K874.01K-1.68M799.21K-1.69M-333.98K
Cash at end of period
20.21K239.47K174.18K1.21M1.09M1.00M2.40M1.61M3.30M
Data source