First Eagle Alternative Capital BDC
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 First Eagle Alternative Capital BDC generated cash of $92,298,000, which is more than the previous year. Cash used in financing activities reached the amount of -$84,987,000 last year. Net change in cash is therefore $7,403,000.

Cash Flow

First Eagle Alternative Capital BDC, Inc. (NYSE:FCRX): Cash Flow
2013 -210.49M -242.31M 213.50M
2015 -130.30M 19.11M 135.06M
2016 -78.42M -74.78M 78.78M
2017 11.70M -100.08M 92.50M
2018 -164.55M -181.45T 165.70M
2019 29.52M -232.51M 205.99M
2020 -61.79M -106.29M 63.22M
2021 -157.65M -186.10B 166.32M
2022 58.38M -30.43M -34.40M
2023 92.29M 30.48M -84.98M

FCRX Cash Flow Statement (2013 – 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2013
Cash at beginning of period
17.06M23.52M14.84M13.42M10.36M9.27M5.11M4.76M2.65M4.81M
Operating activities
Net income
83.83M15.54M83.63M54.67M29.27M8.11M9.05M11.76M-2.15M0
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
2.1M48.61M-13.95B-30.52M12.49M6.97T31.62M-5.85T17.87M-769K
Stock-based compensation expense
0000000000
Deferred income tax benefit 0000000000
Changes in operating assets and liabilities:
Accounts receivable, net
-4.30M11.68M-17.76M524K-1.62M-26.72K1.12M-2.04M-429.61K0
Inventories
00220K236K000000
Accounts payable
2.11M-3.07M8.88M524K-59.59K66.77K255.39K647.22K336.18K0
Cash generated by operating activities
92.29M58.38M-157.65M-61.79M29.52M-164.55M11.70M-78.42M-130.30M-210.49M
Investing activities
Purchases Of Investments
-200.69M-307.99M-647.37B-352.39M-378.34M-291.15T-154.20M-135.60M-184.13M-411.13M
Investments In Property Plant And Equipment
0000000000
Acquisitions Net
000-12.88M000000
Cash generated by investing activities
30.48M-30.43M-186.10B-106.29M-232.51M-181.45T-100.08M-74.78M19.11M-242.31M
Financing activities
Common Stock Issued
0052.10M44.29M145.80M95M44.89M45M81.34M110.96M
Payments for dividends
-64.55M-55.28M-47.72M-42.63M-24.53M-13.48M-8.25M-5.37M-149.86K0
Repurchases of common stock
0-677K0-2.20M-15.43M0-2.49M0-500K0
Repayments of term debt
-16.57M21.10M-161.40M-336.08M87.50M-137.3M56.5M-81.3M00
Cash used in financing activities
-84.98M-34.40M166.32M63.22M205.99M165.70M92.50M78.78M135.06M213.50M
Net Change In Cash
7.40M-6.45M8.67M1.42M3.05M1.09M4.15M351.76K2.11M3.01M
Cash at end of period
24.47M17.06M23.52M14.84M13.42M10.36M9.27M5.11M4.76M7.82M
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