Oxford Lane Capital Corp.
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 Oxford Lane Capital Corp. generated cash of -$123,794,003, which is less than the previous year. Cash used in financing activities reached the amount of $145,028,253 last year. Net change in cash is therefore $21,234,250.

Cash Flow

Oxford Lane Capital Corp. (NASDAQ:OXLCN): Cash Flow
2016 31.41M -35.49M -18.78M
2018 -71.14M 0 77.46M
2020 -271.22M -394.02M 261.41M
2021 -7.93M -131.94M 87.14M
2023 -91.56M -472.86M 78.63M
2024 -123.79M 0 145.02M

OXLCN Cash Flow Statement (2015 – 2023)

2023 2022 2020 2019 2017 2015
Cash at beginning of period
21.74M34.67M11.66M21.47M14.01M7.73M
Operating activities
Net income
235.10M-171.28M289.93M-291.13M38.00M-85.77M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
000000
Stock-based compensation expense
000000
Deferred income tax benefit 000000
Changes in operating assets and liabilities:
Accounts receivable, net
-5.03M1.73M-6.10M-2.52M566.04K6.71M
Inventories
0163.81K54.65K00324.89K
Accounts payable
4.78M5.22M1.28M2.64M610.89K-621.34K
Cash generated by operating activities
-123.79M-91.56M-7.93M-271.22M-71.14M31.41M
Investing activities
Purchases Of Investments
-597.19M-543.45M-375.19M-497.40M0-145.59M
Investments In Property Plant And Equipment
-400000
Acquisitions Net
000000
Cash generated by investing activities
0-472.86M-131.94M-394.02M0-35.49M
Financing activities
Common Stock Issued
315.16M141.41M114.42M294.05M130.44M65.03M
Payments for dividends
-166.59M-122.53M-75.09M-83.99M-41.51M-37.30M
Repurchases of common stock
00-6.37M-30M-50.50M-44.82M
Repayments of term debt
00-40.21M-2.49M00
Cash used in financing activities
145.02M78.63M87.14M261.41M77.46M-18.78M
Net Change In Cash
21.23M-12.93M79.20M-9.81M6.31M12.63M
Cash at end of period
42.97M21.74M90.86M11.66M20.33M20.36M