7Baggers
2026-01-312025-10-312025-07-312025-04-302025-01-312024-10-312024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-31
  net cash from operating activities4.37M21.01M-1.04M52.27M-3.40M-7.17M2.30M42.00M-6.18M-22.23M-11.90M-28.06M-22.07M-59.74M-62.13M-49.35M-5.58M-17.21M
  depreciation, depletion and amortization2.05M2.23M
  stock-based compensation79.71M75.34M73.88M68.66M74.11M70.19M64.68M58.55M53.56M54.91M52.85M55.55M46.15M45.69M41.00M31.63M25.70M27.36M
  change in accounts receivable90.38M18.09M24.17M-80.58M71.15M9.28M21.65M-80.91M80.80M9.08M-4.34M-23.58M31.74M13.18M14.30M-14.78M32.76M15.98M
  change in accounts payable308.00K-235.00K-11.86M13.40M-1.57M2.96M-2.36M2.37M-6.43M891.00K-83.00K1.13M5.05M-7.47M1.01M5.08M3.58M-550.00K
  change in other operating liabilities572.00K-2.51M1.73M1.04M445.00K623.00K-767.00K-2.29M6.98M-9.94M1.50M2.47M821.00K
  net cash from investing activities111.78M-90.43M131.23M-65.59M-132.50M29.72M-9.36M-106.26M113.03M12.85M-16.40M31.11M-66.67M-2.89M-384.58M-858.52M-7.77M-3.98M
  capital expenditures-194.00K-109.00K-264.00K-146.00K-194.00K-227.00K-553.00K-886.00K-187.00K-623.00K-32.00K-462.00K-126.00K-726.00K-1.29M-2.81M-385.00K-1.58M
  acquisitions, net of cash-4.25M-62.28M00-61.55M0000
  purchases of investments-15.73M-25.46M-40.83M-167.26M-206.88M-154.99M-195.66M-246.97M-3.71M-112.12M-199.78M-150.64M-209.84M-852.99M
  net cash from financing activities-84.49M-47.87M-40.68M12.28M24.22M10.07M15.06M6.53M23.68M3.52M10.50M9.76M16.53M2.90M11.97M4.90M17.35M454.00K
  proceeds from issuance of common stock-1.38B-1.00K
  repurchase of common stock-98.07M-49.25M
  net change in cash31.66M-117.28M89.52M-1.04M-111.68M32.62M8.00M-57.73M130.53M-5.86M-17.81M12.81M-72.21M-59.73M-434.73M-902.97M3.99M-20.74M
The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.