SmileDirectClub Inc. (SDC) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

SmileDirectClub Inc.

NASDAQ: SDC · Real-Time Price · USD
0.07
-0.09 (-56.55%)
At close: Oct 03, 2023, 10:00 PM

SmileDirectClub Cash Flow Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
-258.69M -270.38M -277.85M -303.79M -323.44M -313.21M -335.65M -273.24M -227.34M -266.74M
Depreciation & Amortization
67.29M 71.35M 74.39M 76.07M 75.44M 72.57M 70.11M 68.65M 64.2M 61.41M
Stock-Based Compensation
24.72M 27.93M 26.61M 28.53M 31.33M 34.77M 44.63M 44.37M 44.85M 43.67M
Other Working Capital
-34.43M -50.56M -60.73M -44.42M -32.52M -27.16M -5.05M -23.42M -14.28M 4.08M
Other Non-Cash Items
17.26M 14.28M 11.05M 9.1M 11.53M 6.24M 57.96M 63.23M 72.07M 115.56M
Deferred Income Tax
1.72M 1.46M 2.83M 1.47M 2.85M 2.85M 49.11M 49.01M 47.63M 61.23M
Change in Working Capital
18.21M 25.86M 4.8M 38.57M 42.51M 23.81M 21.43M -16M -10.87M 4.6M
Operating Cash Flow
-129.49M -129.49M -158.17M -150.16M -161.27M -174.44M -141.52M -112.98M -57.08M -41.51M
Capital Expenditures
-37.41M -44.92M -52M -76.45M -94.14M -98.7M -106.57M -98.66M -94.58M -92M
Cash Acquisitions
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Purchase of Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Sales Maturities Of Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Investing Acitivies
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Investing Cash Flow
-37.41M -44.92M -52M -76.45M -94.14M -98.7M -106.57M -98.66M -94.58M -92M
Debt Repayment
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Common Stock Repurchased
-974K -1.39M -2.6M -3.93M -6.11M -7.83M -10.03M -13.13M -12.79M -12.03M
Dividend Paid
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Financial Acitivies
66.51M 115.58M 103.45M 38.91M 37.34M -16.74M 155.72M 145.78M 138.47M 343.25M
Financial Cash Flow
66.51M 115.58M 103.45M 38.91M 37.34M -16.74M 155.72M 145.78M 138.47M 343.25M
Net Cash Flow
-100.27M -58.49M -106.46M -187.47M -218.38M -289.8M -91.86M -65.4M -12.32M 210.11M
Free Cash Flow
-166.9M -174.41M -210.17M -226.61M -255.41M -273.15M -248.09M -211.64M -151.66M -133.51M