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Black Knight Inc. logo

Black Knight Inc.


Software - Infrastructure

Optionable: Yes  Market Cap: 9,479 M  90-day average vol: 913,698

Previous close: 59.97  Open: 59.86  Bid: 59.62  Ask: 59.62
52 week range    
PHR / 
Last updated: Wednesday 7th December 2022
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Value marketxls
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BKI Cash Flow


Invalid dateDec-13Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21
Cashflowfinancing_Cash at beginning of period236 M062 M186 M134 M16 M20 M15 M35 M
Total net income000000000
Cashflowoperating_Depreciation80 M189 M194 M208 M207 M217 M236 M349 M581 M
Cashflowoperating_Deferred income taxes010000012 M3 M-78 M-7 M-4 M-21 M-17 M
Cashflowoperating_Other non-cash items3 M-2 M8000003 M4 M3 M3 M3 M4 M
Cashflowoperating_(Increase) Decrease in receivables40 M200000-21 M-6 M-52 M45 M7 M6 M-6 M
Cashflowoperating_(Increase) Decrease in inventories000000000
Cashflowoperating_(Increase) Decrease in other current assets000000000
Cashflowoperating_(Increase) Decrease in payables0000046 M-41 M9 M-13 M
Cashflowoperating_(Increase) Decrease in other current liabilities000000000
Other changes-17 M-168 M62 M118 M272 M133 M176 M68 M-99 M
Cashflowoperating_Net cash from continuing operations106 M19 M248 M326 M351 M436 M378 M415 M450 M
Cashflowinvesting_Purchase of property plant & equipment-105 M-67 M-102 M-80 M-81 M-103 M-104 M-113 M-114 M
Cashflowinvesting_Acquisitions02 M0-150 M-4 M-43 M-445 M-1,969 M-303 M
Cashflowinvesting_Other investing changes net-84 M-45 M-57 M-42 M-53 M-73 M-81 M-89 M-85 M
Cashflowinvesting_Sale of short term investments000000000
Cashflowinvesting_Purchase of short term investments000000000
Cashflowinvesting_Sale of Float term investments000000000
Cashflowinvesting_Purchase of Float term investments000000000
Other changes-28 M-21 M-46 M-38 M-27 M-28 M-24 M-30 M-42 M
Cashflowinvesting_Net cash from investing activities-113 M-65 M-102 M-230 M-85 M-144 M-551 M-2,089 M-430 M
Cashflowfinancing_Issuance of capital stock-2 M0479 M0000485 M0
Cashflowfinancing_Repurchase of capital stock0000-137 M-141 M-12 M0-147 M
Cashflowfinancing_Payment of cash dividends-26 M-17 M-17 M-49 M-75 M0000
Cashflowfinancing_Issuance of debt088 M1,299 M55 M480 M936 M876 M1,591 M662 M
Cashflowfinancing_Repayment of debt0-432 M-1,758 M-154 M-637 M-1,068 M-680 M-68 M-4 M
Cashflowfinancing_Other financing charges net0469 M-25 M0-15 M-13 M-16 M549 M-37 M
Cashflowfinancing_Net cash from financing activities-28 M108 M-22 M-148 M-384 M-287 M168 M1,693 M22 M
Cashflowfinancing_Net change in cash & cash equivalents-35 M62 M124 M-52 M-118 M4 M-5 M19 M42 M
Cashflowfinancing_Cash at end of period7 M62 M186 M134 M16 M20 M15 M35 M77 M
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