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CRECF Stock Annual Cash Flow. Download in Excel

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Financials

CRECF Cash Flow

Annual
Aug-15Aug-16Aug-17Aug-18Aug-19Aug-20Aug-21Aug-22Aug-23Aug-24
(Increase) Decrease in payables-484936.0-2 M-2 M
(Increase) Decrease in receivables786.0-238447.0-26774.0-99821.0182243.021581.0-84660.0-1 M21447.0-1 M
AssetImpairmentCharge8667.0467.0633556.0
CapitalExpenditureReported48573.0106571.06 M1 M2 M846151.01 M12 M10 M
Cash at beginning of period35490.0261160.05 M2 M4 M2 M2 M12 M36 M26 M
Cash at end of period261160.05 M2 M4 M2 M2 M6 M36 M32 M11 M
Cash flow-1 M-2 M-2 M-4 M-2 M-2 M-3 M-6 M-5 M-6 M
CashFlowFromContinuingInvestingActivities142228.017724.0-6 M-827749.0-2 M-2 M-322661.0-2 M-13 M-11 M
ChangeInAccountPayable-484936.0-2 M-2 M
ChangeInPayablesAndAccruedExpense-167360.0-228619.043334.0-471214.0-654615.0-79508.0431321.0-484936.0-2 M-2 M
ChangeInPrepaidAssets9659.0-96694.023851.0-55998.0115040.0-7554.0-236096.0-311513.0171050.0-420333.0
ChangeInWorkingCapital-156915.0-563760.040411.0-627033.0-357332.0-65481.0110565.0-2 M-2 M-4 M
CommonStockPayments-2 M
Current deferred income taxes38232.02138.058999.0421980.0140460.0673003.0
Deferred income taxes38232.02138.058999.0421980.0140460.0673003.0
Depreciation6338.04819.04992.04217.03788.023046.022316.023276.060990.070236.0
Depreciation unreconciled6338.04819.04992.04217.03788.023046.022316.023276.060990.070236.0
DepreciationAndAmortization6338.04819.04992.04217.03788.023046.022316.023276.060990.070236.0
FinancingCashFlow1 M6 M6 M7 M2 M3 M8 M31 M14 M2 M
Free cash flow-1 M-2 M-2 M-4 M-2 M-2 M-3 M-17 M-17 M
GainLossOnInvestmentSecurities11376.0-369539.0-3 M
GainLossOnSaleOfPPE-823535.0-23715.0-20170.0-3280.0
Issuance of capital stock1 M6 M7 M3 M15 M30 M
IssuanceOfCapitalStock1 M6 M7 M3 M15 M30 M
IssuanceOfDebt5 M-22503.0-19018.0-719990.0-32638.0-45395.0
Net cash from financing activities1 M6 M6 M7 M2 M3 M8 M31 M14 M2 M
Net cash from investing activities142228.017724.0-6 M-827749.0-2 M-2 M-322661.0-2 M-13 M-11 M
Net cash from operating activities-1 M-2 M-2 M-4 M-2 M-2 M-3 M-6 M-5 M-6 M
Net change in cash & cash equivalents225670.04 M-3 M2 M-2 M-183731.04 M24 M-4 M-15 M
Net income from continuing operations-1 M-233058.0-4 M-5 M-2 M-2 M-2 M-6 M-3 M-124062.0
NetCapitalExpenditureDisposals-3 M-12 M-10 M
NetCommonStockIssuance1 M6 M7 M3 M15 M-2 M
NetInvestmentPropertiesPurchaseAndSale43624.0100000.0-900609.0399574.0-143136.0-876147.0398706.0-2 M-194374.0
NetInvestmentPurchaseAndSale43624.0100000.0-900609.0399574.0-143136.0-876147.0398706.0-2 M-194374.0
NetIssuancePaymentsOfDebt5 M-22503.0-19018.0-719990.0-32638.0-45395.0
NetLongTermDebtIssuance5 M-22503.0-19018.0-719990.0-32638.0-45395.0
NetPPEPurchaseAndSale-48573.0-106571.0-6 M-1 M-2 M-846151.0-721367.0-3 M-12 M-10 M
Operating (gains) losses11376.0-823535.0-23715.0-369539.0-3 M-20170.0-3280.0
Other financing charges net-67282.0-570606.0-7512.0-563978.02 M82240.0-1 M792725.02 M
Other investing changes net147177.024295.01 M
Other non-cash items4411.0166156.02 M-14333.0-3 M
ProceedsFromIssuanceOfWarrants30 M
ProceedsFromStockOptionExercised90000.07 M2 M505720.055000.0638680.04 M14 M26000.0
Purchase of Float term investments-237058.0
Purchase of short term investments5 M
PurchaseOfInvestment-935609.0-253520.0-143136.0-1 M-1294.0-237058.0
PurchaseOfLongTermInvestments-1 M
PurchaseOfPPE-48573.0-106571.0-6 M-1 M-2 M-846151.0-1 M-3 M-12 M-10 M
Repayment of debt-22503.0-19018.0-719990.0-32638.0-45395.0
RepaymentOfDebt-22503.0-19018.0-32638.0-45395.0
Repurchase of capital stock-2 M
Sale of Float term investments-1 M-252414.0
Sale of short term investments58040.0
SaleOfInvestment43624.0100000.035000.0653094.0123855.0400000.0-1 M-194374.0
SaleOfPPE176085.0550000.021395.0
StockBasedCompensation199866.070087.02 M2 M255190.0116140.0206316.0716090.02 M2 M
UnrealizedGainLossOnInvestmentSecurities-299941.0149910.0-33968.02 M1 M-2 M-5 M
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