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TA Stock Annual Cash Flow. Download in Excel

TravelCenters of America LLC logo

TravelCenters of America LLC

Sector: Consumer Cyclical   

Industry: Specialty Retail

86.00
 
USD
  
-0.01
  
(-0.01%)
Previous close: 86.01  Open: 86.02  Bid:   Ask:
52 week range    
0.00   
   0.00
Mkt Cap: 0 M  Avg Vol (90 Days): 0
Peers   
MUSA / 
GT / 
CASY / 
Last updated: Monday 25th November 2024

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Financials

TA Cash Flow

Annual
Dec-13Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22
(Increase) Decrease in inventories-2 M28 M5 M-20 M-4 M-9 M154000.023 M-19 M-74 M
(Increase) Decrease in other current assets8 M2 M-2 M19 M-79 M2 M11 M-7 M9 M37 M
(Increase) Decrease in payables10 M-12 M18 M46 M4 M-32 M27 M47 M43 M67 M
(Increase) Decrease in receivables2 M9 M5 M-15 M-18 M27 M-77 M78 M-17 M-96 M
Acquisitions-164 M-30 M-320 M-83 M-26 M-13 M-1 M-3 M-1 M-110 M
CapitalExpenditureReported110 M170 M295 M330 M124 M145 M394 M54 M105 M186 M
Cash at beginning of period35 M86 M224 M172 M61 M36 M314 M17 M483 M536 M
Cash at end of period86 M224 M172 M61 M35 M314 M17 M483 M536 M416 M
Cash flow72 M161 M137 M111 M24 M-47 M82 M244 M154 M184 M
Cash from disc. investing activities-21 M-9 M
CashFlowFromContinuingInvestingActivities-196 M-134 M-237 M-220 M-41 M208 M-386 M-55 M-94 M-294 M
CashFromDiscontinuedOperatingActivities11 M-109 M
ChangeInAccountPayable10 M-12 M18 M46 M4 M-32 M27 M47 M43 M67 M
ChangeInPayablesAndAccruedExpense10 M-12 M18 M46 M4 M-32 M27 M47 M43 M67 M
ChangeInWorkingCapital18 M27 M27 M32 M-98 M-12 M-39 M142 M16 M-66 M
ChangesInAccountReceivables2 M9 M5 M-15 M-18 M27 M-77 M78 M-17 M-96 M
CommonStockPayments-928000.0-2 M-1 M-1 M-2 M-346000.0-2 M-2 M-2 M
Current deferred income taxes-29 M14 M7 M
Deferred income taxes-29 M14 M7 M
Depreciation59 M66 M72 M92 M89 M83 M100 M128 M97 M110 M
Depreciation unreconciled59 M66 M72 M92 M89 M83 M100 M128 M97 M110 M
DepreciationAndAmortization59 M66 M72 M92 M89 M83 M100 M128 M97 M110 M
Effect of exchange rate changes-33000.0-30000.0-94000.0-479000.0140000.0-198000.096000.051000.010000.0118000.0
FinancingCashFlow175 M112 M48 M-1 M841000.0-2 M7 M277 M-8 M-10 M
Free cash flow40 M56 M220 M-26 M20 M-7 M-308 M192 M61 M-975000.0
GainLossOnSaleOfPPE-2 M-3 M
IncomeTaxPaidSupplementalData750000.02 M2 M243000.0345000.0-228000.0-2 M-1 M682000.06 M
InterestPaidSupplementalData15 M16 M21 M30 M32 M29 M28 M28 M44 M46 M
Issuance of capital stock65 M-14000.0
IssuanceOfCapitalStock65 M-14000.0
IssuanceOfDebt110 M120 M100 M8 M200 M-3 M
Net cash from financing activities175 M112 M48 M-1 M841000.0-2 M7 M277 M-8 M-10 M
Net cash from investing activities-196 M-134 M-237 M-220 M-62 M208 M-386 M-55 M-94 M-294 M
Net cash from operating activities72 M161 M137 M111 M34 M82 M82 M244 M154 M184 M
Net change in cash & cash equivalents50 M139 M-52 M-111 M-27 M278 M-297 M466 M53 M-120 M
Net income from continuing operations32 M61 M28 M-2 M29 M-123 M33 M-15 M58 M164 M
NetBusinessPurchaseAndSale-164 M-30 M-320 M-83 M-26 M297 M-1 M-3 M-1 M-110 M
NetCommonStockIssuance65 M-942000.0-2 M-1 M-1 M-2 M-346000.0-2 M-2 M-2 M
NetInvestmentPropertiesPurchaseAndSale6 M286000.0762000.0952000.0
NetInvestmentPurchaseAndSale6 M286000.0762000.0952000.0
NetIssuancePaymentsOfDebt110 M120 M100 M8 M200 M-3 M
NetLongTermDebtIssuance110 M120 M100 M8 M200 M-3 M
NetPPEPurchaseAndSale-32 M-105 M83 M-137 M-15 M-89 M-391 M-53 M-93 M-185 M
Operating (gains) losses11 M-2 M-3 M
Other financing charges net5 M-982000.0-45 M359000.02 M-658000.0-881000.078 M-4 M-5 M
Other investing changes net6 M286000.0762000.0952000.0
Other non-cash items-7 M-6 M-8 M-11 M3 M5 M-12 M-10 M-14 M-21 M
Purchase of property plant & equipment-32 M-105 M83 M-137 M-15 M-89 M-391 M-53 M-93 M-185 M
Purchase of short term investments110 M120 M100 M8 M208 M
PurchaseOfPPE-110 M-170 M-295 M-330 M-124 M-145 M-394 M-54 M-105 M-186 M
Repayment of debt-8 M-3 M
RepaymentOfDebt-8 M-3 M
Repurchase of capital stock-928000.0-2 M-1 M-1 M-2 M-346000.0-2 M-2 M-2 M
SaleOfBusiness310 M
SaleOfPPE78 M65 M378 M193 M109 M56 M3 M2 M12 M2 M
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