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TDG Stock Annual Cash Flow. Download in Excel

Transdigm Group Incorporated Inc. logo

Transdigm Group Incorporated Inc.

Sector: Industrials   

Industry: Aerospace & Defense

1,276.15
 
USD
  
16.03
  
(1.27%)
Previous close: 1260.12  Open: 1247.0  Bid: 1166.26  Ask: 1309.08
52 week range    
972.08   
   1,451.32
Mkt Cap: 71,651 M  Avg Vol (90 Days): 304,010
Peers   
BA / 
SPR / 
HON / 
WWD / 
AIRI / 
CVU / 
ATRO / 
Last updated: Sunday 22nd December 2024

Stock Rankings

54
MarketXLS Rank
55
Value
53
Technical
55
Quality
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Financials

TDG Cash Flow

Annual
Sep-15Sep-16Sep-17Sep-18Sep-19Sep-20Sep-21Sep-22Sep-23Sep-24
(Increase) Decrease in inventories-26 M-2 M5 M-18 M-36 M-62 M79 M-134 M-261 M-104 M
(Increase) Decrease in other current assets-12 M889000.0-11 M-156 M-27 M8 M34 M-22 M3 M10 M
(Increase) Decrease in other working capital-33 M-56 M-44 M77 M
(Increase) Decrease in payables13 M-7 M-10 M18 M-1000000.0-62 M-60 M116 M180 M-73 M
(Increase) Decrease in receivables40 M-92 M-36 M-8 M-85 M208 M-78 M-190 M-212 M-84 M
Acquisitions-1,624 M-1,399 M-136 M-668 M-3,976 M-963 M-437 M-762 M-2,347 M
Amortization of intangibles-3 M115 M-36 M-49 M-36 M-32 M-14 M
CapitalExpenditureReported55 M44 M71 M73 M102 M105 M105 M119 M139 M165 M
Cash at beginning of period820 M714 M1,587 M651 M2,073 M1,467 M4,717 M4,787 M3,001 M3,472 M
Cash at end of period714 M1,587 M651 M2,073 M2,643 M4,717 M4,787 M3,001 M3,472 M6,261 M
Cash flow521 M683 M789 M1,022 M1,091 M1,260 M913 M949 M1,375 M2,045 M
CashFlowFromContinuingInvestingActivities-1,679 M-1,443 M-287 M-684 M-3,889 M799 M-785 M-553 M-900 M-2,441 M
CashFromDiscontinuedOperatingActivities-47 M-1000000.0
ChangeInAccountPayable13 M-7 M-10 M18 M-1000000.0-62 M3 M58 M12 M-11 M
ChangeInAccruedExpense-39 M-5 M-34 M11 M-66 M45 M-32 M-27 M-94 M19 M
ChangeInIncomeTaxPayable-63 M58 M168 M-62 M
ChangeInInterestPayable-39 M-5 M-34 M11 M-66 M45 M14 M-21 M-45 M60 M
ChangeInPayablesAndAccruedExpense-26 M-11 M-44 M29 M-67 M-17 M-92 M89 M86 M-54 M
ChangeInTaxPayable-63 M58 M168 M-62 M
ChangeInWorkingCapital-24 M-105 M-87 M-153 M-215 M137 M-90 M-313 M-428 M-155 M
ChangesInAccountReceivables-25 M-80 M-55 M-44 M-82 M352 M-78 M-190 M-212 M-84 M
CommonStockDividendPaid-3 M-3 M-2,582 M-56 M-1,712 M-1,928 M-73 M-1,091 M-38 M-2,038 M
CommonStockPayments-208 M-390 M-19 M-912 M
Depreciation36 M43 M51 M56 M91 M114 M115 M116 M129 M149 M
Depreciation unreconciled52 M60 M72 M75 M234 M111 M100 M114 M138 M175 M
DepreciationAndAmortization52 M60 M72 M75 M234 M283 M253 M253 M138 M175 M
Effect of exchange rate changes-2 M242000.06 M-2 M-3 M8 M12 M-33 M12 M14 M
ExcessTaxBenefitFromStockBasedCompensation-62 M
FinancingCashFlow1,055 M1,647 M-1,444 M1,086 M3,371 M1,230 M-70 M-2,148 M-16 M3,171 M
Free cash flow466 M625 M718 M949 M989 M1,108 M808 M829 M1,236 M1,880 M
GainLossOnSaleOfBusiness-69 M-7 M-11 M
IncomeTaxPaidSupplementalData127 M183 M185 M129 M215 M223 M83 M220 M260 M539 M
InterestPaidSupplementalData399 M449 M588 M635 M878 M923 M1,008 M1,057 M1,160 M1,158 M
Issuance of debt-1,008 M99 M49 M200 M-200 M
IssuanceOfDebt-1,008 M1,817 M2,582 M1,095 M5,002 M3,072 M-125 M-275 M-3,677 M-2,538 M
Net cash from financing activities119 M1,632 M-386 M1,086 M3,371 M1,230 M-70 M-2,148 M-16 M3,171 M
Net cash from investing activities-1,679 M-1,443 M-287 M-684 M-3,889 M799 M-785 M-553 M-900 M-2,441 M
Net cash from operating activities521 M669 M789 M1,022 M1,091 M1,213 M913 M948 M1,375 M2,045 M
Net change in cash & cash equivalents-108 M873 M-931 M1,422 M573 M3,242 M58 M-1,753 M459 M2,775 M
Net income from continuing operations447 M586 M597 M957 M892 M700 M681 M867 M1,299 M1,715 M
NetBusinessPurchaseAndSale-1,624 M-1,399 M-136 M-668 M-3,787 M904 M-704 M-434 M-761 M-2,276 M
NetCommonStockIssuance-208 M-390 M-19 M-912 M
NetForeignCurrencyExchangeGainLoss22 M11 M-40 M14 M20 M
NetInvestmentPropertiesPurchaseAndSale-80 M57 M189 M24 M
NetInvestmentPurchaseAndSale-80 M57 M189 M24 M
NetIssuancePaymentsOfDebt-1,008 M1,817 M2,582 M1,095 M5,002 M3,072 M-125 M-275 M-3,677 M-2,538 M
NetLongTermDebtIssuance1,817 M2,482 M1,095 M4,953 M2,872 M-125 M-75 M-3,677 M-2,538 M
NetPPEPurchaseAndSale-55 M-44 M-71 M-73 M-102 M-105 M-105 M-119 M-139 M-165 M
Operating (gains) losses22 M-58 M-25 M5 M9 M
Other financing charges net61 M-4 M-18 M-11 M-1000000.0-11 M-2 M3,484 M7,365 M
Other investing changes net-80 M57 M189 M24 M
Other non-cash items46 M142 M207 M143 M180 M290 M280 M306 M361 M438 M
Payment of cash dividends3 M3 M2,582 M56 M1,712 M1,928 M73 M1,091 M38 M2,038 M
PensionAndEmployeeBenefitExpense22 M-9 M
ProceedsFromStockOptionExercised62 M30 M21 M58 M82 M116 M128 M132 M215 M245 M
Purchase of property plant & equipment-55 M-44 M-71 M-73 M-102 M-105 M-105 M-119 M-139 M-165 M
Purchase of short term investments2,651 M3,238 M13,269 M4,480 M4,114 M1,932 M6,238 M6,815 M
PurchaseOfPPE-55 M-44 M-71 M-73 M-102 M-105 M-105 M-119 M-139 M-165 M
Repayment of debt-834 M-756 M-12,174 M473 M-1,242 M-2,057 M-75 M-9,915 M-9,353 M
RepaymentOfDebt-1,018 M-834 M-756 M-12,174 M473 M-1,242 M-2,257 M-275 M-9,915 M-9,353 M
Repurchase of capital stock-208 M-390 M-19 M-912 M
Revenue per share16 M16 M21 M19 M143 M-3 M-15 M-2 M9 M26 M
SaleOfBusiness189 M904 M259 M3 M1000000.071 M
ShortTermDebtIssuance10 M99 M49 M200 M200 M
ShortTermDebtPayments-1,018 M-200 M-200 M
StockBasedCompensation32 M48 M46 M58 M93 M93 M129 M153 M
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