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TPC Stock Annual Cash Flow. Download in Excel

Tutor Perini Corporation logo

Tutor Perini Corporation

Sector: Industrials   

Industry: Engineering & Construction

25.65
 
USD
  
0.32
  
(1.26%)
Previous close: 25.33  Open: 24.8  Bid: 23.51  Ask: 27.5
52 week range    
7.83   
   34.55
Mkt Cap: 1,384 M  Avg Vol (90 Days): 454,604
Peers   
GVA / 
FLR / 
EME / 
PRIM / 
KBR / 
ACM / 
STRL / 
Last updated: Monday 23rd December 2024

Stock Rankings

55
MarketXLS Rank
60
Value
46
Technical
60
Quality
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Financials

TPC Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current assets-247 M-107 M-10 M-23 M-449000.0-72 M48 M-14 M-79 M-65 M
(Increase) Decrease in other current liabilities3 M29 M28 M4 M-2 M
(Increase) Decrease in other working capital-91 M-60 M-157 M133 M-166 M-407 M405 M433 M
Acquisitions7 M
Amortization of intangibles4 M4 M4 M6 M32 M36 M15 M2 M
AssetImpairmentCharge380 M
CapitalExpenditureReported75 M36 M16 M30 M77 M84 M55 M39 M60 M53 M
Cash at beginning of period120 M136 M75 M197 M198 M120 M202 M452 M211 M274 M
Cash at end of period136 M75 M146 M198 M120 M202 M452 M211 M274 M395 M
Cash flow-57 M14 M113 M164 M21 M137 M173 M-148 M207 M308 M
CashFlowFromContinuingInvestingActivities-27 M-32 M-18 M-87 M-70 M-76 M-46 M-37 M-66 M-78 M
ChangeInWorkingCapital-244 M-78 M-72 M-80 M-159 M62 M-117 M-421 M325 M368 M
Depreciation40 M38 M64 M48 M44 M59 M75 M83 M50 M43 M
Depreciation unreconciled56 M42 M78 M70 M59 M78 M127 M124 M68 M51 M
DepreciationAndAmortization56 M42 M78 M70 M59 M78 M107 M118 M64 M45 M
ExcessTaxBenefitFromStockBasedCompensation-787000.0-186000.0-269000.0
FinancingCashFlow99 M-42 M-24 M-75 M-29 M22 M123 M-55 M-79 M-109 M
Free cash flow-126 M-17 M99 M136 M-49 M65 M133 M-180 M156 M266 M
GainLossOnInvestmentSecurities2 M
GainLossOnSaleOfPPE801000.0-3 M453000.01 M402000.0-5 M-2 M3 M145000.0-5 M
IncomeTaxPaidSupplementalData75 M
InterestPaidSupplementalData45 M
IssuanceOfDebt130 M-41 M-9 M-34 M15 M61 M181 M-37 M-38 M-62 M
Net cash from financing activities99 M-42 M-24 M-75 M-29 M22 M123 M-55 M-79 M-109 M
Net cash from investing activities-27 M-32 M-18 M-87 M-70 M-76 M-46 M-37 M-66 M-78 M
Net cash from operating activities-57 M14 M113 M164 M21 M137 M173 M-148 M207 M308 M
Net change in cash & cash equivalents16 M-60 M71 M1 M-78 M82 M250 M-240 M62 M121 M
Net income from continuing operations108 M45 M96 M155 M98 M-360 M152 M134 M-193 M-128 M
NetBusinessPurchaseAndSale7 M
NetInvestmentPropertiesPurchaseAndSale43 M-1 M-5 M-60 M474000.0-11 M-6 M-6 M-14 M-35 M
NetInvestmentPurchaseAndSale43 M-1 M-5 M-60 M474000.0-11 M-6 M-6 M-14 M-35 M
NetIssuancePaymentsOfDebt130 M-41 M-9 M-34 M15 M61 M181 M-37 M-38 M-62 M
NetLongTermDebtIssuance130 M-41 M-9 M-34 M15 M61 M181 M-37 M-38 M-62 M
NetPPEPurchaseAndSale-70 M-31 M-14 M-28 M-71 M-72 M-40 M-31 M-51 M-43 M
Operating (gains) losses3 M-3 M453000.01 M402000.0-5 M-2 M3 M145000.0-5 M
Other financing charges net-27 M-622000.0-315000.0-26 M-44 M-39 M-47 M-18 M-40 M-45 M
Other investing changes net-2 M-1 M-5 M-9 M
Other non-cash items21 M8 M11 M18 M23 M362 M12 M12 M6 M23 M
Purchase of Float term investments-35 M-31 M-31 M-24 M-48 M
Purchase of property plant & equipment-70 M-31 M-14 M-28 M-71 M-72 M-40 M-31 M-51 M-43 M
Purchase of short term investments1,157 M1,013 M1,554 M2,161 M1,753 M932 M1,301 M741 M694 M712 M
PurchaseOfInvestment-61 M-21 M-35 M-31 M-31 M-24 M-48 M
PurchaseOfLongTermInvestments-61 M-21 M
PurchaseOfPPE-75 M-36 M-16 M-30 M-77 M-84 M-55 M-39 M-60 M-53 M
Repayment of debt-1,026 M-1,054 M-1,563 M-2,195 M-1,738 M-870 M-1,120 M-778 M-732 M-774 M
RepaymentOfDebt-1,026 M-1,054 M-1,563 M-2,195 M-1,738 M-870 M-1,120 M-778 M-732 M-774 M
Revenue per share16 M4 M15 M21 M16 M19 M52 M41 M18 M8 M
Sale of Float term investments1 M21 M24 M25 M25 M
Sale of short term investments44 M25 M9 M13 M
SaleOfInvestment44 M1 M21 M24 M25 M25 M9 M13 M
SaleOfPPE5 M5 M2 M3 M6 M13 M15 M7 M9 M10 M
StockBasedCompensation19 M9 M13 M21 M23 M19 M12 M12 M9 M12 M
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