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Axcelis Tech Inc (ACLS)

Axcelis Tech Inc (ACLS)
46.50 x 6 50.00 x 191
Pre-market by (Cboe BZX)
49.84 +0.94 (+1.92%) 04/25/25 [NASDAQ]
46.50 x 6 50.00 x 191
Pre-market 49.84 unch (unch) 16:00 ET
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 200,992 246,263 183,079 98,650 49,982
Depreciation Amortization 3,374 992 11,607 10,818 9,939
Income taxes - deferred -15,594 -20,018 8,536 20,257 4,685
Accounts receivable 6,909 -50,755 -67,270 -18,146 -1,393
Other Working Capital -85,402 -97,229 -11,610 4,643 -8,916
Other Operating Activity 30,539 77,616 91,265 33,968 15,406
Operating Cash Flow $140,818 $156,869 $215,607 $150,190 $69,703
Cash Flows From Investing Activities
Change In Deposits -96,545 -80,202 -246,571 0 0
PPE Investments -12,181 -20,656 -10,683 -8,718 -7,266
Investing Cash Flow $-108,726 $-100,858 $-257,254 $-8,718 $-7,266
Cash Flows From Financing Activities
Debt Repayment -1,525 -1,240 -987 -763 -399
Common Stock Issued 2,385 2,082 2,909 4,866 9,428
Common Stock Repurchased -60,489 -52,499 -57,495 -49,992 -7,501
Other Financing Activity -11,563 -16,611 -9,907 -6,564 -3,915
Financing Cash Flow $-71,192 $-68,268 $-65,480 $-52,453 $-2,387
Exchange Rate Effect -3,787 -139 -2,206 2,429 -2,352
Beginning Cash Position 173,951 186,347 295,680 204,232 146,534
End Cash Position 131,064 173,951 186,347 295,680 204,232
Net Cash Flow $-42,887 $-12,396 $-109,333 $91,448 $57,698
Free Cash Flow
Operating Cash Flow 140,818 156,869 215,607 150,190 69,703
Capital Expenditure -12,181 -20,656 -10,683 -8,718 -7,434
Free Cash Flow 128,637 136,213 204,924 141,472 62,269
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