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Aveanna Healthcare Holdings Inc (AVAH)

Aveanna Healthcare Holdings Inc (AVAH)
5.54 +0.25 (+4.73%) 11:59 ET [NASDAQ]
5.52 x 5 5.56 x 100
Realtime by (Cboe BZX)
5.52 x 5 5.56 x 100
Realtime 5.49 +0.20 (+3.78%) 09:29 ET
Cash Flow for Mon, Mar 24th, 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 -10,929 -134,524 -662,034 -117,044 -57,050
Depreciation Amortization 36,623 140,413 721,942 161,789 113,485
Income taxes - deferred 1,035 1,015 -115 1,313 -6,425
Accounts receivable -28,635 -15,321 -3,227 -8,808 8,563
Other Working Capital -29,966 -23,396 -42,223 -71,328 56,536
Other Operating Activity 64,509 54,485 -62,745 22,728 1,509
Operating Cash Flow $32,637 $22,672 $-48,402 $-11,350 $116,618
Cash Flows From Investing Activities
PPE Investments -6,319 -6,116 -12,013 -15,950 -15,237
Net Acquisitions N/A N/A -1,553 -666,915 -178,307
Other Investing Activity 0 -2,678 -11,725 1,034 0
Investing Cash Flow $-6,319 $-8,794 $-25,291 $-681,831 $-193,544
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A N/A N/A 2,455 29,444
Debt Issued 25,000 70,000 114,700 1,474,531 194,651
Debt Repayment -27,358 -74,683 -54,551 -1,312,940 -57,961
Common Stock Issued 3,089 945 4,015 480,981 50,000
Other Financing Activity 13,297 14,585 -1,744 -58,701 -5,190
Financing Cash Flow $14,028 $10,847 $62,420 $586,326 $210,944
Beginning Cash Position 43,942 19,217 30,490 137,345 3,327
End Cash Position 84,288 43,942 19,217 30,490 137,345
Net Cash Flow $40,346 $24,725 $-11,273 $-106,855 $134,018
Free Cash Flow
Operating Cash Flow 32,637 22,672 -48,402 -11,350 116,618
Capital Expenditure -6,319 -6,116 -12,013 -15,950 -15,237
Free Cash Flow 26,318 16,556 -60,415 -27,300 101,381
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