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Cabot Corp (CBT)

Cabot Corp (CBT)
69.57 x 1,000 88.66 x 100
Post-market by (Cboe BZX)
84.10 +0.53 (+0.63%) 03/27/25 [NYSE]
69.57 x 1,000 88.66 x 100
Post-market 84.10 unch (unch) 16:24 ET
Cash Flow for Thu, Mar 27th, 2025
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Fiscal Year End Date: 09/30

(Values in U.S. thousands)
  09-2024 09-2023 09-2022 09-2021 09-2020
Cash Flows From Operating Activities
Net Income 424,000 484,000 243,000 286,000 -221,000
Depreciation Amortization 151,000 144,000 146,000 160,000 158,000
Income taxes - deferred -37,000 -156,000 -40,000 9,000 130,000
Accounts receivable -26,000 153,000 -287,000 -215,000 126,000
Other Working Capital 70,000 100,000 -448,000 -242,000 163,000
Other Operating Activity 110,000 -130,000 486,000 259,000 21,000
Operating Cash Flow $692,000 $595,000 $100,000 $257,000 $377,000
Cash Flows From Investing Activities
PPE Investments -241,000 -237,000 -193,000 -195,000 -200,000
Net Acquisitions N/A 6,000 70,000 N/A -92,000
Other Investing Activity 6,000 17,000 5,000 9,000 4,000
Investing Cash Flow $-235,000 $-214,000 $-118,000 $-186,000 $-288,000
Cash Flows From Financing Activities
Change In Short Term Borrowing -127,000 -125,000 276,000 0 -19,000
Debt Issued 15,000 84,000 394,000 258,000 444,000
Debt Repayment -30,000 -90,000 -372,000 -222,000 -410,000
Common Stock Issued 20,000 4,000 6,000 6,000 3,000
Common Stock Repurchased -172,000 -98,000 -53,000 -3,000 -44,000
Dividend Paid -120,000 -130,000 -106,000 -99,000 -106,000
Other Financing Activity -1,000 -48,000 0 0 0
Financing Cash Flow $-415,000 $-403,000 $145,000 $-60,000 $-132,000
Exchange Rate Effect -57,000 54,000 -91,000 8,000 25,000
Beginning Cash Position 238,000 206,000 170,000 151,000 169,000
End Cash Position 223,000 238,000 206,000 170,000 151,000
Net Cash Flow $-15,000 $32,000 $36,000 $19,000 $-18,000
Free Cash Flow
Operating Cash Flow 692,000 595,000 100,000 257,000 377,000
Capital Expenditure -241,000 -244,000 -211,000 -195,000 -200,000
Free Cash Flow 451,000 351,000 -111,000 62,000 177,000
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