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Cadre Holdings Inc (CDRE)

Cadre Holdings Inc (CDRE)
29.00 x 1 36.00 x 2
Post-market by (Cboe BZX)
29.31 -1.14 (-3.74%) 04/28/25 [NYSE]
29.00 x 1 36.00 x 2
Post-market 29.31 unch (unch) 16:01 ET
Cash Flow for Mon, Apr 28th, 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 36,133 38,641 5,820 12,661 38,453
Depreciation Amortization 21,387 16,216 20,646 16,911 16,949
Income taxes - deferred -2,064 -210 -1,087 4,772 -12,248
Accounts receivable -24,902 6,602 -11,536 -4,641 11,811
Accounts payable and accrued liabilities -15,624 14,034 5,493 2,720 2,117
Other Working Capital -36,373 10,111 -12,592 -9,674 17,404
Other Operating Activity 53,220 -12,185 39,665 17,345 -29,067
Operating Cash Flow $31,777 $73,209 $46,409 $40,094 $45,419
Cash Flows From Investing Activities
Change In Deposits N/A N/A N/A N/A 12,084
PPE Investments -5,613 -6,520 -4,083 -2,832 7,700
Net Acquisitions -141,813 N/A -55,543 N/A N/A
Investing Cash Flow $-147,426 $-6,520 $-59,626 $-2,832 $19,784
Cash Flows From Financing Activities
Debt Issued 134,922 N/A 43,000 456,696 601,642
Debt Repayment -48,834 -10,000 -53,116 -528,829 -660,702
Common Stock Issued 91,776 N/A 56,329 83,421 N/A
Dividend Paid -13,948 -12,006 -11,509 -12,751 N/A
Other Financing Activity -11,249 -2,716 -10,241 -5,133 -5,842
Financing Cash Flow $152,667 $-24,722 $24,463 $-6,596 $-64,902
Exchange Rate Effect 224 438 183 318 52
Beginning Cash Position 87,691 45,286 33,857 2,873 2,520
End Cash Position 124,933 87,691 45,286 33,857 2,873
Net Cash Flow $37,242 $42,405 $11,429 $30,984 $353
Free Cash Flow
Operating Cash Flow 31,777 73,209 46,409 40,094 45,419
Capital Expenditure -5,668 -6,727 -4,494 -2,832 -4,708
Free Cash Flow 26,109 66,482 41,915 37,262 40,711
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