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Confluent Inc Cl A (CFLT)

Confluent Inc Cl A (CFLT)
N/A x N/A N/A x N/A
Post-market by (Cboe BZX)
26.50 -0.12 (-0.45%) 03/21/25 [NASDAQ]
N/A x N/A N/A x N/A
Post-market 26.68 +0.18 (+0.68%) 18:49 ET
Cash Flow for Fri, Mar 21st, 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 -345,065 -442,746 -452,551 -342,801 -229,828
Depreciation Amortization 42,417 21,106 39,867 32,786 18,890
Income taxes - deferred 277 1,889 -237 1,335 -1,335
Accounts receivable -86,562 -53,593 -42,080 -32,516 -41,612
Accounts payable and accrued liabilities 127 -14,452 13,580 6,143 -327
Other Working Capital -67,165 -55,756 -32,060 21,888 -25,746
Other Operating Activity 489,431 439,895 316,148 208,105 197,901
Operating Cash Flow $33,460 $-103,657 $-157,333 $-105,060 $-82,057
Cash Flows From Investing Activities
Change In Deposits 64,509 -8,370 -851,350 -391,653 -172,209
PPE Investments -23,971 -20,679 -14,455 -8,942 -4,650
Net Acquisitions -115,516 -55,802 N/A N/A N/A
Other Investing Activity 0 0 0 12 0
Investing Cash Flow $-74,978 $-84,851 $-865,805 $-400,583 $-176,859
Cash Flows From Financing Activities
Debt Repayment N/A N/A N/A -90,970 N/A
Common Stock Issued 79,806 102,627 83,816 857,791 17,141
Common Stock Repurchased N/A -255 -789 -482 -87
Other Financing Activity 0 0 -786 1,078,175 259,704
Financing Cash Flow $79,806 $102,372 $82,241 $1,844,514 $276,758
Exchange Rate Effect -2,069 116 -4 5 -7
Beginning Cash Position 349,761 435,781 1,376,682 37,806 19,971
End Cash Position 385,980 349,761 435,781 1,376,682 37,806
Net Cash Flow $36,219 $-86,020 $-940,901 $1,338,876 $17,835
Free Cash Flow
Operating Cash Flow 33,460 -103,657 -157,333 -105,060 -82,057
Capital Expenditure -23,971 -20,679 -14,455 -8,942 -4,650
Free Cash Flow 9,489 -124,336 -171,788 -114,002 -86,707
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