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Cts Corp (CTS)

Cts Corp (CTS)
N/A x N/A 46.37 x 1
Post-market by (Cboe BZX)
40.10 -0.08 (-0.20%) 04/25/25 [NYSE]
N/A x N/A 46.37 x 1
Post-market 40.10 unch (unch) 16:01 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 58,114 60,532 59,575 -41,866 34,686
Depreciation Amortization 30,922 28,710 29,753 26,930 26,670
Income taxes - deferred -2,792 -4,046 492 -30,982 -2,048
Accounts receivable 27 12,590 -5,913 -928 -343
Accounts payable and accrued liabilities -1,771 -9,751 -2,293 3,136 3,860
Other Working Capital 7,346 -3,539 21,609 -6,661 10,064
Other Operating Activity 7,443 4,315 17,974 136,512 3,894
Operating Cash Flow $99,289 $88,811 $121,197 $86,141 $76,783
Cash Flows From Investing Activities
PPE Investments -18,644 -14,738 -14,333 -15,641 -14,858
Net Acquisitions -121,912 -3,359 -96,855 -255 -8,309
Investing Cash Flow $-140,556 $-18,097 $-111,188 $-15,896 $-23,167
Cash Flows From Financing Activities
Debt Issued 915,600 758,359 756,580 804,200 3,747,450
Debt Repayment -891,847 -774,529 -722,942 -808,800 -3,792,550
Common Stock Repurchased -42,596 -40,926 -21,447 -8,786 -8,080
Dividend Paid -4,885 -5,040 -5,131 -5,173 -5,179
Other Financing Activity -4,207 -3,263 -2,724 -2,153 -2,974
Financing Cash Flow $-27,935 $-65,399 $4,336 $-20,712 $-61,333
Exchange Rate Effect -340 1,651 1,100 159 -751
Beginning Cash Position 163,876 156,910 141,465 91,773 100,241
End Cash Position 94,334 163,876 156,910 141,465 91,773
Net Cash Flow $-69,542 $6,966 $15,445 $49,692 $-8,468
Free Cash Flow
Operating Cash Flow 99,289 88,811 121,197 86,141 76,783
Capital Expenditure -18,644 -14,738 -14,333 -15,641 -14,858
Free Cash Flow 80,645 74,073 106,864 70,500 61,925
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