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Pagerduty Inc (PD)

Pagerduty Inc (PD)
14.00 x 1 18.60 x 2
Post-market by (Cboe BZX)
18.31 -0.07 (-0.38%) 04/02/25 [NYSE]
14.00 x 1 18.60 x 2
Post-market 16.53 -1.78 (-9.72%) 16:59 ET
Cash Flow for Wed, Apr 2nd, 2025
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Fiscal Year End Date: 01/31

(Values in U.S. thousands)
  01-2025 10-2024 07-2024 04-2024 01-2024
Cash Flows From Operating Activities
Net Income -43,536 -34,656 -28,529 -17,345 -77,367
Depreciation Amortization 45,240 33,737 22,440 11,179 42,799
Accounts receivable -8,042 24,751 33,157 22,716 -10,662
Accounts payable and accrued liabilities 1,140 603 779 268 -1,453
Other Working Capital -8,615 -8,357 6,029 2,329 -26,495
Other Operating Activity 131,704 70,411 30,540 9,500 145,152
Operating Cash Flow $117,891 $86,489 $64,416 $28,647 $71,974
Cash Flows From Investing Activities
Change In Deposits -212,477 -150,884 -96,163 -47,828 -216,970
PPE Investments -9,477 -6,665 -4,035 -1,549 -7,548
Net Acquisitions N/A N/A N/A N/A -24,071
Purchase Of Investment N/A 0 0 N/A -200
Sale Of Investment 201,986 147,827 93,577 46,556 218,264
Investing Cash Flow $-19,968 $-9,722 $-6,621 $-2,821 $-30,525
Cash Flows From Financing Activities
Debt Issued -403 -403 N/A N/A 390,831
Debt Repayment N/A 0 N/A N/A -278,777
Common Stock Issued 13,330 7,262 6,539 291 20,165
Common Stock Repurchased -129,065 -120,182 -41,341 -6,552 -82,400
Other Financing Activity 0 0 -403 0 1,781
Financing Cash Flow $-116,138 $-113,323 $-35,205 $-6,261 $51,600
Exchange Rate Effect -124 -109 -23 -115 -401
Beginning Cash Position 366,667 366,667 366,667 366,667 274,019
End Cash Position 348,328 330,002 389,234 386,117 366,667
Net Cash Flow $-18,339 $-36,665 $22,567 $19,450 $92,648
Free Cash Flow
Operating Cash Flow 117,891 86,489 64,416 28,647 71,974
Capital Expenditure -9,477 -6,665 -4,035 -1,549 -7,548
Free Cash Flow 108,414 79,824 60,381 27,098 64,426
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