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Teleflex Inc (TFX)

Teleflex Inc (TFX)
136.43 -1.37 (-0.99%) 10:53 ET [NYSE]
136.23 x 200 136.47 x 22
Realtime by (Cboe BZX)
136.23 x 200 136.47 x 22
Realtime 138.45 +0.65 (+0.47%) 09:29 ET
Cash Flow for Mon, Mar 31st, 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 69,675 356,328 363,139 485,374 335,324
Depreciation Amortization 518,016 245,518 234,643 241,855 231,682
Income taxes - deferred -130,237 -13,046 -13,008 -110,239 -32,675
Accounts receivable -27,952 -15,763 -38,459 -600 44,748
Other Working Capital -1,822 -111,772 -239,964 127,345 22,280
Other Operating Activity 210,580 50,418 36,455 -91,596 -164,216
Operating Cash Flow $638,260 $511,683 $342,806 $652,139 $437,143
Cash Flows From Investing Activities
PPE Investments -126,434 -91,442 -79,190 -71,618 -90,694
Net Acquisitions -120 -588,920 -185,995 220,319 -766,430
Purchase Of Investment -7,300 -11,300 -22,300 -18,418 0
Sale Of Investment 7,300 7,300 7,300 7,300 0
Other Investing Activity 27,196 63,134 20,775 19,154 19,341
Investing Cash Flow $-99,358 $-621,228 $-259,410 $156,737 $-837,783
Cash Flows From Financing Activities
Debt Issued 130,000 646,000 744,250 400,000 1,513,807
Debt Repayment -291,500 -544,750 -884,500 -1,034,500 -938,807
Common Stock Issued N/A N/A N/A 11,097 0
Common Stock Repurchased -200,000 0 0 N/A N/A
Dividend Paid -63,541 -63,896 -63,789 -63,648 -63,221
Other Financing Activity 3,116 1,186 -13,467 -28,771 -56,616
Financing Cash Flow $-421,925 $38,540 $-217,506 $-715,822 $455,163
Exchange Rate Effect -9,654 2,864 -19,744 -23,130 21,011
Beginning Cash Position 222,848 292,034 445,084 375,880 301,083
End Cash Position 327,650 222,848 292,034 445,084 375,880
Net Cash Flow $104,802 $-69,186 $-153,050 $69,204 $74,797
Free Cash Flow
Operating Cash Flow 638,260 511,683 342,806 652,139 437,143
Capital Expenditure -126,434 -91,442 -79,190 -71,618 -90,694
Free Cash Flow 511,826 420,241 263,616 580,521 346,449
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