Ceragon Networks Ltd. (CRNT)
NASDAQ: CRNT · Real-Time Price · USD
2.890
+0.030 (1.05%)
May 29, 2026, 4:00 PM EDT - Market closed

Ceragon Networks Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
-2.45-2.0924.066.22-19.69-14.83
Depreciation & Amortization
14.4314.3312.119.9711.0412.25
Stock-Based Compensation
4.334.094.33.963.562.56
Other Adjustments
4.344.023.873.583.1513.66
Change in Receivables
51.4852.57-46.22-2.3718.43-11.15
Changes in Inventories
3.78-2.137.616.3-11.16-11.91
Changes in Accounts Payable
-24.19-22.123.03-1.85-2.025.88
Changes in Accrued Expenses
-6.89-5.093.91.68-4.15-1.56
Changes in Unearned Revenue
0.31-0.22-3.6-9.562.231.67
Changes in Other Operating Activities
-9.67-11.82-2.8512.96-6.28-11.6
Operating Cash Flow
35.4831.5626.230.89-4.9-15.02
Operating Cash Flow Growth
59.22%20.45%-15.18%---
Capital Expenditures
-12.42-13.61-14.58-9.96-10.46-9.38
Sale of Property, Plant & Equipment
-----0.2
Purchases of Intangible Assets
-4.75-3.82-1.88-2.94-1.96-0.21
Payments for Business Acquisitions
--6.57--7.97--
Investing Cash Flow
-17.17-24-16.46-20.87-12.42-9.4
Long-Term Debt Issued
10.5---22.79.8
Long-Term Debt Repaid
-18.6-6.2-7.4-4.9--
Net Long-Term Debt Issued (Repaid)
-8.1-6.2-7.4-4.922.79.8
Issuance of Common Stock
0.190.695.880.040.414.73
Net Common Stock Issued (Repurchased)
0.190.695.880.040.414.73
Financing Cash Flow
-7.91-5.51-1.52-4.8623.1114.53
Effect of Exchange Rate Changes on Cash and Cash Equivalents
1.071.01-1.140.130.08-0.14
Net Cash Flow
11.483.067.075.295.87-10.02
Free Cash Flow
23.0617.9511.6220.93-15.36-24.4
Free Cash Flow Growth
28.49%54.49%-44.50%---
FCF Margin
6.88%5.30%2.95%6.03%-5.20%-8.39%
Free Cash Flow Per Share
0.250.200.130.24-0.18-0.29
Levered Free Cash Flow
-43.86-48.9342.2710.86-17.79-19.67
Unlevered Free Cash Flow
-725.53-62.0359.8119.9-33.294.02
SEC Filings: 10-K · 10-Q