Target Hospitality Corp. (TH)
NASDAQ: TH · IEX Real-Time Price · USD
9.18
-0.17 (-1.82%)
Jul 19, 2024, 4:00 PM EDT - Market closed

Target Hospitality Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Year Ending
TTM Dec 31, 2023Dec 31, 2022Dec 31, 2021Dec 31, 2020Dec 31, 2019 2018 - 2017
Net Income
150.26173.773.94-4.58-25.1311.97
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Depreciation & Amortization
97.16101.7778.4570.5265.6158.9
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Share-Based Compensation
8.2811.1719.245.083.611.75
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Other Operating Activities
-62.84-129.85133.9833.572.69-12.13
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Operating Cash Flow
192.86156.8305.61104.646.7860.5
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Operating Cash Flow Growth
-45.01%-48.69%192.17%123.59%-22.67%130.87%
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Capital Expenditures
-48.65-63.63-140.23-35.92-11.57-83.73
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Acquisitions
00000-29.36
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Other Investing Activities
--4.55--0.620.39
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Investing Cash Flow
-48.65-68.18-140.23-35.92-10.95-112.71
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Share Issuance / Repurchase
-20.581.610.310-5.32-18.24
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Debt Issued / Paid
-33.44-159.65-6.51-52.17-30.14370.26
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Other Financing Activities
-8.32-8.32-0.9-0.1-0.22-305.37
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Financing Cash Flow
-62.34-166.37-7.1-52.27-35.6846.65
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Exchange Rate Effect
-0.010-0.020.01-0.01-0.05
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Net Cash Flow
81.86-77.74158.2716.430.14-5.61
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Free Cash Flow
144.2193.17165.3868.6835.21-23.23
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Free Cash Flow Growth
-23.87%-43.67%140.79%95.05%--
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Free Cash Flow Margin
27.60%16.53%32.95%23.58%15.64%-7.24%
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Free Cash Flow Per Share
1.430.921.700.710.37-0.25
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Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).