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95 EUR
0.5
0.52%
Last update Sep 10, 8:06 AM CEST
Market closed
Day range
95
95
Previous close
95.5
Open
95
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Choice Hotels International Inc.
95.00
0.50
0.52%

Financials

Cash flow

Fiscal date 2024 2023 2022 2021
Operating activities 259.6M 292.7M 387.9M 335.7M
Net income 255.9M 258.5M 332.2M 289.0M
Depreciation 60.5M 75.7M 63.9M 50.5M
Deferred taxes -16.2M -1.3M -19.6M -1.0M
StockBased compensation 36.9M 46.8M 43.0M 35.7M
Other non cash items -77.5M -87.0M -31.5M -38.5M
Accounts receivable
Accounts payable
Other assets liabilities
Investing activities -85.7M -263.6M -483.5M -75.4M
Capital expenditures -124.5M -116.3M -90.0M -74.3M
Net intangibles 0 -2.0M 41.1M -3.6M
Net acquisitions -45.1M -38.1M -553.6M 12.8M
Purchase of investments 0 -116.6M -4.2M -1.7M
Sale of investments 92.3M 1.6M 1.9M 2.6M
Other investing activity -8.5M 5.7M 162.3M -14.7M
Financing activities -204.3M -52.3M -398.0M -38.8M
Long term debt issuance 602.0M 500M 0 0
Long term debt payments -426.9M 0 -272.5M 0
Short term debt issuance -131.5M 360M 0
Common stock issuance
Common stock repurchase -325.1M -362.8M -434.8M -13.4M
Common dividends -47.4M -56.5M -52.5M -25.0M
Other financing charges -6.9M -1.6M 1.9M -365K
End cash position 34.3M 26.8M 41.6M 511.6M
Income tax paid 92.4M 94.3M 116.0M 106.5M
Interest paid 57.4M 60.8M 46.9M 43.9M
Free cash flow 148.2M 178.3M 273.5M 305.8M
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