Planisware S.A.
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Financials

Cash flow

Fiscal date 2024 2023 2022 2021
Operating activities 50.0M 39.6M 32.0M 27.4M
Net income 42.7M 41.8M 31.6M 27.1M
Depreciation
Deferred taxes
StockBased compensation 5.1M 1.9M
Other non cash items -701K -7.1M 202K 145K
Accounts receivable -3.8M -123K -9.3M -6.4M
Accounts payable
Other assets liabilities 6.7M 3.1M 9.5M 6.6M
Investing activities -999K -330K -156K -23K
Capital expenditures
Net intangibles -5.5M -4.9M -4.8M -3.2M
Net acquisitions 0 724K
Purchase of investments -998K -1.2M -189K -77K
Sale of investments 0 100K 33K 53K
Other investing activity -1K 1K
Financing activities -16.7M -16.0M -14.5M -8.7M
Long term debt issuance 0 0 0 0
Long term debt payments 0 -305K -1.2M -1.2M
Short term debt issuance
Common stock issuance 4.1M 0 0 2.7M
Common stock repurchase -38K 0
Common dividends -20.8M -15.7M -13.2M -10.2M
Other financing charges 1K
End cash position 176.2M 142.7M 120.5M 107.5M
Income tax paid
Interest paid
Free cash flow 53.5M 42.4M 29.4M 31.2M
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