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36.80000 EUR
0.6
1.60%
Last update May 8, 8:05 AM CEST
Main market
Day range
36.80000
36.80000
Previous close
37.40000
Open
36.80000
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Calix Inc.
36.80
0.60
1.60%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2025 2024 2023 2022
Operating activities 118.3M 79.0M 84.2M 45.8M
Net income 17.9M -24.9M 29.3M 41.0M
Depreciation 17.7M 16.3M 16.6M 14.3M
Deferred taxes 12.9M -8.3M -660K 1.9M
StockBased compensation 87.9M 59.2M 62.8M 44.8M
Other non cash items
Accounts receivable -20.0M 39.1M -32.2M -8.6M
Accounts payable 21.5M -12.7M -6.4M 12.1M
Other assets liabilities -19.6M 10.3M 14.7M -59.8M
Investing activities -6.4M -91.6M -6.2M -24.1M
Capital expenditures -19.4M -15.1M -17.9M -14.1M
Net intangibles
Net acquisitions
Purchase of investments -220.8M -252.3M -216.2M -191.4M
Sale of investments 233.9M 175.8M 227.8M 181.4M
Other investing activity
Financing activities -93.6M -8.9M -98.1M -2.4M
Long term debt issuance
Long term debt payments 0
Short term debt issuance 0
Common stock issuance 0
Common stock repurchase -93.6M -8.9M -86.4M 0
Common dividends
Other financing charges -11.7M -2.4M
End cash position 143.1M 36.1M 63.4M 79.1M
Income tax paid 6.9M 4.9M 11.9M 9.6M
Interest paid 0 0 253K 577K
Free cash flow 115.5M 42.1M 38.4M 13.1M
Access the full /cash_flow historical dataset via the API — starting from the Pro plan (individual) and the Venture plan (business) and above.
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