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Income Statement
Balance Sheet
Cash Flow Statement
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Common Size IS
Op Efficiency
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WOLVERINE TUBE INC (WLVT)

Cash Flow Statement

Standardized | As Reported Annual | Quarterly | TTM
  Older >>
In millions, except per share itemsDec-31-08Dec-31-07Dec-31-06Dec-31-05Dec-31-04Dec-31-03Dec-31-02Dec-31-01
   10-K/A10-K/A10-K10-K10-K/A10-K10-K10-K
Net income  -60.3-116.1-79.2-38.60.4-40.65.520.1
Depreciation and amortization   [+]10.212.116.216.317.419.018.418.7
        Depreciation  7.19.513.914.715.917.417.115.0
        Amortization  3.22.62.31.61.51.61.43.7
Stock-based compensation  0.82.60.50.50.3   
Deferred taxes  -1.92.89.1-4.6-5.0-12.5-0.9-1.6
Change in working capital   [+]23.716.5-3.0-3.3-42.5-22.88.6-10.7
Other operating activities  53.224.158.225.520.757.29.90.3
Cash from operations  25.7-58.01.9-4.1-8.60.241.426.6
   
Capital expenditures  -3.8-2.7-5.8-9.8-11.7-6.0-7.7-27.6
Other cash from investing  40.70.2-4.416.1-5.5-4.3 -1.6
Cash from investing  36.9-2.6-10.26.3-17.2-10.2-7.7-29.2
   
Cash dividends paid  -2.0-3.0    -0.1-0.3
Issuance of common stock, net    0.00.524.2 0.10.1
Other cash from financing  -174.7135.5-0.1-6.1-20.0-1.2-1.416.4
Cash from financing  -176.7132.5-0.1-5.64.2-1.2-1.416.3
   
Free cash flow  21.9-60.7-3.9-14.0-20.4-5.733.7-1.0
        Per share (diluted)  $0.54($3.19)($0.26)($0.93)($1.49)($0.47)$2.75($0.08)

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