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ADArray Digital Infrastructure, Inc.
$37.07$3.2B
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HomeStocksADQuarterly Cash Flow

Array Digital Infrastructure, Inc. (AD) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Array Digital Infrastructure, Inc. (AD) quarterly cash flow statement — complete operating, investing & financing history

AD Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations23.83M-202.06M-82.1M325M160M122M245M313M203M147M329M349M
Operating CF Margin %45.81%-334.93%-174.24%35.48%17.96%12.56%26.57%33.76%21.37%14.7%34.16%36.47%
Operating CF Growth %-85.11%-265.62%-133.51%3.83%-21.18%-17.01%-25.53%-10.32%395.12%-18.33%344.59%30.71%
Net Income177.99M41.36M92.03M32M20M5M-79M18M18M14M23M5M
Depreciation & Amortization12.6M12.4M11.87M162M163M166M170M164M165M166M160M160M
Stock-Based Compensation227K0012M17M18M12M12M13M9M8M-7M
Deferred Taxes-62.26M43.35M-72.09M-1M-8M8M-46M7M0000
Other Non-Cash Items-188.19M-212.34M29.86M58M-3M62M138M52M33M098M123M
Working Capital Changes83.46M-86.83M-143.77M62M-29M-137M50M60M-26M-42M40M68M
Change in Receivables9.51M-1.47M-28.16M-16M39M-90M38M-14M18M-53M8M4M
Change in Inventory00051M1M-17M-19M33M24M-24M34M53M
Change in Payables-7.33M-31.57M26.23M13M-17M-31M12M15M0000
Cash from Investing1B-8.6M2.6B-76M-74M-141M-131M-140M-144M-257M-119M-153M
Capital Expenditures1B-8.6M2.6B-75M-72M-138M-129M-137M-133M-257M-103M-155M
CapEx % of Revenue1930.75%14.26%5510.23%8.19%8.08%14.21%13.99%14.78%14%25.7%10.7%16.2%
Acquisitions------------
Investments------------
Other Investing002.46B-1M-2M-3M-2M-3M-11M-103M-16M2M
Cash from Financing-887.81M-1.56M-2.59B-49M-44M-110M-41M-168M-28M104M-249M-172M
Debt Issued (Net)------------
Equity Issued (Net)00-360K-36M-21M-28M-26M0000-6M
Dividends Paid-885.47M0-1.99B000000000
Share Repurchases00-360K-36M-21M-28M-26M0000-6M
Other Financing-2.34M-811K-58.78M-6M-18M-37M-10M-25M-13M-38M-10M-13M
Net Change in Cash140.24M-212.23M-75.37M200M42M-129M73M5M31M-6M-39M24M
Free Cash Flow1.03B-210.66M2.51B248M86M-19M114M172M70M-110M226M194M
FCF Margin %1976.56%-349.19%5335.99%27.07%9.65%-1.96%12.36%18.55%7.37%-11%23.47%20.27%
FCF Growth %1095.4%-1008.76%2105.5%44.19%22.86%82.73%-49.56%-11.34%145.16%-746.15%580.85%50.39%
FCF per Share11.89-2.4428.952.820.98-0.221.331.950.80-1.252.632.26
FCF Conversion (FCF/Net Income)0.13x-5.00x-0.41x10.48x8.89x24.40x-3.10x18.41x11.28x10.50x14.30x69.80x
Interest Paid000000000189M00
Taxes Paid000000000000