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OPTUOptimum Communications, Inc.
$1.50$702M
Overview & Verdict
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Valuation & Forecasts
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HomeStocksOPTUQuarterly Cash Flow

Optimum Communications, Inc. (OPTU) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Optimum Communications, Inc. (OPTU) quarterly cash flow statement — complete operating, investing & financing history

OPTU Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash from Operations170.28M481.56M147.45M411.96M187.48M439.92M436.02M306.79M399.66M496.21M474.5M438.84M416.85M461.19M629.16M676.34M600.22M676.6M698.31M729.54M
Operating CF Margin %8.24%22.06%6.99%19.19%8.71%19.68%19.57%13.69%17.76%21.56%20.48%18.88%18.17%19.47%26.29%27.46%24.78%26.84%27.12%29%
Operating CF Growth %-9.17%9.47%-66.18%34.28%-53.09%-11.34%-8.11%-30.09%-4.12%7.6%-24.58%-35.11%-30.55%-31.84%-9.9%-7.29%-19.93%-16.03%5.95%-22.06%
Net Income-2.88B-71.2M-1.62B-87.99M-71.27M-54.12M-40.84M15.36M-21.19M-117.81M75.52M86.14M31.17M-192.41M97.62M113.54M202.14M260.71M270.75M197.66M
Depreciation & Amortization406.5M464.16M415.31M409.7M429.63M471.73M386.34M406.98M399.88M418.49M402.37M418.7M416.21M446.43M445.77M446.13M435.35M460.01M447.96M455.2M
Stock-Based Compensation020.46M12.01M16.17M15.45M16.81M20.17M16.42M13.76M18.56M16.11M15.88M-2.62M45.58M37.35M36.53M40.53M18.02M24.35M0
Deferred Taxes-111.44M082.9M-133.21M-127.41M-388.92M2.69M-96.41M86.59M-39.62M-73.89M-56.15M-57.25M125.63M-31.52M-41.57M-16.15M-56.34M-1.72M69.6M
Other Non-Cash Items2.87B43.85M1.59B32.34M20.58M47.51M39.67M36.67M45.44M211.02M38.1M51.8M12.7M30.11M161.76M160.55M95.45M104.65M53.08M99.62M
Working Capital Changes-110.77M24.29M-332.66M174.96M-79.5M346.91M27.99M-72.23M-124.82M5.57M16.29M-77.53M16.63M5.85M-81.82M-38.84M-157.1M-110.44M-96.1M-92.55M
Change in Receivables13.94M-29.74M-45.17M-14.6M17.19M11.5M-16.49M-94.49M36.51M-104.49M-18.79M-36.98M26.36M-45.67M1.18M-9.9M9.11M4.7M-48.16M-42.22M
Change in Inventory0000000000-20.44M2.24M000013.48M000
Change in Payables-29.21M0-257.74M71.77M42.96M93.42M043.91M-64.86M-36.88M20.44M-2.24M0000-13.48M00-87.77M
Cash from Investing-304.67M-283.1M-265.14M-382.01M-363.55M-409.53M-360.09M-350.12M-343.04M-295.29M-353.32M-474.82M-583.1M-545.41M-497.99M-486.62M-391.48M-385.81M-310.26M-666.89M
Capital Expenditures-307.7M-282.13M-326.16M-383.52M-356.12M-390.04M-359.16M-347.72M-336.1M-295.25M-353.22M-473.44M-582.9M-543.23M-493.56M-485.13M-392.37M-386.65M-309.17M-666.89M
CapEx % of Revenue14.9%12.92%15.47%17.86%16.55%17.45%16.12%15.52%14.93%12.83%15.24%20.37%25.41%22.93%20.62%19.7%16.2%15.34%12.01%26.51%
Acquisitions--------------------
Investments--------------------
Other Investing3.03M-972K61.02M1.51M191K13.29M2.79M-370K610K-35K-99K-1.38M-198K-2.18M-2.38M-1.5M888K841K-1.21M-3.22M
Cash from Financing106.03M-100.92M914.3M-62.74M198.73M-23.84M-188.45M121.19M-73.61M-168.03M-69.9M33.93M81.41M138.89M-113.72M-152.45M-208.63M-327.01M-376.31M-61.76M
Debt Issued (Net)--------------------
Equity Issued (Net)000000000000000000-79.41M-221.87M
Dividends Paid00000000000000000000
Share Repurchases000000000000000000-79.41M-221.87M
Other Financing-7.93M-113.04M-67.15M-27.6M-14M-3.6M-2.09M-2.28M-20.91M-47.53M-7.58M-7.27M38.2M-8.19M-207K00-14.24M1.36M946K
Net Change in Cash-1.12B97.78M796.08M-31.85M22.61M6.53M-112.1M77.66M-17.6M33.68M49.25M-1.32M-85.03M54.91M17.61M37.32M-63K-36.74M11.13M748K
Free Cash Flow-137.42M199.43M-178.72M28.45M-168.64M49.88M76.86M-40.93M63.57M200.96M121.28M-34.6M-166.05M-82.04M135.6M191.21M207.85M289.95M389.14M62.65M
FCF Margin %-6.65%9.14%-8.48%1.32%-7.84%2.23%3.45%-1.83%2.82%8.73%5.23%-1.49%-7.24%-3.46%5.67%7.76%8.58%11.5%15.11%2.49%
FCF Growth %18.51%299.79%-332.5%169.5%-365.3%-75.18%-36.62%-18.27%138.28%344.95%-10.56%-118.1%-179.89%-128.29%-65.15%205.19%-61.28%-37.17%25.39%-91.14%
FCF per Share-0.290.43-0.380.06-0.360.110.17-0.090.140.440.27-0.08-0.36-0.180.300.420.460.640.850.14
FCF Conversion (FCF/Net Income)-0.06x-6.76x-0.09x-4.28x-2.48x-8.13x-10.15x19.97x-18.86x-4.21x7.10x5.60x16.12x-2.39x7.41x6.37x3.05x2.69x2.62x3.69x
Interest Paid0000547.16M000401.99M000389.16M0000000
Taxes Paid0000000011.15M00012.66M0000000