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Charles River Laboratories Intl (CRL)

Charles River Laboratories Intl (CRL)
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[[ session ]] by (Cboe BZX)
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2025 12-2024 12-2023 12-2022 12-2021
Cash Flows From Operating Activities
Net Income -142,163 25,291 480,370 492,608 398,837
Depreciation Amortization 568,312 576,741 314,124 303,870 265,540
Income taxes - deferred -75,292 -67,428 -50,903 -35,884 -24,006
Accounts receivable 35,737 21,612 -33,434 -150,570 -26,633
Accounts payable and accrued liabilities 2,869 -14,271 -20,427 -2,652 44,901
Other Working Capital 14,081 -30,329 -102,380 -152,554 42,942
Other Operating Activity 334,102 222,961 96,548 164,822 59,218
Operating Cash Flow $737,646 $734,577 $683,898 $619,640 $760,799
Cash Flows From Investing Activities
Change In Deposits -20,076 -52,876 -54,215 -158,274 -45,555
PPE Investments -219,152 -232,967 -318,528 -324,733 -228,772
Net Acquisitions 17,441 -5,479 -194,785 -120,117 -1,170,401
Sale Of Investment 9,102 41,687 6,667 4,549 6,532
Other Investing Activity 3,364 4,549 -2,294 -9,347 264
Investing Cash Flow $-209,321 $-245,086 $-563,155 $-607,922 $-1,437,932
Cash Flows From Financing Activities
Debt Issued 1,227,534 1,081,581 776,353 2,952,430 6,951,113
Debt Repayment -1,349,317 -1,493,769 -851,676 -2,932,636 -6,281,132
Common Stock Issued 714 23,878 25,597 25,110 45,652
Common Stock Repurchased -360,673 -119,175 -24,155 -38,651 -40,707
Other Financing Activity -54,984 -43,442 -11,640 -48,650 -2,328
Financing Cash Flow $-536,726 $-550,927 $-85,521 $-42,397 $672,598
Exchange Rate Effect 18,828 -17,474 8,044 25,579 17,730
Beginning Cash Position 205,570 284,480 241,214 246,314 233,119
End Cash Position 215,997 205,570 284,480 241,214 246,314
Net Cash Flow $10,427 $-78,910 $43,266 $-5,100 $13,195
Free Cash Flow
Operating Cash Flow 737,646 734,577 683,898 619,640 760,799
Capital Expenditure -219,152 -232,967 -318,528 -324,733 -228,772
Free Cash Flow 518,494 501,610 365,370 294,907 532,027
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