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Orthofix Intl NV (OFIX)

Orthofix Intl NV (OFIX)
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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 -92,192 -125,997 -151,395 -19,749 -38,379
Depreciation Amortization 83,255 88,150 96,605 32,075 44,851
Income taxes - deferred 223 1,883 579 314 24,482
Accounts receivable -1,583 -9,526 -10,411 -6,735 -7,049
Accounts payable and accrued liabilities 2,599 -5,571 8,642 2,282 4,253
Other Working Capital -21,497 -19,251 -53,964 -61,342 -35,524
Other Operating Activity 62,542 96,102 64,191 41,617 25,841
Operating Cash Flow $33,347 $25,790 $-45,753 $-11,538 $18,475
Cash Flows From Investing Activities
PPE Investments -34,626 -34,876 -62,050 -23,160 -19,592
Net Acquisitions N/A N/A 29,419 -1,500 N/A
Purchase Of Investment N/A N/A N/A N/A -2,171
Sale Of Investment N/A 7,396 N/A 126 N/A
Other Investing Activity 28 -100 -500 0 -1,250
Investing Cash Flow $-34,598 $-27,580 $-33,131 $-24,534 $-23,013
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A 197,600 174,500 N/A N/A
Debt Repayment -762 -706 -27,551 -2,594 -537
Common Stock Issued 5,929 6,257 5,127 4,337 8,824
Other Financing Activity -5,953 -152,442 -86,754 -1,821 -11,908
Financing Cash Flow $-786 $50,709 $65,322 $-78 $-3,621
Exchange Rate Effect 1,414 -938 619 -997 -815
Beginning Cash Position 85,738 37,757 50,700 87,847 96,821
End Cash Position 85,115 85,738 37,757 50,700 87,847
Net Cash Flow $-623 $47,981 $-12,943 $-37,147 $-8,974
Free Cash Flow
Operating Cash Flow 33,347 25,790 -45,753 -11,538 18,475
Capital Expenditure -34,626 -34,876 -62,050 -23,160 -19,592
Free Cash Flow -1,279 -9,086 -107,803 -34,698 -1,117
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