Transmedics Group Inc (TMDX)
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Fiscal Year End Date: 12/31
(Values in U.S. thousands)
| 12-2024 | 12-2023 | 12-2022 | 12-2021 | 12-2020 | |
| Cash Flows From Operating Activities | |||||
| Net Income | 35,464 | -25,028 | -36,231 | -44,215 | -28,748 |
| Depreciation Amortization | 19,758 | 8,177 | 3,478 | 1,817 | 1,577 |
| Income taxes - deferred | N/A | -1,660 | N/A | N/A | N/A |
| Accounts receivable | -34,310 | -33,816 | -21,678 | 840 | -218 |
| Accounts payable and accrued liabilities | -1,396 | 6,957 | -3,270 | 5,090 | -5,802 |
| Other Working Capital | -45,000 | -44,347 | -26,759 | 3,003 | -5,588 |
| Other Operating Activity | 74,287 | 76,689 | 38,643 | 4,601 | 8,514 |
| Operating Cash Flow | $48,803 | $-13,028 | $-45,817 | $-28,864 | $-30,265 |
| Cash Flows From Investing Activities | |||||
| Change In Deposits | N/A | N/A | -10,496 | -72,024 | -121,793 |
| PPE Investments | -129,744 | -179,059 | -11,907 | -3,519 | -455 |
| Net Acquisitions | 441 | -14,894 | N/A | N/A | N/A |
| Sale Of Investment | N/A | N/A | 76,916 | 104,810 | 80,650 |
| Investing Cash Flow | $-129,303 | $-193,953 | $54,513 | $29,267 | $-41,598 |
| Cash Flows From Financing Activities | |||||
| Debt Issued | N/A | 393,308 | 58,509 | N/A | 2,249 |
| Debt Repayment | N/A | N/A | -36,050 | N/A | -2,249 |
| Common Stock Issued | 22,874 | 7,110 | 145,468 | 1,393 | 75,549 |
| Financing Cash Flow | $22,874 | $400,418 | $167,927 | $1,393 | $75,549 |
| Exchange Rate Effect | -536 | 193 | -1,021 | -797 | 803 |
| Beginning Cash Position | 395,312 | 201,682 | 26,080 | 25,081 | 20,592 |
| End Cash Position | 337,150 | 395,312 | 201,682 | 26,080 | 25,081 |
| Net Cash Flow | $-58,162 | $193,630 | $175,602 | $999 | $4,489 |
| Free Cash Flow | |||||
| Operating Cash Flow | 48,803 | -13,028 | -45,817 | -28,864 | -30,265 |
| Capital Expenditure | -129,744 | -179,059 | -11,907 | -3,519 | -455 |
| Free Cash Flow | -80,941 | -192,087 | -57,724 | -32,383 | -30,720 |