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can you show me what figures to use to find free cash flow? $ 371,273 5 25 98966 10,714 35.720 30,468 (9.767) 10,072 (136,188) (7.212)

can you show me what figures to use to find free cash flow?

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$ 371,273 5 25 98966 10,714 35.720 30,468 (9.767) 10,072 (136,188) (7.212) 128,356) (1.713) 174,352 19.663 568 552 (143,036) Cash flows from operating activities: Net earnings......... Adjustments to reconcile net earnings to net cash pewided by operating activities: Depreciation and amortization of property, plant and equipment......... Amortization of other assets... Provision for bad debts and returns....... Non-cash share-based compensation........ Deferred income taxes........ Cain (less) on non-currem assets .... Net foreign currency adjustments..... Increase) decrease in assets: Receivables...-... Inventories........ Prepaid expenses and other current assets...... Other assets....... Increase (decrease in liabilities: Accounts payable .......... Accrued expenses and other long-term liabilities .... Net cash provided by operating activities Cash flows from investing activities: Capital expenditures ........... Intangible asset additions....... Purchases of investments .............. Proceeds from sales of investments Acquisition of South Korea distributor Net cash used in investing activities... Cash flows from financing activities: Net proceeds from the issuances of common stock through employee stock purchase plan........... Payments on long-term debt.... Proceeds from long-term deht.................. Proceeds (payments) on short-term borrowings..... Payments for taxes related to net share settlement of equity awards... Excess tax benefits from share-based compensation... Repurchase of Class A common stock ........... Distributions to non-controlling interests of consolidated entity....... Contribution from non-controlling interests of consolidated entity... Net cash used in financing activities ........ Net increase in cash and cash equivalents.... Effect of exchange rates on cash and cash equivalents ........ Cash and cash equivalents at beginning of the year.......... Cash and cash equivalents at end of the year................... (446,127) 269.749 (19.414) 5.297 (1.683) 18 626 1787) (14,191) (99.977) (27.000) (119.715) 129,423 6,383 736.431 872.287 Supplemental disclosures of cash flow information: Cash paid during the year for

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