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COMMCommScope Holding Company, Inc.
$17.82$3.9B
Overview & Verdict
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Valuation & Forecasts
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HomeStocksCOMMQuarterly Cash Flow

CommScope Holding Company, Inc. (COMM) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

CommScope Holding Company, Inc. (COMM) quarterly cash flow statement — complete operating, investing & financing history

COMM Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21Q1'21Q4'20
Cash from Operations151.4M77.1M-186.9M277.9M122.1M50.8M-177.7M60.4M138.8M136.8M-46.1M386.7M-87.6M-94.5M-14.6M-12.4M67.1M191.6M-124M97.7M
Operating CF Margin %9.29%5.55%-16.8%23.77%11.28%4.82%-19.72%6.54%13.18%8.61%-2.77%20.08%-3.68%-4.11%-0.66%-0.56%3.19%8.77%-5.98%4.58%
Operating CF Growth %24%51.77%-5.18%360.1%-12.03%-62.87%-285.47%-84.38%258.45%244.76%-215.75%3218.55%-230.55%-149.32%88.23%-112.69%-61.03%-8.33%-190.4%-70.92%
Net Income108.4M31.8M784M32.3M-58.5M44.4M-359.2M-525.2M-828.7M-100.4M3.4M-1.06B22.9M-61M-139.9M-87M-124.2M-153.8M-97.6M23.9M
Depreciation & Amortization74.7M75.2M78M82.8M85.2M89.8M112.7M119M138.7M139.4M164.1M167M172.8M176.1M180.2M190.5M203M193.6M199.2M204.5M
Stock-Based Compensation10.7M9.1M7.5M8M8.3M1.6M11.2M11.8M11.3M6.2M13.5M016.4M000016.4M00
Deferred Taxes31.4M-12M13.3M63.1M-4M-80.6M87.4M66.6M-188M0-30M-43.2M-49M-28.5M2.3M10.6M-77M0-53.4M-58.1M
Other Non-Cash Items200K500K-855.4M90.5M42.7M17.2M57.4M267.5M839.2M-81.1M-32.4M1.09B-11.4M12.4M16.5M32.3M21M171.1M23.5M25M
Working Capital Changes-74M-27.5M-214.3M1.2M48.4M-21.6M-87.2M120.7M166.3M172.7M-164.7M236.4M-239.3M-193.5M-73.7M-158.8M44.3M-35.7M-195.7M-97.6M
Change in Receivables-108.8M-88.6M-149.9M-38.5M91.6M-160.6M-19.9M86.7M200.6M-900K175.3M175M-104.6M-25.9M-60.5M-23.4M137.7M-9.7M-164.2M27.5M
Change in Inventory22.5M-54.1M-35.9M94.3M11.5M15.3M31.4M173.3M82.4M167.5M-31.9M-25.5M-1.9M-77.7M-73.7M-186.3M-108.6M-54.2M-10.7M29.8M
Change in Payables82.3M105.4M20.5M61.7M-35.6M144.2M-26.8M0-113.6M0-318.3M111.6M-126M-52.3M23.5M85.5M1.5M0-23.9M-150.2M
Cash from Investing-16.3M4.7M2.02B-2.9M-6.7M-50.2M2.6M20M-8.6M-9M35.9M-19.5M-23.4M-23.2M-16M-25.2M-34.7M-51.5M-25.4M-43.4M
Capital Expenditures-16.4M-12.6M-15.5M-7.3M-6.7M-5.3M-6M-9.4M-8.7M-20.8M-14.4M-22.6M-23.6M-27.7M-27.4M-35.2M-36M-33.8M-26.4M-47.7M
CapEx % of Revenue1.01%0.91%1.39%0.62%0.62%0.5%0.67%1.02%0.83%1.31%0.87%1.17%0.99%1.2%1.23%1.58%1.71%1.55%1.27%2.24%
Acquisitions100K0000-44.9M00200K000100K0010.5M1.3M01M4.8M
Investments--------------------
Other Investing017.3M04.4M008.6M29.4M-100K11.8M50.3M3.1M100K4.5M11.4M-500K0-17.7M0-500K
Cash from Financing-300K-9.4M-2.01B-57.2M-8M-9.6M-8.2M-58.8M-25.1M-36.7M-61.1M-119.4M33M38.6M-17.2M-11.8M-62.3M-22.7M-42.7M-124M
Debt Issued (Net)00-2B24M-8M-8M-8M-58.5M-25.1M-33M-58M-120.2M47M42M-8M-10.4M-17.6M-8M-8M-108.1M
Equity Issued (Net)0-1000K-1000K-100K0-1000K-200K00-1000K0-100K0-100K100K100K1000K-300K1000K1000K
Dividends Paid000000000000-14.9M000-14.3M-14.4M-14.3M-14.3M
Share Repurchases1.5M-9.4M-1.5M-100K0-1.6M-200K00-3.9M00-100K0000-300K00
Other Financing-300K0-5.7M-81.1M000-300K0200K-3.1M900K900K-3.3M-9.3M-1.5M-32M0-24.3M-9.6M
Net Change in Cash134.2M77.8M-170M206.9M110.5M-11.3M-186.6M24.9M100.8M90.8M-70.8M227.5M-83.8M-85.4M-45.6M-51.2M-34.7M120.3M-196M-60.9M
Free Cash Flow135M64.5M-202.4M270.6M115.4M45.5M-183.7M51M130.1M116M-60.5M364.1M-111.2M-122.2M-42M-47.6M31.1M157.8M-150.4M50M
FCF Margin %8.28%4.65%-18.2%23.15%10.66%4.32%-20.39%5.52%12.35%7.3%-3.63%18.91%-4.67%-5.31%-1.88%-2.14%1.48%7.22%-7.26%2.35%
FCF Growth %16.98%41.76%-10.18%430.59%-11.3%-60.78%-203.64%-85.99%217%194.93%-44.05%864.92%-457.56%-177.44%72.07%-195.2%-78.76%-14.79%-125.83%-83.56%
FCF per Share0.490.28-0.741.250.530.21-0.870.240.610.55-0.291.75-0.53-0.59-0.20-0.230.150.77-0.750.24
FCF Conversion (FCF/Net Income)1.39x2.38x2.18x43.42x-4.44x1.14x0.57x-0.10x-0.17x-1.36x-13.56x-0.35x-3.83x1.55x0.10x0.14x-0.54x-1.25x1.27x4.09x
Interest Paid000000000102.9M000000066.3M00
Taxes Paid00000000000000000000