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OXLCGOxford Lane Capital Corp. 7.95% Notes due 2032
$25.15$2.4B
Overview & Verdict
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HomeStocksOXLCGQuarterly Cash Flow

Oxford Lane Capital Corp. 7.95% Notes due 2032 (OXLCG) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Oxford Lane Capital Corp. 7.95% Notes due 2032 (OXLCG) quarterly cash flow statement — complete operating, investing & financing history

OXLCG Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'26Q2'26Q4'25Q2'25Q4'24Q2'24Q4'23Q2'23Q4'22Q2'22Q4'21Q2'21Q4'20Q2'20Q4'19Q2'19Q4'18Q2'18Q4'17Q2'17
Cash from Operations249.02M447.18M368.94M485.93M214.55M208.62M126.47M254.83M283.14M264.32M87.34M36.66M75.79M47.01M-20.85M-66.34M-17.79M-30.94M-188.86K30.27M
Operating CF Margin %149.78%198.3%165.05%237.97%136.16%156.78%99.06%223.2%252.39%298.84%148.29%-5710.76%120.03%88.93%-50.01%-148.05%-44.7%-86.79%-0.66%128.66%
Operating CF Growth %-32.5%-7.97%71.96%132.93%69.64%-18.13%-55.33%-3.59%224.16%620.96%15.25%-22.01%463.51%170.86%-17.22%-114.41%-9317.97%-202.21%-102.4%176.75%
Net Income-605.98M20.89M-17.14M65.59M119.86M115.25M14.15M-185.44M-19.69M145.57M217.97M71.97M-204.56M-86.57M-5.25M16.69M9.5M6.43M26.3M76.59M
Depreciation & Amortization00000000000000000000
Stock-Based Compensation00000000000000000000
Deferred Taxes00000000000000000000
Other Non-Cash Items895.01M396.89M375.31M415.16M85.56M101.05M114.86M424.06M312.62M116.48M-127.52M-29.04M277.7M135.93M-14.78M84.82M-27.75M53.8M-27.16M-42.53M
Working Capital Changes-40.01M29.4M10.76M5.17M5.32M-3.63M-1.68M8.39M-5.04M1.13M-1.5M-3.04M1.1M-926.08K-828.29K-167.85M460.83K-91.17M666.58K-3.79M
Change in Receivables-14.89M17.38M-2.5M5.66M-994.46K-4.04M-6.48M8.22M-6.12M-182.79K-4.18M-1.93M681.68K-3.21M000000
Change in Inventory00000000000000000000
Change in Payables-21.69M13.65M5.55M-464K4.79M-4.87K5.63M-402.04K1.38M1.31M2.58M-1.29M869.84K1.78M08.78M0-822.77K0-9.5M
Cash from Investing-11.38M-609.39M-826.73M-731.94M-253.69M-293.27M-146.48M-326.38M-560.65M-372.3M-161.07M29.12M-233.38M-160.64M000000
Capital Expenditures00002000000000000000
CapEx % of Revenue0%0%0%-0%---------------
Acquisitions--------------------
Investments1.71B2.6B001.68B1.44B1.29B1.24B1.35B1.16B826.01M525.72M508.38M590.56M542.23M560.01M488.18M396.98M356.8M297.4M
Other Investing00000000000000000000
Cash from Financing-160.04M-114.03M546.64M409.53M55.01M90.01M-4.24M82.87M243.75M85.56M134.7M-47.55M143.73M117.68M21.22M53.96M2.97M21.78M-5.1M-27.59M
Debt Issued (Net)--------------------
Equity Issued (Net)0110.4M549.04M494.05M146.87M164.94M123.46M80.11M194.77M115.86M70.62M35.29M186.62M161.28M60.38M78.4M35.6M44.34M48.73M-4.29M
Dividends Paid-226.75M-224.29M-181.05M-127.47M-91.67M-74.93M-63.95M-58.58M-47.55M-38.05M-32.47M-42.62M-47.89M-36.11M-13.56M-24.44M-10.38M-19.58M-12.23M-23.14M
Share Repurchases0-20.47M00004.71M-122.7M190.84M0576.11K-6.96M-30M163.62M-633.98K80.54M-12.9M44.26M-4.09M-4.02M
Other Financing66.7M-140.16K0-68.13M-189.22K0-66.1M01.11M096.55M000-25.6M3-473.47K-616.95K-1.04M-156.57K
Net Change in Cash77.6M-276.25M0163.52M15.87M5.37M-24.25M11.32M-33.77M-22.42M60.97M18.23M-13.86M4.05M284.93K-12.38M1.58M-9.16M-1.59M2.68M
Free Cash Flow249.02M447.18M368.94M485.93M214.55M208.62M126.47M254.83M283.14M264.32M87.34M36.66M75.79M47.01M-20.85M-66.34M-17.79M-30.94M-188.86K30.27M
FCF Margin %149.78%198.3%165.05%237.97%136.16%156.78%99.06%223.2%252.39%298.84%148.29%-5710.76%120.03%88.93%-50.01%-148.05%-44.7%-86.79%-0.66%128.66%
FCF Growth %-32.5%-7.97%71.96%132.93%69.64%-18.13%-55.33%-3.59%224.16%620.96%15.25%-22.01%463.51%170.86%-17.22%-114.41%-9317.97%-202.21%-102.4%176.75%
FCF per Share2.565.140.811.930.981.030.801.691.962.380.930.421.010.80-0.49-2.19-0.67-1.23-0.011.53
FCF Conversion (FCF/Net Income)-0.41x21.41x-21.53x7.41x1.79x1.81x8.94x-1.37x-14.38x1.82x0.40x0.51x-0.37x-0.54x0.55x-3.97x-0.56x-4.81x-0.01x0.40x
Interest Paid00000000000000000000
Taxes Paid00000000000000000000