QuoteMedia Inc. | Cash Flow

Fiscal year is January-December. All values USD Thousands.
2013
2014
2015
2016
2017
2018
Net Income before Extraordinaries
1,143.90
1,384.70
1,656.80
1,681.30
1,509.00
497.90
Depreciation, Depletion & Amortization
807.90
855.50
882.20
861.20
837.30
893.20
Other Funds
196.90
100.50
411.50
175.20
146.70
517.60
Funds from Operations
139.20
428.70
363.10
644.90
525.00
1,908.70
Changes in Working Capital
812.20
1,384.10
985.30
1,489.20
1,583.90
404.60
Net Operating Cash Flow
673.00
955.40
622.30
844.30
1,058.80
1,504
Capital Expenditures
905.20
958.20
793.80
824.50
879.40
Net Investing Cash Flow
905.20
958.20
793.80
824.50
879.40
Net Change in Cash
232.20
2.80
171.50
19.90
179.50
Free Cash Flow
229.80
2.90
506.10
19.90
179.50

About QuoteMedia

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Address
17100 East Shea Boulevard
Fountain Hills Arizona 85268
United States
Employees -
Website http://www.quotemedia.com
Updated 07/08/2019
QuoteMedia, Inc. engages in the provision of dynamic financial content tools and widgets for websites. It offers financial data, news feeds, market research information, and financial software solutions to online brokerages, clearing firms, banks, financial service companies, media portals, and public corporations. The firm provides an array of market information and services, including streaming stock market data feeds, research and analysis information, content applications, portfolio management systems, software products, corporate investor relations provisioning, news services, wireless applications, and custom development.