Calix Limited

CXL.AX · ASX
Analyze with AI
6/30/2025
6/30/2024
6/30/2023
6/30/2022
Operating Activities
Net IncomeA$0-A$25-A$23-A$16
Dep. & Amort.A$0A$0A$6A$4
Deferred TaxA$0A$0-A$22-A$0
Stock-Based Comp.A$0A$0A$3A$0
Change in WC-A$6A$5-A$3A$8
Other Non-Cash-A$23A$6A$22A$0
Operating Cash Flow-A$29-A$14-A$17-A$4
Investing Activities
PP&E Inv.-A$10-A$19-A$13-A$9
Net AcquisitionsA$0A$0A$0A$23
Inv. PurchasesA$0A$0A$0A$0
Inv. Sales/Matur.A$0A$0A$0A$0
Other Inv. Act.-A$0A$2-A$3-A$2
Investing Cash Flow-A$11-A$18-A$13A$14
Financing Activities
Debt Repay.-A$1A$0A$1A$0
Stock IssuedA$22A$0A$80A$1
Stock Repurch.-A$1A$0A$0A$0
Dividends PaidA$0A$0-A$1-A$1
Other Fin. Act.-A$1-A$1-A$2-A$0
Financing Cash FlowA$19-A$0A$80-A$0
Forex EffectA$0A$0A$0A$0
Net Chg. in Cash-A$20-A$32A$49A$10
Supplemental Information
Beg. CashA$43A$74A$25A$15
End CashA$23A$43A$74A$25
Free Cash Flow-A$40-A$33-A$30-A$13