Photronics, Inc.

PLAB · NASDAQ
Analyze with AI
10/31/2025
10/31/2024
10/31/2023
10/31/2022
Operating Activities
Net Income$136,405$183,848$199,634$179,242
Dep. & Amort.$77,605$82,805$80,835$80,330
Deferred Tax$0-$1,389-$927$809
Stock-Based Comp.$13,388$13,890$8,001$6,308
Change in WC$0-$17,710$14,633$9,307
Other Non-Cash$20,400$0$0-$809
Operating Cash Flow$247,798$261,444$302,176$275,187
Investing Activities
PP&E Inv.-$188,137-$130,942-$131,295-$112,338
Net Acquisitions$0$0$0$24,995
Inv. Purchases-$129,649-$100,558-$20,192-$38,854
Inv. Sales/Matur.$76,823$72,836$47,537-$24,995
Other Inv. Act.$2,064$2,199$2,405$3,435
Investing Cash Flow-$238,899-$156,465-$101,545-$147,757
Financing Activities
Debt Repay.$0-$6,621-$18,439-$65,440
Stock Issued$0$1,916$1,248$0
Stock Repurch.-$97,422$0$0-$2,522
Dividends Paid$0$0$0$0
Other Fin. Act.-$115,257-$3,025-$54$29,273
Financing Cash Flow-$115,257-$7,730-$18,493-$38,689
Forex Effect$228$2,127-$2,680-$46,012
Net Chg. in Cash-$106,130$99,376$179,458$42,729
Supplemental Information
Beg. Cash$601,243$501,867$322,409$279,680
End Cash$495,113$601,243$501,867$322,409
Free Cash Flow$59,661$130,502$170,881$162,849