PLUG POWER INC (PLUG)

US72919P2020 - Common Stock

3.41  -0.03 (-0.87%)

After market: 3.41 0 (0%)

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TTM
(2024-3-31)
2023
(2023-12-31)
2022
(2022-12-31)
2021
(2021-12-31)
2020
(2020-12-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
-1.46B-1.37B-724.01M-459.96M-596.15M
Depreciation Amortization
77.67M71.08M51.60M23.37M15.57M
Income Taxes - Deferred
-7.42M-8.53M170.00K-16.20M-30.84M
Change In Working Capital
-288.83M-461.88M-397.59M-73.83M-24.70M
Interest Paid
43.05M41.81M35.52M19.33M28.94M
Other non cash items
679.26M661.59M241.21M168.45M480.65M
OPERATING CASH FLOW
-997.38M-1.11B-828.62M-358.18M-155.48M
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-614.87M-696.13M-463.87M-193.27M-50.22M
Other Investing Activity
1.13B1.42B-215.50M-1.55B-45.11M
INVESTING CASH FLOW
511.67M728.05M-679.37M-1.74B-95.33M
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-7.69M24.62M-53.36M20.61M211.79M
Stock Issued/Repurchased
306.32M1.61M2.30M3.61B1.30B
Other Financing Activity
-16.64M-20.11M-26.40M-33.63MN/A
FINANCING CASH FLOW
282.00M6.12M-77.46M3.60B1.52B
 
Exchange Rate Effect
-1.52M-7.80M2.60M-802.00K65.00K
CHANGE IN CASH
-205.22M-380.20M-1.58B1.50B1.26B
 
FREE CASH FLOW
Operating Cash Flow
-997.38M-1.11B-828.62M-358.18M-155.48M
Capital Expenditure
-614.87M-696.13M-463.87M-193.27M-50.22M
FREE CASH FLOW
-1.61B-1.80B-1.29B-551.44M-205.70M

All data in USD

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