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    RPX Corporation (RPXC)

    -NMS
    9.94 Up 0.23(2.37%) May 27, 4:00PM EDT
    Cash FlowGet Cash Flow for:
    View: Annual Data | Quarterly DataAll numbers in thousands
    Period EndingMar 31, 2016Dec 31, 2015Sep 30, 2015Jun 30, 2015
    Net Income 4,237   5,527   7,834   8,030  
    Operating Activities, Cash Flows Provided By or Used In
    Depreciation45,104  40,637  38,692  37,726  
    Adjustments To Net Income3,670  (5,447)3,592  3,020  
    Changes In Accounts Receivables(19,277)(3,229)914  3,761  
    Changes In Liabilities16,887  5,064  (22,875)(14,766)
    Changes In Inventories -   -   -   -  
    Changes In Other Operating Activities4,508  (7,861)2,307  (6,774)
    Total Cash Flow From Operating Activities 55,129   34,691   30,464   30,997  
    Investing Activities, Cash Flows Provided By or Used In
    Capital Expenditures(983)(546)(483)(587)
    Investments180,061  24,825  14,447  (24,011)
    Other Cash flows from Investing Activities(244,653)(48,816)(35,104)(22,105)
    Total Cash Flows From Investing Activities (65,575) (24,537) (21,140) (46,703)
    Financing Activities, Cash Flows Provided By or Used In
    Dividends Paid -   -   -   -  
    Sale Purchase of Stock(23,774)(16,501)(5,474)226  
    Net Borrowings99,901  (2,000) -  (935)
    Other Cash Flows from Financing Activities(993)(1,427)(1,363)(1,450)
    Total Cash Flows From Financing Activities 73,154   (19,739) (6,628) (1,280)
    Effect Of Exchange Rate Changes22   -   -   -  
    Change In Cash and Cash Equivalents 62,730   (9,585) 2,696   (16,986)

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    Currency in USD.