Cognex Corp (CGNX)

Cognex (CGNX) Cash flow


Cognex Cash Flow

CGNX's free cash flow for Q was $22.05M. For the fiscal year, CGNX's free cash flow was decreased by $-74.87M and operating cash flow was $27.55M. See a summary of the company’s cash flow.
Cash Flow
Dec 22Dec 21Dec 20Dec 19Dec 18
Operating Cash Flow
$ 221.44M$ 243.41M$ 314.06M$ 242.40M$ 253.31M$ 223.45M
Investing Cash Flow
$ -79.48M$ -4.45M$ -252.54M$ 169.44M$ -157.34M$ -10.83M
Financing Cash Flow
$ -141.58M$ -240.37M$ -141.62M$ -316.87M$ -32.23M$ -209.90M
Cash Flow From Discontinued Operation
Other Cash Adjustment Inside Changein Cash
End Cash Position
$ 436.22M$ 181.37M$ 186.16M$ 269.07M$ 171.43M$ 108.21M
Income Tax Paid Supplemental Data
Interest Paid Supplemental Data
Issuance Of Capital Stock
Issuance Of Debt
Repayment Of Debt
Free Cash Flow
$ 200.85M$ 223.74M$ 298.61M$ 229.10M$ 231.57M$ 186.36M
Domestic Sales
Foreign Sales
Currency in USD

Cognex Cash Flow

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