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COM:TASKUS

TaskUs

  • Stock

Last Close

12.01

29/10 20:00

Market Cap

1.29B

Beta: -

Volume Today

131.29K

Avg: -

Preview

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Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
33.94M
-
34.53M
1.75%
-58.70M
269.98%
40.42M
168.86%
45.69M
13.03%
depreciation and amortization
35.17M
-
39.00M
10.89%
47.88M
22.79%
57.80M
20.70%
60.74M
5.09%
deferred income tax
-8.84M
-
-6.50M
26.50%
-11.48M
76.68%
-11.76M
2.42%
-7.96M
32.29%
stock based compensation
1.22M
-
3.43M
180.21%
46.19M
1,247.80%
68.98M
49.34%
52.76M
23.51%
change in working capital
-20.23M
-
-12.04M
40.46%
-62.78M
421.27%
-6.11M
90.28%
-12.06M
97.59%
accounts receivables
-13.05M
-
-32.01M
145.33%
-76.20M
138.09%
-15.05M
80.25%
1.86M
112.36%
inventory
-5.22M
-
4.21M
180.78%
6.47M
53.55%
accounts payables
-2.06M
-
13.54M
757.04%
4.49M
66.80%
1.82M
59.45%
-9.82M
639.24%
other working capital
96K
-
2.21M
2,204.17%
2.46M
11.03%
7.13M
190.11%
-4.10M
157.53%
other non cash items
2.53M
-
457K
81.91%
6.21M
1,258.64%
-2.24M
136.12%
4.51M
300.89%
net cash provided by operating activities
43.79M
-
58.87M
34.45%
-32.67M
155.50%
147.09M
550.19%
143.67M
2.33%
investments in property plant and equipment
-20.05M
-
-28.88M
44.09%
-59.36M
105.53%
-43.76M
26.29%
-31.00M
29.17%
acquisitions net
-23.23M
-
-1.88M
91.93%
purchases of investments
-1M
-
sales maturities of investments
1M
-
other investing activites
-1M
-
875K
187.50%
net cash used for investing activites
-20.05M
-
-28.88M
44.09%
-59.36M
105.53%
-67.99M
14.54%
-32.00M
52.94%
debt repayment
-85.53M
-
-2.89M
96.62%
-6.56M
127.25%
-273.08M
4,060.90%
-3.71M
98.64%
common stock issued
120.70M
-
3.48M
97.12%
631K
81.86%
common stock repurchased
-4.61M
-
-30.97M
572.17%
-111.96M
261.54%
dividends paid
-135M
-
-50M
-
-3.48M
93.04%
-1
100.00%
other financing activites
207.72M
-
39.88M
80.80%
-5.14M
112.88%
300.01M
5,939.08%
-4.04M
101.35%
net cash used provided by financing activities
-12.81M
-
36.99M
388.76%
54.39M
47.04%
-4.04M
107.42%
-119.08M
2,851.30%
effect of forex changes on cash
1.33M
-
3.21M
141.86%
-6.50M
302.59%
-4.66M
28.29%
-806K
82.70%
net change in cash
12.26M
-
70.19M
472.49%
-44.14M
162.89%
70.41M
259.50%
-8.22M
111.67%
cash at beginning of period
25.28M
-
37.54M
48.49%
107.73M
186.96%
63.58M
40.98%
133.99M
110.73%
cash at end of period
37.54M
-
107.73M
186.96%
63.58M
40.98%
133.99M
110.73%
125.78M
6.13%
operating cash flow
43.79M
-
58.87M
34.45%
-32.67M
155.50%
147.09M
550.19%
143.67M
2.33%
capital expenditure
-20.05M
-
-28.88M
44.09%
-59.36M
105.53%
-43.76M
26.29%
-31.00M
29.17%
free cash flow
23.74M
-
29.99M
26.31%
-92.04M
406.89%
103.34M
212.28%
112.67M
9.04%

All numbers in (except ratios and percentages)