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COM:ZOOMINFO

ZoomInfo

  • Stock

Last Close

10.37

22/11 21:00

Market Cap

4.29B

Beta: -

Volume Today

19.40M

Avg: -

Preview

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Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-28.60M
-
-78M
172.73%
-36.40M
53.33%
94.90M
360.71%
63.20M
33.40%
107.30M
69.78%
depreciation and amortization
17.30M
-
48.70M
181.50%
50.80M
4.31%
69.30M
36.42%
87.80M
26.70%
80.60M
8.20%
deferred income tax
-3M
-
-7.20M
140%
-17.50M
143.06%
-54M
208.57%
57.70M
206.85%
276.70M
379.55%
stock based compensation
32.70M
-
25.10M
23.24%
121.60M
384.46%
93M
23.52%
192.30M
106.77%
167.60M
12.84%
change in working capital
5.10M
-
28.60M
460.78%
4.50M
84.27%
36.90M
720%
-58.80M
259.35%
-157.60M
168.03%
accounts receivables
-8.90M
-
-34.50M
287.64%
-32.90M
4.64%
-66.10M
100.91%
-39.30M
40.54%
-80.40M
104.58%
inventory
2.60M
-
13.90M
434.62%
17.50M
25.90%
20.40M
16.57%
accounts payables
-300K
-
5.10M
1,800%
-200K
103.92%
4.60M
2,400%
19.50M
323.91%
-1.80M
109.23%
other working capital
11.70M
-
44.10M
276.92%
20.10M
54.42%
78M
288.06%
-39M
150%
-75.40M
93.33%
other non cash items
20.30M
-
27.20M
33.99%
46.60M
71.32%
59.30M
27.25%
74.80M
26.14%
-43.50M
158.16%
net cash provided by operating activities
43.80M
-
44.40M
1.37%
169.60M
281.98%
299.40M
76.53%
417M
39.28%
431.10M
3.38%
investments in property plant and equipment
-4.60M
-
-13.60M
195.65%
-16.80M
23.53%
-23.60M
40.48%
-28.90M
22.46%
-26.50M
8.30%
acquisitions net
-8.50M
-
-723.10M
8,407.06%
-65.90M
90.89%
-684.20M
938.24%
-143.70M
79.00%
26.50M
118.44%
purchases of investments
-30.60M
-
-119.80M
291.50%
-139.30M
16.28%
-145M
4.09%
sales maturities of investments
16.80M
-
131.80M
684.52%
30.80M
76.63%
195.90M
536.04%
other investing activites
-16.80M
-
-26.50M
-
net cash used for investing activites
-13.10M
-
-736.70M
5,523.66%
-113.30M
84.62%
-695.80M
514.12%
-281.10M
59.60%
24.40M
108.68%
debt repayment
-3.70M
-
-649.80M
17,462.16%
-510.90M
21.38%
-581.40M
13.80%
-400K
99.93%
-6M
1,400%
common stock issued
1.42B
-
1.02B
27.96%
-10M
100.98%
1.30M
113.00%
-24.10M
1,953.85%
common stock repurchased
-11.90M
-
-332.40M
2,693.28%
-10.40M
96.87%
4.20M
140.38%
-400.10M
9,626.19%
dividends paid
-93.40M
-
-16.50M
82.33%
-35M
112.12%
-19.90M
43.14%
other financing activites
67.20M
-
-17M
125.30%
26.80M
257.65%
1.06B
3,859.70%
-31M
102.92%
6.80M
121.94%
net cash used provided by financing activities
-29.90M
-
725.80M
2,527.42%
172.20M
76.27%
439.50M
155.23%
-25.90M
105.89%
-423.40M
1,534.75%
effect of forex changes on cash
-2.80M
-
net change in cash
800K
-
33.50M
4,087.50%
228.50M
582.09%
43.10M
81.14%
110M
155.22%
29.30M
73.36%
cash at beginning of period
8.20M
-
9M
9.76%
42.50M
372.22%
271M
537.65%
314.10M
15.90%
418M
33.08%
cash at end of period
9M
-
42.50M
372.22%
271M
537.65%
314.10M
15.90%
424.10M
35.02%
447.30M
5.47%
operating cash flow
43.80M
-
44.40M
1.37%
169.60M
281.98%
299.40M
76.53%
417M
39.28%
431.10M
3.38%
capital expenditure
-4.60M
-
-13.60M
195.65%
-16.80M
23.53%
-23.60M
40.48%
-28.90M
22.46%
-26.50M
8.30%
free cash flow
39.20M
-
30.80M
21.43%
152.80M
396.10%
275.80M
80.50%
388.10M
40.72%
404.60M
4.25%

All numbers in (except ratios and percentages)