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Australia markets open in 8 hours 55 minutes
ALL ORDS
7,849.40
+17.50
(+0.22%)
AUD/USD
0.6536
+0.0008
(+0.13%)
ASX 200
7,587.00
+17.10
(+0.23%)
OIL
78.80
-0.20
(-0.25%)
GOLD
2,310.70
-0.30
(-0.01%)
Bitcoin AUD
90,450.16
+2,752.91
(+3.14%)
American Well Corporation (AMWL)
NYSE - Nasdaq Real-time price. Currency in USD
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0.5024
-0.0288
(-5.40%)
As of 11:05AM EDT. Market open.
Summary
Chart
Statistics
Historical data
Profile
Financials
Analysis
Options
Holders
Sustainability
Show
:
Income statement
Balance sheet
Cash flow
Annual
Quarterly
Cash flow
All numbers in thousands
Breakdown
ttm
31/12/2023
31/12/2022
31/12/2021
31/12/2020
Cash flows from operating activities
Net income
-675,164
-675,164
-270,429
-176,334
-224,432
Depreciation & amortisation
31,512
31,512
26,167
16,089
10,153
Deferred income taxes
-242
-242
-2,524
-6,245
0
Stock-based compensation
72,246
72,246
67,675
43,809
118,358
Change in working capital
-15,507
-15,507
-28,096
-27,715
-18,445
Accounts receivable
3,248
3,248
-8,140
-512
-14,212
Inventory
2,085
2,085
-1,207
1,598
-6,024
Accounts payable
-2,361
-2,361
-4,780
5,546
-707
Other working capital
-163,591
-163,591
-202,770
-142,096
-115,782
Other non-cash items
2,693
2,693
13,443
5,461
2,262
Net cash provided by operating activities
-148,343
-148,343
-192,323
-141,537
-112,464
Cash flows from investing activities
Investments in property, plant and equipment
-15,248
-15,248
-10,447
-559
-3,318
Acquisitions, net
-3,920
-3,920
-1,960
-159,074
-2,940
Purchases of investments
-389,990
-389,990
-499,223
0
-159,608
Sales/maturities of investments
389,990
389,990
500,000
100,000
99,109
Net cash used for investing activities
-19,168
-19,168
-11,630
-59,633
-66,757
Cash flows from financing activities
Common stock issued
-
-
0
0
872,031
Common stock repurchased
-586
-586
-360
-15,038
-37,568
Other financing activities
-
-
-11,495
-1,613
-3,293
Net cash used provided by (used for) financing activities
2,147
2,147
-3,612
5,754
983,116
Net change in cash
-166,508
-166,508
-207,870
-195,500
803,895
Cash at beginning of period
539,341
539,341
747,211
942,711
138,816
Cash at end of period
372,833
372,833
539,341
747,211
942,711
Free cash flow
Operating cash flow
-148,343
-148,343
-192,323
-141,537
-112,464
Capital expenditure
-15,248
-15,248
-10,447
-559
-3,318
Free cash flow
-163,591
-163,591
-202,770
-142,096
-115,782
Data disclaimer
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