Cadence Design Systems, Inc. (VIE:CDNS)
Austria flag Austria · Delayed Price · Currency is EUR
289.75
+1.40 (0.49%)
At close: Dec 5, 2025

Cadence Design Systems Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2019 - 2015
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Jan '22 Jan '21 2020 - 2016
Net Income
1,0611,0551,041848.95695.96590.64
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Depreciation & Amortization
219.65196.94145.74135.43142.31150.14
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Other Amortization
3.473.471.261.131.221.05
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Loss (Gain) From Sale of Assets
42.32-----
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Loss (Gain) From Sale of Investments
-49.59-49.59-34.65.43-0.584.95
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Stock-Based Compensation
448.52391.22325.61270.44210.09197.27
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Provision & Write-off of Bad Debts
2.082.083.330.20.531.63
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Other Operating Activities
-33.23-130.07-34.53-107.24-54.36-25.34
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Change in Accounts Receivable
-226.19-180.29-11.75-138.472.01-25.93
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Change in Inventory
-4.45-82.77-65.9-23.07-39.03-25.69
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Change in Accounts Payable
-11.4233.685.42113.9567.3618.39
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Change in Unearned Revenue
104.2566.48-21.58131.46100.73110.17
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Change in Other Net Operating Assets
60.26-46.07-4.973.68-25.28-92.37
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Operating Cash Flow
1,6171,2611,3491,2421,101904.92
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Operating Cash Flow Growth
48.14%-6.57%8.64%12.80%21.66%24.03%
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Capital Expenditures
-138.03-142.54-102.34-123.22-65.3-94.81
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Cash Acquisitions
-252.94-737.57-198.35-613.79-226.2-197.56
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Sale (Purchase) of Intangibles
---0.17-1-1.58-
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Investment in Securities
-32.2543-111.4-0.630.130.22
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Investing Cash Flow
-411.73-837.12-412.25-738.63-292.95-292.16
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Short-Term Debt Issued
--50585-350
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Long-Term Debt Issued
-3,197-300--
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Total Debt Issued
-3,19750885-350
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Short-Term Debt Repaid
---150-485--350
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Long-Term Debt Repaid
--1,350----
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Total Debt Repaid
-350-1,350-150-485--350
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Net Debt Issued (Repaid)
-3501,847-100400--
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Issuance of Common Stock
148.37204.24132.96105.3387.7774.8
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Repurchase of Common Stock
-1,043-787.76-836.53-1,162-730.28-490.09
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Other Financing Activities
-1.16-23.83--0.43-1.29-
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Financing Cash Flow
-1,2461,239-803.57-657.05-643.79-415.29
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Foreign Exchange Rate Adjustments
8.51-26.8-7.53-52.83-3.725.75
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Net Cash Flow
-32.791,636125.83-206.62160.51223.22
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Free Cash Flow
1,4791,1181,2471,1191,036810.11
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Free Cash Flow Growth
55.28%-10.33%11.46%8.02%27.84%23.68%
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Free Cash Flow Margin
28.37%24.09%30.48%31.41%34.66%30.20%
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Free Cash Flow Per Share
5.404.084.574.073.712.90
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Cash Interest Paid
119.6143.2234.9321.1215.9519.78
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Cash Income Tax Paid
412.63509.98253.7233.24146.42105.92
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Levered Free Cash Flow
1,3841,0051,1151,012871.92681.29
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Unlevered Free Cash Flow
1,4541,0491,1371,025881.31693.21
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Change in Working Capital
-77.54-208.98-98.7887.55105.8-15.42
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Source: S&P Capital IQ. Standard template. Financial Sources.