CalAmp Corp. (CAMP) Cash flow

Market cap
$228.36M
P/E ratio
2012/022013/022014/022015/022016/022017/022018/022019/022020/022021/022022/02
Depreciation & amortization2389-------
Stock-based compensation233468911121111
Cash from operations 12172329472667481233-4
Capital expenditures-1-2-2-7-4-8-8-12-22-11-13
Cash from investing -1-2-64-9-91-46-26-22-66-11-8
Repurchases of common stock-----25-49---
Cash from financing -1143-3-5148-26-298-95-27-3
Free cash flow
FCF margin (%)
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