Calumet Specialty Products Partners, L.P. (CLMT) Cash flow

Market cap
$2.7B
P/E ratio
2011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/12
Depreciation & amortization639211813914517115511811010510898147
Stock-based compensation575710612-166511615
Cash from operations 64380392273764-267519263-44101-15
Capital expenditures-49-57-161-290-339-139-70-50-55-44-83-599-320
Cash from investing -460-624-370-659-389-154453815-46-83-536-272
Cash from financing 3972764203191014983-442-34374139349266
Free cash flow
FCF margin (%)-------
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