Acxiom

ACXM

26.95

+0.44

+1.7%

After Hours:

26.95

0.00

0.0%

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Stock Price
Open: 26.63
Prev. Close: 26.51
Low/Hi: 26.50 - 27.15
52-Week: 21.80 - 30.40
Volumes
Equity: 608,648
90-Day Avg: 522,158
Option: 363
90-Day Avg: 156
Volatility
Todays Stock Vol: 21.8
20-Day (HV): 23.0
52-Week (HV): 23.4
30-Day IV: 21.5 -1.0
IV Pct Rank: 14% Subdued
Fundamental
Div. Yield:
Earnings: 1-Feb (Est.)
P/E Ratio:
Market Cap: 2.1 B
Stock Info
Type: Common
Sector: Technology
Industry: Information Technology Services

ACXM Cash Flow

Numbers are in thousands. Data provided by Sage Data Service.
Period Ending 30-Sep-2017 30-Jun-2017 31-Mar-2017 31-Dec-2016
Net Income -3,336 -1,300 -8,081 1,073
Change in Working Capital -2,534 -33,277 5,239 9,796
Depreciation Amortization Depletion and Accretion 21,409 21,110 21,593 19,947
Deferred Taxes -5,735 2,497 -6,836 4,557
Other Non-Cash Activities 15,758 15,038 18,750 13,560
Total Cash from Operating Activities 23,314 3,185 30,665 48,933
Capital Expenditures -11,619 -10,466 -21,621 -13,049
Other Investing Cash Flow 4,000 0 24,494 -137,383
Total Cash from Investing Activities -7,619 -10,466 2,873 -150,432
Dividends and Distributions 0 0 0 0
Purchase or Sale of Stock -13,542 -2,539 6,039 2,370
Purchase and Retirement of Debt -578 4,428 -8,070 61,938
Other Financing Cash Flow 0 -4,001 1,067 370
Total Cash from Financing Activities -14,120 -2,112 -964 64,678
Exchange Rate Effects 290 430 -81 -738
Net Change in Cash 1,865 -8,963 32,493 -37,559
Period Ending 31-Mar-2017 31-Mar-2016 31-Mar-2015 31-Mar-2014
Net Income 4,108 6,703 -11,031 8,863
Change in Working Capital -14,335 16,290 -25,876 10,223
Depreciation Amortization Depletion and Accretion 82,690 85,463 118,834 103,006
Deferred Taxes -8,818 -11,664 -9,689 2,097
Other Non-Cash Activities 52,185 38,524 30,862 40,847
Total Cash from Operating Activities 115,830 119,965 104,984 164,976
Capital Expenditures -63,351 -63,856 -89,499 -71,560
Other Investing Cash Flow -95,901 119,120 -262,837 3,323
Total Cash from Investing Activities -159,252 55,264 -352,336 -68,237
Dividends and Distributions 0 0 0 0
Purchase or Sale of Stock -14,833 -42,347 -4,829 27,827
Purchase and Retirement of Debt 37,757 -87,231 -28,421 64,105
Other Financing Cash Flow 2,852 3,345 4,645 6,325
Total Cash from Financing Activities 25,776 -126,233 -28,605 98,257
Exchange Rate Effects -1,640 -377 -1,619 616
Net Change in Cash -19,286 48,619 -277,576 195,612