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Catalent, Inc.

CTLT Stock Analysis

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Breakdown
2015
2016
2017
2018
2019
2020
2021
2022
2023
2024
Net Income
210.200M111.200M109.800M83.600M137.400M220.700M585.000M519.000M-256.000m-1.043b
Depreciation & Amortization
140.800M140.600M146.500M190.100M228.600M253.700M289.000M378.000M422.000M489.000M
Change in Working Capital
-88.300m-101.700m-11.800m8.800M-160.300m-121.300m-432.000m-612.000m-160.000m-62.000m
Operating Cash Flow
171.800M155.300M299.500M374.500M247.700M440.300M433.000M439.000M261.000M268.000M
Capital Expenditure
-141.000m-139.600m-139.800m-176.500m-218.100m-465.800m-686.000m-660.000m-583.000m-327.000m
Free Cash Flow
30.800M15.700M159.700M198.000M29.600M-25.500m-253.000m-221.000m-322.000m-59.000m
Debt Repayment
-879.800m-18.600m-224.300m-22.000m-1.299b-860.800m-67.000m-78.000m-230.000m-68.000m
Dividends Paid
0.0000.0000.0000.0000.000-36.200m-22.000m-4.000m0.0000.000
Common Stock Issued
948.800M0.0000.000277.800M445.500M1.047B82.000M362.000M4.000M9.000M
Common Stock Repurchased
-10.300m-8.700m-5.400m-13.700m-15.000m909.100M202.000M-10.000m0.0000.000
Net Change in Cash
76.900M-19.700m156.700M121.900M-64.800m607.800M-57.000m-447.000m-169.000m9.000M