Cash flow per common share

Cash flow per common share

Cash flow from operations minus preferred stock dividends, divided by the number of common shares outstanding.

Cash Flow per Common Share

The net cash flow a company makes in a given period of time, less dividends on preferred stock, divided by the common shares outstanding.
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09 + 5% Cash flow from operations (1) 44,177 48,670 - 9% Cash flow per common share (2) Basic 0.
05) Basic weighted average common shares outstanding 10,375,000 10,375,000 Diluted weighted average common shares outstanding 10,375,000 10,487,769 Operating cash flow (b) $390,568 $1,044,942 Operating cash flow per common share (b) $0.
Financial Highlights (continued) For the Three Months Ended Calculation of Net Cash Flow(a) March 31, 2002 2001 (unaudited) Net (loss) income $ (1,076,414)$ 1,663,482 Add/(deduct): Depreciation and amortization 1,242,282 1,023,008 Accumulated depreciation and recovery of impairment provision on assets sold -- (2,052,119) Share of joint venture depreciation and amortization, net 1,251,135 1,103,722 Net cash flow $ 1,417,003 $ 1,738,093 Net cash flow per common share, basic $ 0.
dollars) 1998 1997 Oil and Gas Sales $201,200 $30,460 Total Revenue $204,631 $298,646 Cash Flow from Operations ($24,729) ($265,020 Cash Flow per Common Share ($0.
14 Weighted Average Shares Outstanding - Basic 12,834 9,110 12,279 9,104 Weighted Average Shares Outstanding - Diluted 12,834 9,110 12,279 9,624 Cash Flow from Operations (before changes in working capital and exploration expenses) Net income (loss) ($1,992) ($269) ($4,824) $1,393 (Gain) loss on sale of assets 3 41 6 (503) Depreciation, depletion and amortization 2,988 1,020 6,217 2,512 Exploration expenses 456 1,302 2,122 1,517 Directors fees 20 0 127 69 Deferred income taxes (274) (461) (285) 165 Total ("Discretionary Cash Flow") $1,201 $1,633 $3,363 $5,153 Cash Flow per Common Share Cash flow per share-basic $0.
18 Cash Flow from Operations (1,372) 7,566 Cash Flow per Common Share (0.
dollars) 1998 1997 Oil and Gas Sales $123,497 $22,725 Total Revenue $126,541 $256,349 Cash Flow from Operations $8,572 ($132,171) Cash Flow per Common Share $0.
00 Cash flow from operating activities before working capital changes (000's) $1,610 $1,276 Cash flow per common share from operating activities before working capital changes $0.
63 + 192% Cash flow from operations (1) 54,982 19,562 + 181% Cash flow per common share (2) Basic 1.
10) Cash flow from operating activities before working capital changes (000's) $473 $(659) $5,696 $1,148 Cash flow per common share from operating activities before working capital changes $0.
38 + 90% Cash flow from operations (1) 43,151 12,977 + 233% Cash flow per common share (2) Basic 0.
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