Uniti Group Inc.

NASDAQ:UNIT

5.71 (USD) • At close January 22, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023-11-022023-08-032023-05-042023-02-282022-11-072022-08-042022-05-052022-02-252021-11-042021-08-052021-05-102021-03-052020-11-092020-08-102020-05-112020-03-122019-11-072019-08-082019-05-092019-03-182018-11-012018-08-092018-05-102018-03-012017-11-022017-08-032017-05-042017-02-232016-11-142016-08-112016-05-122016-03-072015-11-132015-08-13
Operating Activities:
Net Income -80.93325.638-19.21140.995-155.74953.77452.85835.92643.68249.639-4.502-47.6727.455-598.329-80.266-11.354-19.77739.5472.49214.6834.224-3.5931.23122.7974.835-16.46-20-4.37-2.343-1.5358.0367.1669.4030
Depreciation & Amortization 77.33777.26776.77575.51273.51672.30371.45779.77770.5369.67170.96478.43379.8884.96986.12198.183101.166102.578103.827109.439112.748114.842114.721116.801113.444102.599101.361100.52296.72392.38586.348787.364.4
Deferred Income Tax -42.115-5.292-2.754-7.186-14.538-3.521-3.664-4.197-2.8754.033-3.428-5.3852.703-6.29-4.919-5.291-3.425-0.649-2.063-1.304-1.824-2.755-1.502-28.89-10.674-0.605-1.002-3.0221.435-0.383-0.216-0.5-0.4-0.3
Stock Based Compensation 3.1483.133.133.0873.1513.2013.3122.8844.1663.4623.3353.2753.3414.112.9952.8782.8453.1971.8882.0061.9631.8852.212.0921.9682.0211.6321.3681.3311.2170.930.8171.117-2.244
Change In Working Capital -115.9686.485-73.01550.866-69.85656.77-57.57741.306-80.82486.98918.986-58.959-195.375659.66339.854-44.367216.123-43.85479.227-56.16248.265-43.62941.707-48.73332.991-24.03233.541-20.25420.116-29.11527.178-0.311-30.36821.2
Accounts Receivables -3.80310.572-10.963-1.3134.361-4.41-2.8140.5593.9738.49911.466-5.06511.4363.0173.2469.707-9.284-0.43425.603-37.9448.123-29.386.409-11.056-3.9363.4541.0140.919-4.92-0.8221.307-0.4320.2172.54
Inventory 00000054.920000-19.737-211.42300128.246000-66.09000-46.275000-27.565000-8.876-115.9630.011
Accounts Payables 00-68.605-30.76900-54.9226.436-45.6280-40.11-5.685-8.004044.691-3.260054.59841.2180039.9195.8510034.1532.8060026.123-22.02354.047-0.007
Other Working Capital -112.15775.91379.56882.948-74.21761.18-54.76314.311-39.16978.4947.63-28.47212.616656.646-8.083-179.06225.407-43.42-0.9746.65440.142-14.249-4.6212.74736.927-27.486-1.6263.58625.036-28.293-0.25231.0231.33118.656
Other Non Cash Items 149.267-1.95929.63711.734213.975-11.14-3.165-9.8920.197-21.98141.30974.726-11.47-50.11488.48715.13714.5-39.3573.5314.2213.5867.357-1.5013.439-1.2124.67712.671.193-0.522-0.459-0.567-22.27260.84810.344
Operating Cash Flow -9.256185.26914.562175.00850.499171.38763.221145.80434.876191.813126.66444.418-113.46694.009132.27255.186311.43261.462188.90272.883168.96274.107156.86667.506141.35268.2128.20275.437116.7462.11121.70171.9127.993.4
Investing Activities:
Investments In Property Plant And Equipment -120.995-132.288-114.981-134.901-108.627-89.311-94.728-109.845-98.076-93.557-84.377-102.934-80.115-58.942-75.093-85.618-84.384-101.02-79.458-126.467-133.641-112.324-51.143-54.927-64.867-31.303-14.931-15.696-9.752-9.375-0.077-43.7-0.30.482
Acquisitions Net 000-0.5410.541000000-0.28-73.12700-7.929-312.5910-4.21-53.669-2.145-0.192-0.962-7.289-769.06-5.466-71.565-10.793-173.405-316.2440.111000
Purchases Of Investments 000000000000000000000004.514-4.514000000000
Sales Maturities Of Investments 0000000000000000000000054.92764.867000000000
Other Investing Activites 1.9420.5620.6072.1080.15732.9040.3790.3440.74463.5460-0.126166.862225.149002.905127.52400000-59.441-60.35300001.347-1.347-00-1,035.88
Investing Cash Flow -119.053-131.726-114.374-133.334-107.929-56.407-94.349-109.501-97.332-30.011-84.377-103.3413.62166.207-75.093-93.547-394.0726.504-83.668-180.136-135.786-112.516-52.105-62.216-833.927-36.769-86.496-26.489-183.157-324.272-1.313-43.7-0.3-1,035.4
Financing Activities:
Debt Repayment -20.802-94.347-2,517.11-281.349-0.286-45.321-60.28-600.274-0.352-774.502-1,106.89-50.812-129.23-260.953-2,242.45-6.348-6.553-180.141-36.276-57.397-46.351-7.109-56.169-371.159-81.273-105.943-30.942-325.887-47.89-284.755-6.044-5.35-5.35-0.261
Common Stock Issued 00000000000244.5500000021.641109.4410000.002-0.0530-0.0540.002-0.62500000
Common Stock Repurchased 00000000000-215.277000000139.44685.5770000.05400-0.05452020000000
Dividends Paid -35.801-71.585-0.009-35.588-35.591-71.666-0.105-35.43-35.555-35.425-34.961-34.917-29.114-29.126-42.519-9.656-8.914-9.813-110.348-107.978-106.073-106.123-105.92-105.938-105.925-94.214-94.133-94.138-92.998-90.38-90.314-90.4-66.5-66.576
Other Financing Activities 180.88680.1882,643.48275.67275.29612.28383.739588.55359.578634.1951,144.5-2.658365.4918.8032,194.31-0.139-3.972292.121-48.419-2.509160.965171.60454.201481.798-4.3881,034.03-19.845-17.847-0.016520.924-1.266-0.05-0.251,163.44
Financing Cash Flow 124.283-85.744126.355-41.26539.419-104.70423.354-47.15123.671-175.7322.645-59.114207.147-281.276-90.663-16.143-19.439102.167-33.95627.1348.54158.372-107.8884.757-191.639833.877-145.02882.1358.471145.789-97.624-95.8-72.11,096.6
Other Information:
Effect Of Forex Changes On Cash 0105.90300000000000000.0430-0.1970.154-0.3480.276-0.3640.263-0.2050.0410.0620.294-0.086-0.105-0.1540.0780.1-0.10
Net Change In Cash -4.026-32.20126.5430.409-18.01110.276-7.774-10.848-38.785-13.9344.932-118.036107.301-21.06-33.484-54.504-102.077194.7166.658-80.46741.99319.599-2.8649.842-884.173865.37-103.028130.992-8.051-116.52722.842-67.555.4154.6
Cash At End Of Period 34.11938.14570.34643.80343.39461.40551.12958.90369.751108.536122.46677.534195.5788.269109.329142.813197.317299.394104.68438.026118.49376.556.90159.76549.923934.09668.726171.75440.76248.813165.34142.5210154.6