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Depreciation
$25,006K
Accounts payable
$4,240K
Prepaid expenses and
other
-$3,023K
Accrued and other
current liabilities
$1,841K
Tires in service
amortization
$1,492K
Net income
$1,382K
Insurance and claims
accruals
$1,153K
Share-based payment
arrangement compensation...
$135K
Net cash provided by
operating activities
$33,049K
Canceled cashflow
$5,223K
Net change in cash
and cash...
$26,508K
Canceled cashflow
$6,541K
Receivables
$2,699K
Gain on disposition
of revenue...
$1,420K
Deferred income taxes
-$1,104K
Issuance of common stock
from share-based...
$238K
Proceeds from revenue
equipment...
$9,211K
Proceeds from revenue
equipment...
$1,171K
Net cash used for
financing activities
-$4,934K
Net cash used for
investing activities
-$1,607K
Canceled cashflow
$238K
Canceled cashflow
$10,382K
Dividends on common stock
$4,896K
Employee taxes paid in
exchange for shares...
$276K
Revenue equipment
additions-Revenue Equipment
$11,935K
Other
$54K
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Cash Flow
source: myfinsight.com
MARTEN TRANSPORT LTD (MRTN)
MARTEN TRANSPORT LTD (MRTN)