CKX Lands, Inc.

AMEX:CKX

12.4 (USD) • At close November 15, 2023
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operating Activities:
Net Income 0.143-1.3180.8190.3390.251.1150.5230.1710.4631.2850.972.2370.9520.9170.8471.9692.831.5331.5611.5761.0930.7370.8731.4361.5450.4040.5130.8050.349
Depreciation & Amortization 0.0050.0050.0020.0020.0020.0020.00100.0030.0670.1020.016000.0490.0220.0590.0690.0430.0390.0340.0390.03000000
Deferred Income Tax -0.029-0.30000-0.1110.0060.0680.0430-0.0030.006-0.006-0.033-0.0080.012-0.0060.1760.020.0020.003-0.0040.00200000
Stock Based Compensation 0.8422.309000000000000000000000000000
Change In Working Capital 0.066-0.255-0.060.150.0240.0040.0110.1020.080.0460.107-0.14-0.005-0.0450.128-0.6290.6740.101-0.145-0.08-0.0390.055-0.0760.1050.028-0.25-0.2210.1040.231
Accounts Receivables 00000000000000000000000000000
Inventory 000000000000000000000.010.001-0.0070.0060.0020.002-0.0110.008-0.007
Accounts Payables 00000000000000000000000000000
Other Working Capital 0.066-0.255-0.060.150.0240.0040.0110.1020.080.0460.107-0.14-0.005-0.0450.128-0.6290.6740.101-0.145-0.08-0.050.054-0.070.0990.026-0.252-0.210.0970.238
Other Non Cash Items -0.15-0.027-1.025-0.352-0.081-0.88-0.0190.002-0.1690.0670-0.1240.055-0.0920.0240.024-1.754-0.012-0.112-0.0840.068-0.002-0.0330.04-0.010.004-0.005-0.7390.102
Operating Cash Flow 0.8770.414-0.2640.140.1950.2420.4040.2810.4421.441.1791.9861.0090.7750.9711.4291.8211.6851.5231.471.1580.8310.7891.5831.5630.1570.2870.170.682
Investing Activities:
Investments In Property Plant And Equipment -0.021-0.029-0.023-0.009-0.027-0.055-0.155-2.408-0.288-0.713-0.258-0.136-1.837-0.615-0.073-0.581-0.082-0.122-0.123-0.02-0.05-0.197-0.251-0.022-0.01-0.626-1.732-0.002-0.002
Acquisitions Net 0.150.0191.2330.3590.1090.982-0.438-0.4342.79-0.5011.680.25700003.5120000.01700.022000000
Purchases Of Investments -1.525-1-0-1.99-2.712-3.39-3.133-3.13-5.688-2.63-3.156-0.261-0.013-0.323-2.2140-1.4680-2.072-2.066-2.144-1.693-0.59-0.96100-0.251-0.997-0.198
Sales Maturities Of Investments 1.0050.512-1.2334.6833.8542.6633.613.5643.0843.1311.4760.4960.81.44305.5341.9830.8511.8231.6540.71.3000.2081.0291.1260
Other Investing Activites 0-0.471.2333.0521.2520.9820.4770.434-2.6040.501-1.68-0.098-0.4860.470.0470.2-2.739-1.510.1180.0050.0030.0050.0010.0550.16700.00800
Investing Cash Flow -0.391-0.4991.213.0431.2250.20.361-1.974-2.706-0.211-1.9380.257-1.5350.975-2.245.1531.205-0.782-1.078-0.257-0.52-1.1850.482-0.9280.157-0.418-0.9460.127-0.2
Financing Activities:
Debt Repayment 000000000000000000000000-1.187-0.063-0.1-0.093-0.095
Common Stock Issued 00000000000000000000000000.063000.095
Common Stock Repurchased -0.087-0.177000000000000000000-0.06900-0.094-0.02-0.056-00-0.014
Dividends Paid 00000-0.233-0.1940-0.194-0.544-0.544-0.544-0.544-0.544-0.544-2.428-2.486-0.738-0.739-0.526-0.625-0.481-0.49-0.394-0.155-0.18-0.233-0.18-0.12
Other Financing Activities 00000000.00700.01100.0080.01300.0100000000000.3870.9-0.093-0.095
Financing Cash Flow -0.087-0.177000-0.233-0.1940.007-0.194-0.532-0.544-0.536-0.531-0.544-0.534-2.428-2.486-0.738-0.739-0.526-0.694-0.481-0.49-0.488-1.3610.1520.567-0.273-0.229
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000000000000
Net Change In Cash 0.398-0.2620.9473.1831.420.2080.571-1.686-2.4580.697-1.3031.707-1.0571.205-1.8024.1550.540.165-0.2940.687-0.056-0.8360.7810.1660.359-0.109-0.0920.0240.253
Cash At End Of Period 7.5477.1487.416.4633.281.8611.6521.0812.7675.2264.5295.8324.1255.1823.9775.7791.6251.0850.921.2140.5270.5831.4190.6380.4720.1130.2220.3130.289