Otter Tail Corp

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Net Income From Continuing Operations $284.2m $294.2m $301.7m $275.9m
Net Income (Loss) Attributable to Parent $62.3m $72.4m $82.3m $86.8m $95.9m $176.8m $284.2m $294.2m $301.7m $275.9m
Income (Loss) from Continuing Operations, Net of Tax, Attributable to Parent $62.0m $72.1m
Income (Loss) from Discontinued Operations, Net of Tax, Including Portion Attributable to Noncontrolling Interest $284k $320k
Depreciation, Depletion and Amortization $73.4m $72.5m $74.7m $78.1m $82.0m $91.4m $92.6m $98.0m $107.1m $118.1m
Amortization of Intangible Assets $1.4m $1.3m $1.3m $1.2m $1.1m $1.1m $1.1m $1.1m $1.1m $1.1m
Capitalized Computer Software, Amortization $1.3m $3.0m $4.3m
Depreciation $78.6m $85.8m $84.4m $90.8m $99.4m $116.0m
Depreciation Amortization Depletion $92.6m $98.0m $107.1m $118.1m
Deferred Income Tax Expense (Benefit) $19.1m $24.0m $19.2m $11.5m $15.2m $28.9m $32.4m $13.5m $23.1m $33.2m
Deferred Income Tax $31.7m $12.8m $22.9m $32.5m
Deferred Tax $31.7m $12.8m $22.9m $32.5m
Share-based Payment Arrangement, Noncash Expense $3.2m $3.6m $4.4m $6.0m $6.3m $6.9m $6.8m $7.8m $9.5m $9.1m
Payment, Tax Withholding, Share-based Payment Arrangement $1.5m $2.9m $3.1m $6.5m $3.1m
Income Tax Expense (Benefit) $20.1m $27.0m $14.6m $17.4m $20.2m $36.1m $73.4m $69.3m $65.2m $46.4m
Interest Expense Nonoperating $41.8m $47.2m
Other Nonoperating Income (Expense) $3.5m $5.1m $6.1m $2.9m $2.0m $12.7m $18.8m $20.5m
Changes in operating assets and liabilities:
Additional Financial Items
Increase (Decrease) in Inventories ($1.9m) $4.3m $18.2m ($8.4m) ($5.7m) $54.3m ($5.3m) $2.5m ($3.7m) $4.8m
Increase (Decrease) in Accounts Payable $38.7m ($29.8m) ($10.0m) $14.8m ($24.1m)
Increase (Decrease) in Other Operating Assets $2.5m $3.1m $754k ($2.9m) $573k $14.1m $368k ($2.8m) $11.6m $3.7m
Asset Retirement Obligation, Accretion Expense $360k $378k $398k $440k $570k $938k $991k $1.2m $1.7m $1.9m
Gain (Loss) on Investments $7.2m $5.5m $6.7m
Goodwill $37.6m $37.6m $37.6m $37.6m $37.6m $37.6m $37.6m $37.6m $37.6m $37.6m
Nonoperating Income (Expense) $2.9m $2.6m
Revenue from Contract with Customer, Including Assessed Tax $1.5b $1.3b
Beginning Cash Position $1.5m $119.0m $230.4m $294.7m
Cash Flow From Continuing Financing Activities ($96.8m) ($3.8m) $22.9m ($3.7m)
Cash Flow From Continuing Investing Activities ($175.1m) ($289.3m) ($411.4m) ($290.7m)
Change In Account Payable ($29.8m) ($10.0m) $14.8m ($24.1m)
Change In Accrued Expense ($5.5m) $6k ($10.4m) $7.3m
Change In Inventory $5.3m ($2.5m) $3.7m ($4.8m)
Change In Other Current Assets ($2.8m) $15.3m ($6.4m) ($14.5m)
Change In Other Current Liabilities ($6.8m) $21.0m $16.8m $2.2m
Change In Other Working Capital $1.2m ($11.6m) ($9.6m) ($5.5m)
Change In Payable ($29.8m) ($10.0m) $14.8m ($24.1m)
Change In Payables And Accrued Expense ($35.3m) ($10.0m) $4.5m ($16.9m)
Change In Receivables $30.6m ($12.8m) $11.2m $468k
Change In Working Capital ($7.8m) ($518k) $20.1m ($38.9m)
Changes In Cash $117.5m $111.4m $64.3m $91.5m
End Cash Position $119.0m $230.4m $294.7m $386.2m
Financing Cash Flow ($96.8m) ($3.8m) $22.9m ($3.7m)
Free Cash Flow $218.2m $117.4m $94.1m $97.9m
Gain Loss On Investment Securities $3.3m ($7.2m) ($5.5m) ($6.7m)
Investing Cash Flow ($175.1m) ($289.3m) ($411.4m) ($290.7m)
Issuance Of Capital Stock $696k $0 $0
Operating Gains Losses ($16.7m) ($7.2m) ($5.5m) ($6.7m)
Other Non Cash Items ($1.5m) ($423k) ($3.1m) ($4.0m)
Pension And Employee Benefit Expense ($10.0m) ($20.0m) $0 $0
Repurchase Of Capital Stock ($2.9m) ($3.1m) ($6.5m) ($3.1m)
Stock Based Compensation $6.8m $7.8m $9.5m $9.1m
Discontinued Operation, Income (Loss) from Discontinued Operation During Phase-out Period, Net of Tax $284k $320k
Net Cash Provided by (Used in) Operating Activities $163.4m $173.6m $143.4m $185.0m $211.9m $231.2m $389.3m $404.5m $452.7m $386.0m
Cash flows from investing activities:
Capital Expenditure ($171.1m) ($287.1m) ($358.6m) ($288.1m)
Capital Expenditure Reported $161.3m $132.9m $105.4m $207.4m $371.6m $171.8m ($171.1m) ($287.1m) ($358.6m) ($288.1m)
Net Investment Purchase And Sale ($8.3m) ($8.4m) ($61.6m) ($9.6m)
Purchase Of Investment ($8.3m) ($8.4m) ($61.6m) ($9.6m)
Net Other Investing Changes $4.3m $6.2m $8.8m $6.9m
Net Cash Provided by (Used in) Investing Activities ($159.3m) ($132.6m) ($107.4m) ($209.5m) ($375.7m) ($171.5m) ($175.1m) ($289.3m) ($411.4m) ($290.7m)
Cash flows from financing activities:
Proceeds from Issuance of Long-term Debt $130.0m $100.0m $100.0m $75.0m $140.0m $90.0m $0 $120.0m $100.0m
Issuance Of Debt $90.0m $0 $120.0m $100.0m
Long Term Debt Issuance $90.0m $0 $120.0m $100.0m
Net Issuance Payments Of Debt ($23.0m) $73.2m $108.2m $90.6m
Net Long Term Debt Issuance $60.0m $0 $120.0m $100.0m
Net Short Term Debt Issuance ($83.0m) $73.2m ($11.8m) ($9.4m)
Repayments of Long-term Debt $87.5m $48.2m $189k $172k $182k $140.2m $30.0m $0 $0
Long Term Debt Payments ($140.2m) ($30.0m) $0 $0
Repayment Of Debt ($140.2m) ($30.0m) $0 $0
Proceeds from Issuance of Common Stock $44.4m $4.3m $20.3m $52.4m $696k $0 $0
Common Stock Issuance $696k $0 $0
Net Common Stock Issuance ($2.9m) ($3.1m) ($6.5m) ($3.1m)
Payments for Repurchase of Common Stock $104k $1.8m $3.0m $2.7m $2.1m
Common Stock Payments ($2.9m) ($3.1m) ($6.5m) ($3.1m)
Dividends paid $56 $60 $65 $69 $73 $78 $88
Cash Dividends Paid ($68.8m) ($73.1m) ($78.3m) ($88.1m)
Common Stock Dividend Paid ($68.8m) ($73.1m) ($78.3m) ($88.1m)
Proceeds from (Payments for) Other Financing Activities ($3.7m) ($2.1m) ($904k) ($549k) ($3.1m)
Net Other Financing Charges ($2.1m) ($904k) ($549k) ($3.1m)
Net Cash Provided by (Used in) Financing Activities ($4.1m) ($24.8m) ($51.4m) $44.8m $143.7m ($59.4m) ($96.8m) ($3.8m) $22.9m ($3.7m)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect ($20.0m) $374k $117.5m $111.4m $64.3m $91.5m
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $1.2m $1.5m $119.0m $230.4m $294.7m $386.2m
Supplemental disclosure of cash flow information:
Change In Cash Supplemental As Reported $117.5m $111.4m $64.3m $91.5m
Interest Paid, Excluding Capitalized Interest, Operating Activities $31.3m $29.8m $28.1m $30.1m $33.2m $36.9m $35.7m $37.0m $39.5m $45.7m
Income Taxes Paid, Net ($1.3m) $5.1m $6.1m $4.8m $5.2m $8.4m $43.4m $46.3m $57.6m $11.1m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.