CSG Systems International (CSGS) β†’ Stock, financial statements
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CSG Systems International

48.9 USD -0.84 (-1.60%)
Apr 19 πŸ‡ΊπŸ‡Έ NASDAQ CSGS
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Financial statements β€” CSG Systems International

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20 ← 16 2020 2019 2018 2017 2016
Total Revenue
990M 1M 880M 790M 760M
Cost Of Revenue
540M 530M 450M 390M 380M
Gross Profit
450M 470M 430M 390M 390M
Research and Development
120M 130M 120M 110M 99M
Selling General and Admin
200M 190M 170M 150M 140M
Operating Expense
880M 870M 760M 680M 630M
Operating Income
110M 130M 110M 110M 130M
Other Income Expense Net
0 0 0 0 0
EBIT
110M 130M 110M 110M 130M
Interest Income
16M 18M 18M 17M 16M
Pretax Income
85M 110M 87M 88M 100M
Income Tax
27M 23M 21M 26M 37M
Minority Interest
0 0 0 0 0
Net Income
59M 83M 66M 61M 63M
Net Income Basic
59M 83M 66M 61M 63M
20 ← 16 2020 2019 2018 2017 2016
Current cash
240M 180M 160M 260M 280M
Short term investments
190M 200M 160M 28M 32M
Receivables
270M 280M 280M 260M 250M
Inventory
0 0 0 0 0
Other current assets
190M 200M 160M 28M 32M
Current assets
700M 670M 600M 550M 560M
Long term investments
630M 610M 510M 350M 330M
Property plant equipment
82M 84M 82M 45M 33M
Goodwill
270M 260M 260M 210M 200M
Intangible assets
74M 88M 100M 71M 71M
Other assets
84M 78M 64M 11M 12M
Total assets
1.3B 1.3B 1.1B 900M 890M
Accounts payable
30M 33M 45M 38M 35M
Current long term debt
14M 10M 7.5M 23M 49M
Other current liabilities
380M 380M 300M 160M 170M
Total current liabilities
420M 420M 350M 220M 250M
Long term debt
340M 350M 350M 310M 370M
Other liabilities
51M 36M 42M 25M 22M
Minority Interest
0 0 0 0 0
Total Liabilities
910M 890M 750M 560M 640M
Common stock
32M 32M 32M 32M 31M
Retained earning
880M 850M 800M 750M 710M
Treasury stock
-890M -870M -840M -810M -830M
Capital surplus
β€’ β€’ β€’ β€’ β€’
Shareholder equity
420M 400M 360M 340M 250M
Net tangible assets
76M 50M 3.4M 62M -21M
20 ← 16 2020 2019 2018 2017 2016
Net Income
59M 83M 66M 61M 63M
Depreciation
67M 67M 63M 43M 41M
Changes in receivables
-15M 2M 15M 13M 28M
Changes in inventories
0 0 0 0 0
Cash change
58M 20M -98M -15M 36M
Cash flow
170M 150M 140M 130M 84M
Capital expenditures
-29M -37M -57M -29M -14M
Investments
β€’ β€’ β€’ β€’ β€’
Investing activity other
β€’ β€’ β€’ β€’ β€’
Total investing cash flows
-66M -57M -86M -30M -52M
Dividends paid
31M β€’ β€’ β€’ β€’
Net borrowings
-81M -30M 40M 42M 110M
Other financing cash flows
β€’ β€’ β€’ β€’ β€’
Cash flow financing
-77M -78M -38M -110M -43M
Exchange rate effect
β€’ β€’ β€’ β€’ β€’

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