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  • Today

      Show headlines and story abstract
    • 18 minutes ago by MT Newswires
      Companies Mentioned: STGW
      07:13 AM EDT, 05/01/2024 (MT Newswires) -- ...
    • 19 minutes ago by MT Newswires
      Companies Mentioned: STGW
      07:12 AM EDT, 05/01/2024 (MT Newswires) -- ...
    • 30 minutes ago by PR Newswire
      Companies Mentioned: STGW

      Revenue Growth of 8%, Led by 13% Growth from Performance Media & Data

      Net Loss Attributable to Stagwell Inc. Common Shareholders of $1.3 million

      Adjusted EBITDA of $90 million, An Increase of 25% Year-Over-Year

    • 30 minutes ago by Dow Jones
      Companies Mentioned: STGW
    • 31 minutes ago by Dow Jones
      Companies Mentioned: STGW
      UNAUDITED SUMMARY CASH FLOW DATA (amounts in thousands) Three Months Ended March 31, 2024 2023 --------------------------- -------------------------- Cash flows from operating activities: Net income $ (713) $ (2,869) Adjustments to reconcile net income to cash used in operating activities: Stock-based compensation 16,116 12,004 Depreciation and amortization 34,836 33,477 Amortization of right-of-use lease assets and lease liability interest 20,912 19,520 Impairment and other losses 1,500 -- Deferred income taxes (655) (792) Adjustment to deferred acquisition consideration 154 4,088 Other, net 2,337 (10,412) Changes in working capital: Accounts receivable (42,976) (12,425) Expenditures billable to clients 6,681 (4,173) Other assets (19,584) (13,076) Accounts payable 22,206 (48,549) Accrued expenses and other liabilities (65,901) (36,642) Advance billings (6,124) (2,986) Current portion of lease liabilities - operating leases (21,660) (22,278) Deferred acquisition related payments (250) -- --------------------------- -------------------------- Net cash used in operating activities (53,121) (85,113) --------------------------- -------------------------- Cash flows from investing activities: Capital expenditures (5,439) (3,435) Acquisitions, net of cash acquired (11,673) (220) Capitalized software (8,794) (6,735) Other (218) (425) --------------------------- -------------------------- Net cash used in investing activities (26,124) (10,815) --------------------------- -------------------------- Cash flows from financing activities: Repayment of borrowings under revolving credit facility (417,000) (426,500) Proceeds from borrowings under revolving credit facility 540,000 476,500 Shares repurchased and cancelled (29,698) (26,129) Distributions to noncontrolling interests (559) (10,948) Payment of deferred consideration (1,657) -- Net cash provided by financing activities 91,086 12,923 --------------------------- -------------------------- Effect of exchange rate changes on cash and cash equivalents (1,754) 945 Net increase (decrease) in cash and cash equivalents 10,087 (82,060) Cash and cash equivalents at beginning of period 119,737 220,589 --------------------------- -------------------------- Cash and cash equivalents at end of period $ 129,824 $ 138,529 =========================== ==========================

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