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Clarivate plc (CLVT)
Commercial and Professional Services Industrial Goods
Stock AI
Annual
TTM
Quarterly
Auto
K
M
B
Percentage
Change
Mar 20 Feb 21 Mar 22 Mar 23 Feb 24 Feb 25 Feb 26
Net Change in Cash
-76
34
Effect of Exchange Rate Changes
-15
12
Net Cash from Investing Activities
-237
-263
Payments for Proceeds from Businesses and Interest in Affiliates
52
0
Acquisitions of Businesses and Interest in Affiliates
-32
0
Divestitures of Businesses and Interest in Affiliates
-84
0
Payments for Proceeds from Productive Assets
-289
-263
Purchase of Productive Assets
-289
-263
Net Cash from Financing Activities
-470
-343
Proceeds from Repayments of Debt
-198
-100
Payment of Dividends
-38
0
Proceeds from Repurchase of Equity
-200
-225
Payments for Repurchase of Equity
-200
-225
Other Financing Activities (Net)
-34
-19
Net Cash from Operating Activities
647
629
Operating Profit
-637
-201
Total Adjustments to Operating Profit
1,283
830
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