Ipass inc (IPAS)
CashFlow / TTM
Sep'18Jun'18Mar'18Dec'17Sep'17Jun'17Mar'17Dec'16Sep'16Jun'16Mar'16Dec'15Sep'15Jun'15Mar'15Dec'14Sep'14Jun'14Mar'14Dec'13Sep'13Jun'13Mar'13Dec'12Sep'12Jun'12Mar'12Dec'11Sep'11Jun'11Mar'11
Cash flows from operating activities:
Net loss

-18,481

-19,507

-20,253

-20,555

-17,564

-12,247

-8,355

-7,770

-8,696

-10,785

-15,783

-15,493

-17,190

-18,169

9,083

6,974

6,410

7,977

-14,486

-12,312

-9,255

-7,184

-6,478

-4,378

-2,596

-2,628

-2,806

-3,008

0

0

0

Adjustments to reconcile net loss to net cash used in operating activities:
Stock-based compensation expense

1,282

1,316

1,348

1,354

1,369

1,305

1,266

1,104

720

547

-28

-578

388

406

1,068

2,017

1,798

2,555

3,000

3,163

3,109

2,860

2,639

2,418

2,158

1,912

1,801

1,725

0

0

0

Amortization of intangible assets

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

169

229

239

239

239

0

0

0

Depreciation and amortization

949

1,141

1,335

1,591

1,624

1,894

2,217

2,469

2,720

2,839

2,905

2,945

3,005

3,080

3,273

3,330

3,448

3,248

2,955

2,776

2,317

2,210

2,111

2,110

2,188

2,214

2,258

2,259

0

0

0

Deferred Income Tax Expense (Benefit)

-

-

-

-

-

-

-

-

-

-

0

-

-

-

0

-

0

0

0

-

0

0

0

-

-

-

-

-

-

-

-

Loss on disposal of property and equipment

-

-

-

-

-

-

-

-

-

-

-

-7

-22

-58

-58

-54

0

0

0

-

-

-

-

-

-

-

-

-102

0

0

0

Provision for doubtful accounts

94

173

104

210

0

0

0

-

-

-

-

-

-

-

-

-

-

-

-

134

190

251

-21

-66

-212

-167

175

360

0

0

0

Provision for doubtful accounts

-

-

-

-

-

-

-

-

-

-

0

-

0

0

0

-

0

0

0

-

-

-

-

-

-

-

-

-

-

-

-

Changes in operating assets and liabilities:
Accounts receivable

-1,538

-1,090

-3,920

-3,434

-1,002

-1,917

806

2,626

669

1,229

-826

-234

-2,211

-3,792

-696

-2,816

-1,795

-1,414

-6,905

-1,828

-2,550

-336

202

-4,113

-3,013

-3,930

-561

-2,367

0

0

0

Prepaid expenses and other current assets

-435

-7

741

784

-14

-13

-915

-1,535

-597

-444

395

529

1,016

837

677

404

-1,218

-1,405

-731

-625

-345

-657

-1,051

-878

-1,206

-806

-1,288

-858

0

0

0

Other assets

38

60

475

152

0

4

3

-2

10

-4

-224

-243

-457

-453

-204

-232

-186

-291

-530

-785

-758

-861

-879

-718

-609

-439

-315

-521

0

0

0

Accounts payable

-1,584

-748

3,473

2,348

3,829

-55

-634

414

-1,077

739

819

-946

-985

-2,345

-1,854

-1,637

-440

305

-913

2,063

1,143

1,821

266

-1,138

-2,770

-3,018

-2,005

-5,116

0

0

0

Accrued liabilities

112

139

110

-224

-346

-271

-609

-628

-2,061

-3,761

-1,469

-1,854

-1,444

-2,239

-4,867

-3,406

-2,340

-743

-1,160

-277

-1,511

-359

616

-821

-1,007

-1,793

-1,912

-5,276

0

0

0

Deferred revenue

665

1,915

-234

1,346

259

559

869

-73

46

191

866

2,000

2,184

1,805

1,060

-329

-838

-1,171

-1,359

-1,218

-1,165

-983

-1,039

-365

-285

-223

678

432

0

0

0

Other liabilities

-689

-912

-672

-114

-86

-60

-33

80

87

240

177

164

129

237

827

753

706

372

-232

-224

-524

-524

-298

-295

17

27

-238

-252

0

0

0

Net cash used in operating activities

-15,284

-15,446

-12,085

-11,546

-9,729

-6,864

-5,185

-5,482

-8,138

-10,450

-11,538

-13,617

-12,376

-13,954

-16,356

-14,836

-12,841

-9,157

-3,702

-2,432

-1,924

114

-247

3,463

2,283

1,076

-289

-5,469

0

0

0

Cash flows from investing activities:
Purchases of property and equipment

268

397

596

813

1,019

887

802

581

469

476

638

812

848

899

1,036

1,318

1,677

1,958

2,207

2,318

2,122

2,440

3,250

4,465

4,688

4,431

3,309

1,845

0

0

0

Net cash used in investing activities

-268

-397

-596

-813

-1,019

-887

-802

-581

-469

-326

912

738

702

501

25,814

25,532

25,173

25,612

-1,487

-1,598

-902

-1,940

-2,279

-3,494

-3,404

-3,149

-2,210

-746

0

0

0

Cash flows from financing activities:
Net proceeds from issuance of common stock

940

941

1,194

1,204

-2,409

-772

-103

0

2,546

969

113

0

191

165

212

248

437

727

996

1,490

1,457

1,585

1,524

1,414

1,394

1,227

1,061

908

0

0

0

Proceeds from common stock purchase agreement

0

0

0

-

0

0

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Principal payments for vendor financed property and equipment

-

-

-

-

-

-

-

854

854

847

839

832

1,389

1,436

1,159

1,147

855

528

528

265

0

0

0

-

-

-

-

-

-

-

-

Stock repurchase

-

-

-

-

-

-

-

345

345

345

271

0

0

0

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Net cash provided by financing activities

13,407

13,640

1,975

1,446

631

1,981

2,291

1,841

1,538

-32

-806

-641

-1,198

-1,271

-947

-899

-418

199

468

1,225

1,527

1,585

1,524

1,414

1,324

1,227

1,061

908

0

0

0

Net decrease in cash and cash equivalents

-2,145

-2,203

-10,706

-10,913

-10,117

-5,770

-3,696

-4,222

-7,069

-10,808

-11,432

-13,520

-12,872

-14,724

8,511

9,797

11,914

16,654

-4,721

-2,805

-1,299

-241

-1,002

1,383

203

-846

-1,438

-5,307

0

0

0

Supplemental Cash Flow Disclosure:
Net cash paid for taxes

185

155

236

235

228

250

243

242

376

299

228

233

90

180

262

259

305

232

264

261

241

283

196

375

384

468

620

564

0

0

0

Supplemental Non-cash Disclosure:
Accrued amounts for acquisition of property and equipment

-

0

-73

-

-

513

385

373

-46

-79

-169

9

109

108

95

73

-190

136

19

98

171

-29

106

321

640

627

751

388

0

0

0

Accrued issuance costs from debt financing

-

-

0

-

-

0

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-