Adeia Inc. logo

Adeia Inc.

ADEA | NASDAQ
Chart Builder DCF Calculator
$25.53
+$0.71 (+2.86%)
At close: Sep 21, 2026, 4:00 PM ET
$25.54
+$0.01 (+0.04%)
After-hours: Sep 21, 2026, 7:30 PM ET
TTM
Period Ending
Q2 2026
Jun 29, 2026
Q1 2026
Mar 30, 2026
Q4 2025
Dec 30, 2025
Q3 2025
Sep 29, 2025
Q2 2025
Jun 29, 2025
Q1 2025
Mar 30, 2025
Q4 2024
Dec 30, 2024
Q3 2024
Sep 29, 2024
Q2 2024
Jun 29, 2024
Q1 2024
Mar 30, 2024
Q4 2023
Dec 30, 2023
Q3 2023
Sep 29, 2023
Q2 2023
Jun 29, 2023
Q1 2023
Mar 30, 2023
Q4 2022
Dec 30, 2022
Q3 2022
Sep 29, 2022
Q2 2022
Jun 29, 2022
Q1 2022
Mar 30, 2022
Q4 2021
Dec 30, 2021
Q3 2021
Sep 29, 2021
Q2 2021
Jun 29, 2021
Q1 2021
Mar 30, 2021
Net Income
122.68M 122.03M 111.08M 73.39M 83.88M 75.54M 64.62M 41.3M 46.21M 39.25M 67.37M 128.4M -285.65M -293.54M -298.59M -387.51M -44.06M -39.46M -58.91M 134.92M 150.76M 130.02M
Depreciation & Amortization
62.33M 60.41M 58.58M 58.36M 57.83M 63.69M 72.78M 81.72M 91.36M 94.88M 95.27M 96.21M 118.64M 139.28M 160.39M 188.44M 201.42M 214.51M 227.2M 232.3M 230.76M 208.39M
Stock-Based Compensation
36.94M 35.19M 34.67M 33.11M 31.85M 29.74M 26.64M 24.14M 21.6M 19.56M 18.06M 16.41M 28.54M 39.46M 52.63M 65M 62.41M 61.77M 58.18M 54.99M 50.73M 35.9M
Other Working Capital
-19.44M -31.13M -20.66M 30.36M 24.64M 35.35M 49.66M -14.22M 2.53M -11.37M -26.46M -21.74M -22.17M 12.25M -6.84M 5.31M 14.24M -3.66M -651K 12.15M 3.93M 5.7M
Other Non-Cash Items
2.73M 3.04M 2.89M 3.06M 3M 2.6M 2.36M 2.15M 2.1M 2.74M 4.05M 4.2M 358.73M 358.94M 359.15M 355.33M -8.44M 3.48M 4.71M 18.56M 31.03M 35.7M
Deferred Income Tax
35.82M 35.57M 33.68M -3.07M -8.46M -8.14M -7.14M 9.57M 6.3M 5.97M 11.39M -38.54M -37.16M -37.02M -40.3M 4.35M -823K -2.56M -978K -13.6M -7.53M -31.94M
Change in Working Capital
-69.55M -96.81M -82.81M 40.7M 33.94M 38.94M 53.2M -14.44M -16.19M -5.77M -43.39M -52.39M 4.96M -7.01M -50.25M -14.69M 28.33M 16.6M 4.58M 36.91M -12.41M 43.62M
Operating Cash Flow
190.95M 159.44M 158.09M 205.55M 202.03M 202.37M 212.46M 144.44M 151.38M 156.63M 152.76M 154.3M 188.06M 200.1M 183.02M 210.92M 238.84M 254.33M 234.79M 464.08M 443.34M 421.69M
Capital Expenditures
-9.46M -9.09M -8.76M -19.86M -18.38M -18.61M -22.3M -14.06M -14.39M -15.22M -6.34M -2.03M -5.4M -8.79M -12.87M -18.59M -18.29M -16.8M -14.14M -63.06M -60.85M -58.92M
Cash Acquisitions
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a -50.47M -50.39M -50.39M -50.32M 180K 150K 186K 50.36M 50.51M 167.9M
Purchase of Investments
-63.57M -59.14M -57.3M -54.34M -27.46M -29.2M -33.18M -34.34M -37.78M -54.01M -42.85M -33.6M -23.77M -86K -4.58M -6.47M -26.16M -29.33M -67.34M -74.53M -122.93M -119.68M
Sales Maturities Of Investments
31.59M 29.25M 25.8M 24.2M 23.9M 28.6M 31.45M 37.35M 34.85M 24.15M 14.7M 5.2M 10.52M 52.81M 64.83M 76.4M 85.09M 77.76M 92.65M 88.72M 77.09M 50.98M
Other Investing Acitivies
-16.59M -7.08M -6.95M -18.1M -17.35M -17.35M -20.48M -10.91M -10.91M -11.01M -2.53M -95K -152K 29K -151K -218K -188K -17.72M -17.57M -67.74M -67.91M -50.47M
Investing Cash Flow
-50.95M -38.98M -40.26M -50M -21.94M -19.21M -24.02M -11.05M -17.32M -45.09M -34.49M -30.43M -69.12M -6.37M -2.91M 1.04M 40.81M 14.25M -6.21M -66.26M -124.1M -10.7M
Debt Repayment
-66.36M -71.36M -60.36M -89.28M -90.21M -91.13M -114.17M -93.28M -96.39M -104.5M -148M -129M -124M -114M -40.5M -40.5M -33.71M -81.05M -84.05M -237.05M -247.9M 476.91M
Common Stock Repurchased
-32.77M -60.3M -43.79M -52.18M -53.42M -47.04M -31.49M -12.33M -12.89M -12.44M -11.27M -11.12M -11.96M -11.43M -33.2M -58.15M -86.22M -96.77M -100.8M -96.53M -102.97M -109.8M
Dividend Paid
-21.95M -21.88M -21.77M -21.79M -21.77M -21.77M -21.77M -21.66M -21.56M -21.45M -21.34M -204.16M -204.03M -203.91M -203.82M -20.86M -20.88M -20.93M -20.98M -21M -21.19M -26.06M
Other Financial Acitivies
-32.89M n/a 186K 1.89M 1.89M 2.94M 3.25M 2.73M 2.76M 2.44M 2.35M 1.18M 7.33M 6.67M 14.26M 16.84M 10.4M 10.87M 9.59M 7.09M 7.34M -727.8M
Financial Cash Flow
-151.47M -151.32M -123.51M -160.15M -162.29M -157.01M -164.17M -124.55M -128.07M -135.95M -178.26M -343.1M -332.66M -322.67M -263.26M -102.67M -130.41M -187.88M -196.25M -347.5M -364.72M -385.22M
Net Cash Flow
-11.47M -30.86M -5.69M -4.61M 17.79M 26.16M 24.27M 8.84M 5.98M -24.41M -60M -219.24M -214.85M -131.67M -86.57M 105.65M 146.36M 79.34M 30.93M 49.71M -45.05M 26.35M
Free Cash Flow
181.5M 150.35M 149.33M 185.69M 183.65M 183.77M 190.16M 130.38M 136.98M 141.41M 146.41M 152.27M 182.66M 191.32M 170.16M 192.33M 220.55M 237.54M 220.65M 401.02M 382.49M 362.77M
Adj. Free Cash Flow
144.55M 115.16M 114.66M 152.57M 151.8M 154.03M 163.52M 106.24M 115.39M 121.85M 128.36M 135.85M 154.12M 151.85M 117.53M 127.34M 158.14M 175.77M 162.47M 346.03M 331.75M 326.88M
Maintenance CapEx
-7.93M -7.56M -6.93M -17.01M -15.61M -15.52M -19.52M -13.75M -13.69M -14.83M -5.95M -1.64M -5.4M -8.79M -12.87M -18.59M -16.74M -12.11M -7.64M -18.48M -16.56M -16.56M
Growth CapEx
-1.53M -1.53M -1.83M -2.86M -2.77M -3.08M -2.78M -315.43K -706.43K -391K -391K -391K n/a n/a n/a n/a -1.55M -4.69M -6.5M -44.58M -44.29M -42.36M
Owner Earnings
183.02M 151.88M 151.16M 188.54M 186.42M 186.85M 192.94M 130.69M 137.69M 141.8M 146.8M 152.66M 182.66M 191.32M 170.16M 192.33M 222.1M 242.23M 227.15M 445.6M 426.78M 405.13M

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