Ratios
Cash Flow Statements
1/1/07 – 12/31/07 1/1/06 – 12/31/06 2/1/05 – 12/31/05 Cash Flow from Operating Activities Net Income $769,000.80 293,475.56 ($380.65) Adjustments to Net Income Decrease (Increase) in Accounts Receivable ($612,765.79) ($161,686.46) ($36,595.21) Increase (Decrease) in Liabilities (A/P, Taxes Payable) $186,678.69 $174,426.07 $5,681.53
Net CasH Flow from Operating Activites $342,913.70 $306,215.18 ($31,294.34)
Cash Flow fro Investing Activites Capital Expenditures ($55,476.50) ($270,131.20) ($54,095.30) Depreciation and Amortization $94,925.75 $81,056.63 $13,523.83 Decrease (Increase) in Inventories ($123,560.58 ($61,780.29) ($20,593.43) Net Cash Flow from Investing Activites ($84,111.33) ($250,854.87) ($61,164.91)
Cash Flow from Financing Activites Dividends Paid Sale (Repurchase) of Stock $70,000.00 Increase (Decrease) in debt ($34,961.16) $34,961.16 Other cash flows from financing activites Net Cash Flow from Financing Activities $0.00 ($34,961.16) $104,961.16 Cash at beginning of period $258,802.37 $20,399.15 $12,501.92 Cash at end of period $291,703.44 $32,901.07 $12,501.92