v3.26.1
CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Cash flows from operating activities        
Net income for the period $ 17,825 $ 13,761 $ 34,859 $ 28,861
Adjustments to reconcile net income to net cash from operating activities:        
Depreciation and amortization 4,652 4,602 9,299 9,230
Loss in respect of trading marketable securities and other investments 0 0 0 8
Increase in liability for employee rights upon retirement 1,235 591 2,343 1,622
Share in losses (profit) of affiliated companies, net 14 (16) 59 18
Deferred income taxes (1,042) (302) (2,255) (387)
Capital loss on sale of property and equipment, net 180 58 124 89
Decrease (increase) in accounts receivable 4,233 (1,127) (4,638) (7,691)
Decrease in other current and non-current assets 1,706 4,822 188 4,800
Decrease (increase) in inventories (3,160) 72 (655) (58)
Increase (decrease) in accounts payable 3,173 (393) 5,477 (124)
Increase (decrease) in deferred revenues (996) 607 833 1,354
Increase (decrease) in other current and non-current liabilities 4,399 (249) 4,834 163
Net cash provided by operating activities 32,219 22,426 50,468 37,885
Cash flows from investment activities        
Increase in funds in respect of employee rights upon retirement, net of withdrawals (1,324) (560) (2,476) (852)
Capital expenditures (6,634) (5,264) (11,937) (11,874)
Investments in affiliated and other companies, net (124) (106) (172) (110)
Repayment of (investment in) long-term deposit (109) 61 (123) (23)
Proceeds from sale of property and equipment 424 154 717 454
Net cash used in investment activities (7,767) (5,715) (13,991) (12,405)
Cash flows from financing activities        
Short term credit from banking institutions, net 0 0 0 (114)
Acquisition of company shares (3,048) 0 (3,579) 0
Dividend paid (29,840) (9,947) (39,761) (17,705)
Dividend paid to non-controlling interests 0 0 (1,913) (1,677)
Net cash used in financing activities (32,888) (9,947) (45,253) (19,496)
Effect of exchange rate changes on cash and cash equivalents 4,167 6,288 4,925 5,394
Net change in cash and cash equivalents (4,269) 13,052 (3,851) 11,378
Balance of cash and cash equivalents at beginning of period 107,969 75,683 107,551 77,357
Balance of cash and cash equivalents at end of period $ 103,700 $ 88,735 $ 103,700 $ 88,735