Fundamentals - Annual Cash Flow

  Year Ending Oct 2023 (Update) Year Ending Oct 2022 (Update) Year Ending Oct 2021 (Update) Year Ending Oct 2020 (Update) Year Ending Oct 2019 (Update)
Net Income/Starting Line 4.39 8.23 6.76 -6.25 17.50
Depreciation – Supplemental 4.09 3.92 4.19 4.55 3.75
Depreciation/Depletion 4.09 3.92 4.19 4.55 3.75
Deferred Taxes -1.26 -0.66 -0.11 -0.55 0.26
Unusual Items -0.75 0.73 -0.32 5.53 -0.39
Equity in Net Earnings (Loss) -0.49 -0.73 -0.20 -0.07 -0.58
Other Non-Cash Items 0.18 3.92 3.05 2.83 3.26
Non-Cash Items -1.07 3.91 2.54 8.28 2.29
Accounts Receivable -0.08 0.28 -15.19 15.91 11.24
Inventories -0.65 -24.44 2.17 3.46 -10.50
Prepaid Expenses -0.81 7.02 0.44 -4.36 -1.47
Accounts Payable -11.77 -2.28 20.62 -2.56 -23.78
Accrued Expenses -2.88 1.38 2.14 -8.24 -5.61
Taxes Payable -0.99 1.70 0.90 -0.12 -0.16
Other Liabilities -2.18 -3.06 6.57
Other Assets & Liabilities, Net 0.37 0.03 1.15 0.81 0.08
Changes in Working Capital -18.98 -19.37 18.80 4.90 -30.21
Cash from Operating Activities -12.82 -3.97 32.18 10.93 -6.41
Purchase of Fixed Assets -1.29 -1.11 -1.26 -0.68 -3.17
Software Development Costs -1.29 -1.09 -1.11 -0.97 -1.70
Capital Expenditures -2.58 -2.19 -2.37 -1.66 -4.87
Acquisition of Business -- -4.35
Sale of Fixed Assets 0.41 0.10 0.00 0.11 0.08
Investment, Net 0.27 -- -0.98 0.37 0.24
Other Investing Cash Flow Items, Total 0.68 0.10 -0.98 0.48 -4.03
Cash from Investing Activities -1.90 -2.09 -3.35 -1.18 -8.90
Other Financing Cash Flow -0.34 -0.21 -0.20 -0.50 -0.50
Financing Cash Flow Items -0.34 -0.21 -0.20 -0.50 -0.50
Cash Dividends Paid - Common -4.14 -3.92 -3.67 -3.42 -3.20
Total Cash Dividends Paid -4.14 -3.92 -3.67 -3.42 -3.20
Repurchase/Retirement of Common -4.61 -2.89 -- -7.00
Common Stock, Net -4.61 -2.89 -- -7.00
Options Exercised 0.27 0.12 0.35 0.07 --
Issuance (Retirement) of Stock, Net -4.34 -2.77 0.35 -6.93 --
Short Term Debt Issued
Short Term Debt, Net -- -- -1.45
Issuance (Retirement) of Debt, Net -- -- -1.45
Cash from Financing Activities -8.82 -6.90 -3.52 -10.85 -5.15
Foreign Exchange Effects 1.40 -7.18 0.90 2.01 0.24
Net Change in Cash -22.14 -20.14 26.20 0.92 -20.23
Net Cash - Beginning Balance 63.92 84.06 57.86 56.94 77.17
Net Cash - Ending Balance 41.78 63.92 84.06 57.86 56.94
Cash Interest Paid -- -- -- -- 0.01
Cash Taxes Paid 4.34 1.63 1.57 0.49 11.03
For a more complete picture of our financial results, please review our SEC Filings

Source: LSEG