Investors

Cash Flow

Cash Flow

  Year Ending Dec 2025 (Update) Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update) Year Ending Dec 2021 (Update)
Net Income/Starting Line 1.02M 522.43 323.40 245.95 143.35
Depreciation – Supplemental 62.38 48.22 38.16 33.55 28.44
Depreciation/Depletion 62.38 48.22 38.16 33.55 28.44
Amortization of Intangibles 79.58 97.27 43.40 47.80 40.51
Amortization 79.58 97.27 43.40 47.80 40.51
Deferred Taxes -5.28 -66.61 95.30 -94.51 6.90
Unusual Items 31.50 85.12 21.31 3.23 -9.36
Other Non-Cash Items 63.28 55.24 44.53 35.55 27.27
Non-Cash Items 94.78 140.35 65.84 38.78 17.91
Accounts Receivable -614.24 -415.31 -374.21 -232.82 -75.32
Inventories -24.41 6.54 -29.69 -13.50 -5.65
Prepaid Expenses -91.36 -7.87 -11.14 -26.24 -8.62
Other Assets -0.39 -2.22 -0.15 -1.00 -1.17
Payable/Accrued -276.05 502.89 136.47 165.89 4.00
Other Liabilities 938.78 23.37 352.19 137.62 29.81
Changes in Working Capital -67.67 107.40 73.47 29.96 -56.95
Cash from Operating Activities 1.19M 849.06 639.57 301.53 180.15
Purchase of Fixed Assets -154.90 -111.07 -94.84 -48.36 -22.33
Capital Expenditures -154.90 -111.07 -94.84 -48.36 -22.33
Acquisition of Business -279.61 -235.47 -102.26 -49.22 -227.49
Sale of Business
Sale of Fixed Assets 3.70 5.54 5.95 2.86 3.10
Sale/Maturity of Investment 27.75
Purchase of Investments -64.20 -2.51 -1.86 -2.46
Other Investing Cash Flow Items, Total -312.37 -232.44 -98.17 -48.82 -224.39
Cash from Investing Activities -467.27 -343.51 -193.01 -97.18 -246.72
Other Financing Cash Flow -60.03 -34.33 -20.05 -10.55 -6.24
Financing Cash Flow Items -60.03 -34.33 -20.05 -10.55 -6.24
Cash Dividends Paid - Common -68.83 -42.77 -30.38 -20.08 -17.38
Total Cash Dividends Paid -68.83 -42.77 -30.38 -20.08 -17.38
Repurchase/Retirement of Common -216.00 -57.91 -21.18 -38.22 -27.05
Common Stock, Net -216.00 -57.91 -21.18 -38.22 -27.05
Options Exercised 0.79 0.18 0.02 1.09 5.63
Issuance (Retirement) of Stock, Net -215.21 -57.73 -21.17 -37.13 -21.42
Long Term Debt Issued 200.00 182.64 285.00 555.00 275.00
Long Term Debt Reduction -100.00 -182.00 -500.00 -680.90 -143.81
Long Term Debt, Net 100.00 0.64 -215.00 -125.90 131.20
Total Debt Reduction -43.06 -26.58 -12.03 -12.26 -15.70
Issuance (Retirement) of Debt, Net 56.94 -25.94 -227.03 -138.16 115.50
Cash from Financing Activities -287.13 -160.76 -298.62 -205.92 70.45
Net Change in Cash 431.96 344.79 147.94 -1.56 3.88
Net Cash - Beginning Balance 549.94 205.15 57.21 58.78 54.90
Net Cash - Ending Balance 981.90 549.94 205.15 57.21 58.78
Cash Interest Paid 7.90 6.43 9.86 12.92 6.05
Cash Taxes Paid 253.55 102.82 100.25 44.30 52.20
For a more complete picture of our financial results, please review our SEC Filings

Source: LSEG

Our company went public in June 1997, with the intention of becoming a nationwide provider of building systems installation and maintenance.

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