FUNDAMENTALS - ANNUAL 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 190.42 226.39 205.38 184.63 208.74
Depreciation – Supplemental 62.96 54.67 50.19 44.30 35.95
Depreciation/Depletion 62.96 54.67 50.19 44.30 35.95
Deferred Taxes 17.11 -16.41 4.22 24.26 21.01
Unusual Items 0.52 2.64 3.14 15.40 54.20
Other Non-Cash Items 9.06 12.82 10.12 5.21 8.48
Non-Cash Items 9.58 15.47 13.26 20.61 62.68
Accounts Receivable 40.64 -36.69 71.29 18.94 -37.32
Inventories 18.29 -100.19 34.27 -64.45 -15.52
Prepaid Expenses 3.47 -10.65 -0.75 7.93 -8.72
Accounts Payable 6.88 -0.82 2.70 -5.60 -3.47
Accrued Expenses 8.77 12.16 8.88 -14.39 -5.29
Changes in Working Capital 78.04 -136.19 116.38 -57.57 -70.31
Cash from Operating Activities 358.11 143.93 389.42 216.22 258.06
Purchase of Fixed Assets -223.59 -232.34 -166.09 -176.23 -159.39
Purchase/Acquisition of Intangibles -9.98 -4.30
Capital Expenditures -233.58 -236.64 -166.09 -176.23 -159.39
Acquisition of Business
Sale of Fixed Assets 0.36 0.11 -- 7.34 1.36
Investment, Net
Other Investing Cash Flow Items, Total 0.36 0.11 -- 7.34 1.36
Cash from Investing Activities -233.22 -236.54 -166.09 -168.88 -158.04
Other Financing Cash Flow 0.01 -0.50 0.03 -1.42 --
Financing Cash Flow Items 0.01 -0.50 0.03 -1.42 --
Repurchase/Retirement of Common -54.47 -105.94 -18.45 -398.38 -82.47
Common Stock, Net -54.47 -105.94 -18.45 -398.38 -82.47
Options Exercised 1.19 1.28 1.22 1.74 1.80
Issuance (Retirement) of Stock, Net -53.29 -104.66 -17.23 -396.64 -80.67
Short Term Debt Issued 880.55 842.30 593.50 425.00 494.50
Short Term Debt Reduction -949.65 -645.20 -810.00 -203.00 -494.50
Short Term Debt, Net -69.10 197.10 -216.50 222.00 --
Issuance (Retirement) of Debt, Net -69.10 197.10 -216.50 222.00 --
Cash from Financing Activities -122.38 91.94 -233.70 -176.06 -80.67
Net Change in Cash 2.52 -0.67 -10.37 -128.73 19.35
Net Cash - Beginning Balance 1.29 1.96 12.33 141.05 121.70
Net Cash - Ending Balance 3.81 1.29 1.96 12.33 141.05
Cash Interest Paid -- -- 0.05 -- --
Cash Taxes Paid 50.06 85.17 52.34 59.93 38.61
For a more complete picture of our financial results, please review our SEC Filings

Source: LSEG