SCHN Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
08-31
2022
08-31
2021
08-31
2020
08-31
2019
08-31
2018
08-31
2017
08-31
2016
08-31
2015
08-31
2014
08-31
2013
08-31
2012
08-31
2011
08-31
2010
08-31
2009
08-31
2008
08-31
2007
08-31
2006
08-31
2005
08-31
2004
08-31
2003
08-31
2002
08-31
2001
08-31
2000
08-31
1999
08-31
1998
08-31
1997
08-31
1996
08-31
1995
08-31
1994
08-31
1993
08-31
Report Filing: 2023-10-25 2022-10-24 2021-10-21 2020-10-22 2019-10-24 2018-10-24 2017-10-24 2016-10-25 2015-10-27 2014-10-28 2013-10-29 2012-10-25 2011-10-21 2010-10-21 2009-10-27 2008-10-28 2007-10-29 2006-11-13 2005-11-14 2004-11-30 2003-11-24 2002-11-22 2001-11-29 2000-11-29 1999-11-29 1998-11-24 1997-11-21 1996-11-25 1995-08-31 1994-08-31 1993-08-31
Net Income/Starting Line -25438000 171996000 169975000 -2200000 58322000 159789000 46978000 -17588000 -195076000 9591000 -280023000 28917000 123536000 70676000 -32229000 248683000 131334000 143068000 146867000 111181000 43201000 6553000 7919000 10366000 3400000 9400000 21200000 20800000 22200000 10700000 2100000
Cash From Operating Activities 139362000 237676000 190064000 124597000 144740000 159676000 100370000 99240000 144628000 141252000 39289000 244790000 140463000 89490000 287579000 141764000 179315000 105215000 73499000 73221000 40937000 36385000 8648000 35378000 36800000 13300000 23100000 -5800000 33700000 20800000 11500000
Depreciation and Amortization 89760000 75053000 58599000 58173000 53336000 49672000 49840000 54630000 67936000 79209000 83070000 82256000 74866000 63418000 60681000 51362000 40563000 31411000 20881000 20403000 19441000 18631000 18742000 18361000 17700000 18700000 18300000 14000000 11600000 9400000 9900000
Deferred Income Tax -3934000 25052000 6884000 15096000 14613000 -37995000 2278000 507000 -1988000 -3815000 -59102000 8321000 21004000 10891000 24727000 2582000 8134000 -6611000 4239000 -9068000 1791000 692000 1787000 1328000 3700000 1200000 -2200000 3500000 -1300000 500000 -1700000
Stock Based Compensation 11186000 18517000 18213000 10033000 17300000 18965000 10847000 10437000 10481000 14506000 11475000 8793000 13655000 11035000 8898000 -1621000 839000 -40160000 0 0 0 0 0 0 0 -1900000 0 -3500000 -4400000 -2600000 -1800000
Other Non-Cash Items 51295000 6071000 -1912000 7395000 778000 -2511000 -450000 64186000 379124000 3018000 673160000 -5810000 -2800000 8418000 43379000 62764000 7746000 -41180000 -39554000 -54204000 -15489000 -13205000 -10141000 -3351000 -6800000 -3800000 -7100000 -6100000 -4500000 -2500000 -1700000
Changes in Working Capital 16493000 -59013000 -61695000 36100000 391000 -28244000 -9348000 19161000 73713000 40252000 -52711000 119408000 -89798000 -74948000 182123000 -223627000 -8462000 -21473000 -58934000 4909000 -8007000 23714000 -9659000 8674000 18800000 -12200000 -7100000 -38000000 5700000 2700000 2900000
Accounts Receivable 11637000 633000 -84086000 -2252000 9478000 -44941000 -36195000 -10693000 55600000 -16360000 -79118000 81701000 -91715000 -11569000 189511000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory 48039000 -37232000 -88622000 39226000 33466000 -24280000 -22207000 27504000 69256000 36264000 46826000 94095000 -45268000 -109138000 198840000 -215812000 15369000 -60969000 -26022000 -19024000 -1240000 31174000 -13008000 14629000 13400000 -8000000 -2300000 -18900000 -13000000 600000 -200000
Accounts Payable 5458000 20578000 64956000 -7971000 -17068000 26049000 33062000 -763000 -35638000 9409000 -10901000 -26074000 45447000 8479000 -79086000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -48641000 -42992000 46057000 7097000 -25485000 14928000 15992000 3113000 -15505000 10939000 -9518000 -30314000 1738000 37280000 -127142000 -7815000 -23831000 39496000 -32912000 23933000 -6767000 -7460000 3349000 -5955000 5400000 -4200000 -4800000 -19100000 18700000 2100000 3100000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -143969000 -316146000 -117649000 -78855000 -89565000 -73398000 -45394000 -30476000 -28178000 -41231000 -137184000 -84266000 -399901000 -64289000 -150476000 -127963000 -117408000 -197787000 349000 -46460000 -89120000 21827000 -1254000 -9900000 -9200000 -52700000 -39500000 -40700000 -94500000 -19800000 -5200000
Investments in Property Plant and Equipment -129516000 -150121000 -118866000 -82005000 -94613000 -77626000 -44940000 -34571000 -32297000 -39147000 -90381000 -78560000 -104964000 -64324000 -59044000 -84262000 -80853000 -86583000 -48250000 -22192000 -21796000 -9569000 -9297000 -10732000 -12000000 -14200000 -15500000 -44600000 -31200000 -21100000 -5600000
Payments for Acquisitions -26902000 -184721000 0 0 -912000 -2289000 405000 -11000 -151000 -5925000 -52294000 -5614000 -294937000 375000 -93053000 -46888000 -44634000 -77237000 0 0 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities 0 -5000000 0 0 94613000 0 -6017000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 0 0 0 0 1890000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 12449000 23696000 1217000 3150000 -90543000 6517000 -39782000 -30465000 -28027000 -35306000 -84890000 -78652000 -104964000 -64664000 -57423000 3187000 8079000 -33967000 48599000 -24268000 -67324000 31396000 8043000 832000 2800000 -38500000 -24000000 3900000 -63300000 1300000 400000
Cash From Financing Activities -33132000 94574000 -62821000 -40504000 -47266000 -88141000 -74674000 -64913000 -118751000 -88174000 20587000 -120052000 279951000 -35698000 -110892000 -12048000 -74154000 96846000 -64510000 -17141000 16896000 -27115000 -7924000 -29245000 -25200000 40100000 17500000 46800000 58000000 2300000 -7400000
Debt Repayment -628020000 -889127000 -578030000 -698492000 -435353000 -556456000 -481757000 -323451000 -497603000 -846496000 -767923000 -1003245000 -1164175000 -991842000 -848029000 -39654000 -39772000 0 0 0 0 0 0 0 0 0 0 -20200000 0 0 0
Common Stock Issued 7629000 0 5638000 690162000 431048000 515480000 0 287811000 407036000 0 0 935178000 1467598000 977838000 0 523000 1112000 3565000 1659000 6730000 8722000 1412000 273000 30000 0 0 0 69900000 0 48500000 0
Common Stock Repurchased -7629000 -34248000 -5638000 -914000 -13083000 -17361000 0 -3479000 -1347000 0 0 -33194000 -10303000 -17147000 -29896000 -44859000 -110150000 0 0 0 0 -1256000 0 -394000 -3200000 -5100000 -3900000 -1000000 0 -800000 0
Dividends Paid -21186000 -21291000 -21259000 -20884000 -20615000 -20736000 -20396000 -20444000 -20336000 -20126000 -20010000 -11455000 -1885000 -1416000 -3672000 -1434000 -2029000 -2081000 -2063000 -2029000 -1874000 -1830000 -1862000 -1945000 -2000000 -2000000 -2100000 -1800000 -1600000 -1200000 0
Other Financing Activities 616074000 1039240000 536468000 -10376000 -9263000 -9068000 427479000 282461000 400535000 778448000 808520000 927842000 1456314000 974707000 770705000 33722000 36913000 95362000 -64106000 -21842000 10048000 -25441000 -6335000 -26936000 -20000000 47200000 23500000 -20300000 59600000 -44200000 0
Effect of Forex Changes on Cash -32000 -119000 337000 272000 -255000 -701000 166000 213000 -616000 344000 926000 -71000 -1393000 -187000 -224000 -124000 301000 437000 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Change in Cash -37771000 15985000 9931000 5510000 7654000 -2564000 -19532000 4064000 -2917000 12191000 -76382000 40401000 19120000 -10684000 25987000 1629000 -11946000 4711000 9338000 9620000 -31287000 31097000 -530000 -3767000 2400000 700000 1100000 300000 -2800000 3300000 -1100000
Cash at Beginning of Period 43803000 27818000 17887000 12377000 4723000 7287000 26819000 22755000 25672000 13481000 89863000 49462000 30342000 41026000 15039000 13410000 25356000 20645000 11307000 1687000 32974000 1877000 2407000 6174000 3800000 3100000 1900000 1600000 4400000 1000000 2100000
Cash at End of Period 6032000 43803000 27818000 17887000 12377000 4723000 7287000 26819000 22755000 25672000 13481000 89863000 49462000 30342000 41026000 15039000 13410000 25356000 20645000 11307000 1687000 32974000 1877000 2407000 6200000 3800000 3000000 1900000 1600000 4300000 1000000
Free Cash Flow 9846000 87555000 71198000 42592000 50127000 82050000 55430000 64669000 112331000 102105000 -51092000 166230000 35499000 25166000 228535000 57502000 98462000 18632000 25249000 51029000 19141000 26816000 -649000 24646000 24800000 -900000 7600000 -50400000 2500000 -300000 5900000
Operating Cash Flow 139362000 237676000 190064000 124597000 144740000 159676000 100370000 99240000 144628000 141252000 39289000 244790000 140463000 89490000 287579000 141764000 179315000 105215000 73499000 73221000 40937000 36385000 8648000 35378000 36800000 13300000 23100000 -5800000 33700000 20800000 11500000
Capital Expenditure -129516000 -150121000 -118866000 -82005000 -94613000 -77626000 -44940000 -34571000 -32297000 -39147000 -90381000 -78560000 -104964000 -64324000 -59044000 -84262000 -80853000 -86583000 -48250000 -22192000 -21796000 -9569000 -9297000 -10732000 -12000000 -14200000 -15500000 -44600000 -31200000 -21100000 -5600000

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