EDU Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
05-31
2022
05-31
2021
05-31
2020
05-31
2019
05-31
2018
05-31
2017
05-31
2016
05-31
2015
05-31
2014
05-31
2013
05-31
2012
05-31
2011
05-31
2010
05-31
2009
05-31
2008
05-31
2007
05-31
2006
05-31
Report Filing: 2023-09-25 2022-09-29 2021-09-24 2020-09-16 2019-09-26 2018-09-27 2017-09-27 2016-09-27 2015-09-25 2014-09-26 2013-09-27 2012-10-12 2011-10-14 2010-10-14 2009-10-19 2008-10-23 2007-11-13 2006-05-31
Net Income/Starting Line 235363000 -1220276000 230021000 354859000 227846000 297237000 276796000 225328000 192718000 215704000 136269000 132688000 101539000 77562000 61016000 49013000 29631000 6303000
Cash From Operating Activities 971008000 -1280453000 1130085000 804455000 805648000 781127000 618137000 517894000 374145000 361345000 283628000 249304000 215819000 141890000 97182000 76708000 59540000 25807000
Depreciation and Amortization 122703000 194429000 230443000 151002000 114004000 79030000 55389000 48515000 47386000 43808000 39193000 26358000 17019000 12350000 10602000 7803000 7052000 5339000
Deferred Income Tax -31528000 89565000 -44644000 -8566000 -17273000 -14821000 -518000 -1936000 -5548000 -2193000 -3630000 -3255000 -1154000 -1871000 -1143000 -195000 -416000 -287000
Stock Based Compensation 89788000 132968000 68880000 62057000 71336000 0 20287000 16810000 15689000 20079000 27242000 24125000 15045000 16183000 16750000 4647000 36807000 8228000
Other Non-Cash Items 16806000 676821000 116461000 53604000 98914000 -3860000 2456000 3630000 5121000 109000 2981000 187000 2429000 317000 -106000 4264000 -31708000 25000
Changes in Working Capital 537876000 -1153960000 528924000 191499000 310821000 366098000 263727000 225547000 118779000 83838000 81573000 69201000 80941000 37349000 10063000 11176000 18174000 6199000
Accounts Receivable -3870000 -8113000 -4627000 -1422000 -509000 767000 -75000 -187000 -2096000 443000 213000 -2164000 314000 -410000 -661000 -179000 -1407000 817000
Inventory -21899000 1820000 3752000 -3278000 6032000 -5855000 -5376000 -5649000 -1750000 -481000 -1664000 -1753000 91000 -1982000 -4309000 -3432000 -1648000 -1342000
Accounts Payable 44048000 -15122000 12809000 82000 -2747000 13728000 3592000 4830000 9248000 272000 -701000 -740000 -2068000 1746000 2141000 905000 7099000 1467000
Deferred Revenue 519597000 -1132545000 516990000 196117000 308045000 357458000 265586000 226553000 113377000 83604000 83725000 73858000 82604000 37995000 12892000 13882000 14130000 5257000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -37411000 1168532000 -2177639000 -1256370000 -574712000 -406716000 -672264000 -309737000 -173417000 -344377000 -237888000 -143701000 -198152000 -97925000 -22262000 -59775000 -10971000 -15004000
Investments in Property Plant and Equipment -143045000 -150738000 -436348000 -309548000 -276878000 -219612000 -105736000 -64401000 -55318000 -31703000 -61468000 -71690000 -49553000 -19558000 -15998000 -11360000 -8131000 -12242000
Payments for Acquisitions 886000 -33913000 -12701000 13948000 -46156000 -999000 -908000 3016000 47750000 -16076000 -16399000 -3472000 -631000 -549000 -470000 -2017000 0 -261000
Purchases of Securities -3325342000 -983549000 -5564552000 -3305537000 -3828782000 -1434755000 -1275969000 -1076226000 -980507000 -2017629000 -167994000 -658622000 -139903000 0 0 -46943000 0 0
Proceeds from Sales and Maturities of Securities 3429042000 2361071000 3773342000 2326706000 3575339000 1238411000 709216000 829853000 813999000 1720830000 2459000 3210000 1299000 0 0 618000 0 0
Other Investing Activities 1048000 -24339000 62620000 18061000 1765000 10239000 1133000 -1979000 659000 201000 5514000 586873000 -9364000 -77818000 -5794000 -73000 -2840000 -2501000
Cash From Financing Activities -246867000 -230858000 1654084000 -17862000 266649000 -74881000 9349000 5503000 -44297000 -54114000 -70849000 945000 6432000 -17550000 -30125000 -19261000 126691000 -20480000
Debt Repayment -48764000 -221997000 -120000000 -20000000 -96457000 0 0 0 0 0 0 0 0 0 0 0 0 -18621000
Common Stock Issued 12878000 175000 1512640000 3629000 233347000 0 0 0 0 0 0 945000 6432000 12446000 5322000 8274000 150682000 1289000
Common Stock Repurchased -191628000 -7956000 -19659000 -13370000 -55962000 0 0 0 -59420000 -21487000 -28511000 0 0 -29996000 -35455000 -27263000 0 5106000
Dividends Paid 0 0 0 0 0 0 0 -62668000 0 -54476000 -46990000 0 0 0 0 0 0 -8262000
Other Financing Activities -6475000 6701000 300762000 22138000 282178000 -3728000 9349000 68171000 15123000 21849000 4652000 0 0 0 8000 -272000 -23991000 8000
Effect of Forex Changes on Cash -75830000 -94821000 106173000 -29026000 -66123000 42771000 -23413000 -35749000 3274000 -8427000 14014000 4453000 12057000 -83000 1537000 6372000 -5104000 -10000
Net Change in Cash 610900000 -437600000 712703000 -498803000 431462000 342301000 -68191000 177911000 159705000 -45573000 -11095000 111001000 36156000 26332000 46332000 4044000 170156000 -9687000
Cash at Beginning of Period 1194527000 1632127000 919424000 1418227000 986765000 641018000 709209000 531298000 371593000 417166000 428261000 317260000 281104000 254772000 208440000 204396000 34222000 43112000
Cash at End of Period 1805427000 1194527000 1632127000 919424000 1418227000 983319000 641018000 709209000 531298000 371593000 417166000 428261000 317260000 281104000 254772000 208440000 204378000 33425000
Free Cash Flow 827963000 -1431191000 693737000 494907000 528770000 561515000 512401000 453493000 318827000 329642000 222160000 177614000 166266000 122332000 81184000 65348000 51409000 13565000
Operating Cash Flow 971008000 -1280453000 1130085000 804455000 805648000 781127000 618137000 517894000 374145000 361345000 283628000 249304000 215819000 141890000 97182000 76708000 59540000 25807000
Capital Expenditure -143045000 -150738000 -436348000 -309548000 -276878000 -219612000 -105736000 -64401000 -55318000 -31703000 -61468000 -71690000 -49553000 -19558000 -15998000 -11360000 -8131000 -12242000

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