Caleres, Inc. (CAL)
NYSE: CAL · IEX Real-Time Price · USD
35.26
+0.41 (1.18%)
Apr 19, 2024, 4:00 PM EDT - Market closed

Caleres Cash Flow Statement

Millions USD. Fiscal year is Mar - Feb.
Year 2023202220212020201920182017201620152014 2013 - 1994
Net Income
171.39181.74137.02-439.1162.82-5.4487.265.6681.4882.85
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Depreciation & Amortization
53.2849.0152.3360.5465.5662.764.0756.1351.4451.62
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Share-Based Compensation
14.817.3112.38.110.2513.8111.35.474.845.26
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Other Operating Activities
-39.32-122.19-33.21496.8332.1658.5328.8156.3611.39-20.91
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Operating Cash Flow
200.15125.88168.44126.35170.79129.59191.38183.62149.15118.81
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Operating Cash Flow Growth
59.00%-25.27%33.31%-26.02%31.79%-32.29%4.22%23.11%25.54%14.21%
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Capital Expenditures
-49.62-64.04-24.15-22.06-49.52-66.9-51.18-59.56-73.78-50.04
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Acquisitions
00000-369.460-259.9303.12
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Other Investing Activities
----------65.07
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Investing Cash Flow
-49.62-64.04-24.15-22.06-49.52-436.36-51.18-319.49-73.78-111.98
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Dividends Paid
-9.95-10.18-10.65-10.76-11.42-11.98-12.03-12.1-12.25-12.24
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Share Issuance / Repurchase
-28.54-68.61-20.88-24.48-36.07-48.14-9.81-27.33-10.220.44
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Debt Issued / Paid
-125.517.5-161.19-25-60333.7-110110-3.65-9.62
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Other Financing Activities
13.14-9.67-1.061.16-0.41-2.252.650.93
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Financing Cash Flow
-162.99-58.15-202.39-61.31-106.33273.17-131.8472.82-23.47-20.48
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Exchange Rate Effect
0.12-0.1-0.090.090.08-0.250.350.23-1.15-1.49
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Net Cash Flow
-12.343.59-58.1843.0815.02-33.858.72-62.8250.75-15.14
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Free Cash Flow
150.5361.84144.3104.29121.2762.69140.2124.0675.3768.77
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Free Cash Flow Growth
143.42%-57.14%38.36%-14.00%93.44%-55.28%13.01%64.60%9.59%25.43%
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Free Cash Flow Margin
5.34%2.08%5.19%4.93%4.15%2.21%5.03%4.81%2.92%2.67%
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Free Cash Flow Per Share
4.241.743.792.752.991.463.262.891.731.57
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Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).