PROG Holdings, Inc. (PRG)
NYSE: PRG · Real-Time Price · USD
30.13
-0.41 (-1.34%)
Oct 10, 2025, 4:00 PM EDT - Market closed

PROG Holdings Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202018 - 2019
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2018 - 2019
Net Income
214.71197.25138.8498.71243.56-61.47
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Depreciation & Amortization
1,6751,6481,6081,7921,8532,257
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Stock-Based Compensation
29.9829.1824.9217.5221.3541.22
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Other Adjustments
530.48461.34463.7607.1382.221,037
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Change in Receivables
-344.82-342.95-307.98-374.52-229.7-250.16
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Changes in Inventories
-1,799-1,850-1,721-1,889-2,054-2,351
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Changes in Accounts Payable
-8-8.515.22.2370.8239.66
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Changes in Accrued Expenses
------175
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Changes in Income Taxes Payable
0.2924.74-14.19-6.01-29.7517.07
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Changes in Unearned Revenue
0.765.2-1.36-8-1.53.36
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Changes in Other Operating Activities
-20.29-25.39-2.113.07-9.83-101.6
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Operating Cash Flow
227.22138.53204.24242.48245.96455.96
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Operating Cash Flow Growth
19.60%-32.17%-15.77%-1.42%-46.06%43.75%
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Capital Expenditures
-8.21-8.32-9.62-9.67-9.56-64.35
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Sale of Property, Plant & Equipment
-0.130.050.030.087.48
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Purchases of Investments
-657.05-459.46-214.69-203.6-182.2-112.6
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Proceeds from Sale of Investments
569388.44185.06159.71132.2869.36
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Payments for Business Acquisitions
-----22.77-14.79
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Proceeds from Business Divestments
-----0.36
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Other Investing Activities
-0.040.370.01--
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Investing Cash Flow
-96.14-79.17-38.83-53.53-82.17-114.54
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Short-Term Debt Issued
-50----
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Net Short-Term Debt Issued (Repaid)
-50----
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Long-Term Debt Issued
----591.755.63
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Long-Term Debt Repaid
------347.65
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Net Long-Term Debt Issued (Repaid)
----591.75-342.02
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Issuance of Common Stock
2.592.361.361.154.5912.36
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Repurchase of Common Stock
-138.43-148.31-143.2-226.77-576.03-11.73
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Net Common Stock Issued (Repurchased)
-135.84-145.95-141.84-225.62-571.440.63
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Common Dividends Paid
-20.49-20.39----13.78
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Other Financing Activities
--2.78-0.03-1.6-50.59-7.38
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Financing Cash Flow
-159.19-119.12-141.87-227.22-30.28-362.55
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Effect of Exchange Rate Changes on Cash and Cash Equivalents
-----0.02
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Net Cash Flow
-28.11-59.7623.54-38.28133.51-21.11
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Beginning Cash & Cash Equivalents
250.13155.42131.88170.1636.6557.76
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Ending Cash & Cash Equivalents
222.0395.66155.42131.88170.1636.65
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Free Cash Flow
219.01130.21194.62232.81236.41391.62
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Free Cash Flow Growth
68.19%-33.10%-16.40%-1.52%-39.63%74.66%
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FCF Margin
8.70%5.29%8.08%8.96%8.83%15.76%
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Free Cash Flow Per Share
5.202.994.184.473.565.76
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Levered Free Cash Flow
54.8132.6413.98-17.3654.29-778.15
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Unlevered Free Cash Flow
93.3520.3734.797.666.49-140.88
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Updated Jul 23, 2025. Data Source: Fiscal.ai. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q