PriceSmart, Inc. (PSMT)
NASDAQ: PSMT · IEX Real-Time Price · USD
79.39
+1.19 (1.52%)
Apr 17, 2024, 4:00 PM EDT - Market closed

PriceSmart Cash Flow Statement

Millions USD. Fiscal year is Sep - Aug.
Year 2023202220212020201920182017201620152014 2013 - 1995
Net Income
109.21104.5397.9678.1173.1974.3390.7288.7289.1292.89
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Depreciation & Amortization
72.767.8764.9861.2354.9652.6446.2939.7934.4528.48
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Share-Based Compensation
16.5716.818.4213.8215.0610.229.699.124.764.96
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Other Operating Activities
58.85-67.38-54.2106.1227.12-17.73-23.684.5-18.7510.95
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Operating Cash Flow
257.33121.83127.17259.27170.33119.45123.02142.14109.58137.28
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Operating Cash Flow Growth
111.22%-4.20%-50.95%52.21%42.59%-2.90%-13.45%29.71%-20.17%5.08%
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Capital Expenditures
-142.15-120.47-112.79-100.28-139.99-97.48-134.92-77.61-88.82-117.96
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Acquisitions
04.96000-23.90-0.12-1.36-0.75
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Change in Investments
-79.9340.75-3.93-30.9315.28-32.40000
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Other Investing Activities
-------0.3-0.441.1-0.85
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Investing Cash Flow
-222.08-74.76-116.72-131.21-124.7-153.78-135.22-78.18-89.08-119.56
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Dividends Paid
-28.54-26.56-21.99-21.53-21.65-21.24-21.29-21.27-21.13-21.14
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Share Issuance / Repurchase
-12.86-6.26-5.54-3.65-4.6-2.91-2.49-3.25-4.63-4.66
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Debt Issued / Paid
0.3520.61-67.41100.81-5.4-3.591.87.467.5918.18
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Other Financing Activities
---0.2-0.07-0.3-0.08--1.219.49
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Financing Cash Flow
-41.06-12.21-95.1475.56-31.96-27.82-21.97-17.07-16.961.87
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Exchange Rate Effect
6.641.03-3.6-6.08-4.35-6.66-2.84-2.78-11.41-4.36
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Net Cash Flow
0.8335.89-88.29197.549.32-68.8-3744.12-7.8715.22
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Free Cash Flow
115.181.3614.38158.9930.3521.97-11.964.5320.7719.32
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Free Cash Flow Growth
8356.75%-90.53%-90.96%423.93%38.10%--210.75%7.50%-68.32%
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Free Cash Flow Margin
2.61%0.03%0.40%4.78%0.94%0.69%-0.40%2.22%0.74%0.77%
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Free Cash Flow Per Share
3.740.040.475.251.000.73-0.402.160.700.65
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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).