Regis Corporation (RGS)
NASDAQ: RGS · IEX Real-Time Price · USD
5.37
-0.18 (-3.24%)
Apr 25, 2024, 11:53 AM EDT - Market open

Regis Cash Flow Statement

Millions USD. Fiscal year is Jul - Jun.
Year 2023202220212020201920182017201620152014 2013 - 1995
Net Income
-7.39-85.86-113.33-171.36-14.236.44-18.54-11.32-33.84-138.52
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Depreciation & Amortization
7.196.517.8733.133.2643.1754.9656.9968.2681.41
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Share-Based Compensation
2.321.333.253.2898.2713.149.88.656.4
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Other Operating Activities
-10.0139.38-7.6848.58-45.56-55.298.770.3151.68167.47
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Operating Cash Flow
-7.89-38.64-99.88-86.41-17.522.5958.3455.7994.74116.76
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Operating Cash Flow Growth
------95.56%4.57%-41.12%-18.85%67.28%
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Capital Expenditures
-0.48-5.32-11.48-28.5-31.62-30.74-33.84-31.12-35.27-49.43
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Acquisitions
4.5138.1889.5394.7911.582.251.740-0.02
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Change in Investments
0000000.5005.06
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Other Investing Activities
--1.2-24.6218.110.8811.99-0.31-
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Investing Cash Flow
4.027.68-2.161.0387.79-1.05-30.21-17.39-35.58-44.38
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Dividends Paid
000000000-6.79
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Share Issuance / Repurchase
037.190-28.25-152.66-24.80-101.04-47.890
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Debt Issued / Paid
2.27-6.929.4187.528.82-34.230-0-173.75111
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Other Financing Activities
-4.42-0.85-1.63-3.09-2.86-3.21-6.85-1.51-0.78-
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Financing Cash Flow
-2.1529.427.7856.17-126.7-62.24-6.85-102.55-222.42104.21
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Exchange Rate Effect
-0.05-0.160.48-0.280.04-0.510.94-0.78-3.090.91
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Net Cash Flow
-6.07-1.69-93.7330.5-56.4-61.2122.21-64.93-166.35177.49
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Free Cash Flow
-8.37-43.95-111.36-114.91-49.14-28.1524.4924.6759.4767.33
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Free Cash Flow Growth
-------0.71%-58.52%-11.67%-47.34%
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Free Cash Flow Margin
-3.59%-15.93%-27.05%-17.16%-4.60%-2.28%1.89%1.91%3.24%3.56%
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Free Cash Flow Per Share
-3.62-20.17-61.94-63.95-23.50-12.1010.5710.1621.6323.84
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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).