STERIS plc (STE)
NYSE: STE · Real-Time Price · USD
247.36
-0.99 (-0.40%)
Feb 17, 2026, 1:20 PM EST - Market open

STERIS Cash Flow Statement

Millions USD. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Net Income
707.74614.64378.24107.03243.89397.4
Depreciation & Amortization
486.22476.22450.07422.53432.15219.24
Loss (Gain) From Sale of Assets
17.2812.18231.7722.1314.240.05
Asset Writedown & Restructuring Costs
-0.8--490.57--
Stock-Based Compensation
58.657.456.5438.9557.6625.97
Other Operating Activities
-34.16-78.86-112.43-204.6-34.8127.98
Change in Accounts Receivable
-9.72-28.82-128.07-133.3-51.9712.08
Change in Inventory
11.2773.07-37.45-123.92-102.923.77
Change in Accounts Payable
35.2933.59-18.9653.3414.89-7.21
Change in Other Net Operating Assets
-4.93-11.3338.4-46.14-9.2710.37
Operating Cash Flow
1,2671,148973.27756.95684.81689.64
Operating Cash Flow Growth
10.92%17.96%28.58%10.53%-0.70%16.78%
Capital Expenditures
-349.69-370.09-360.33-361.97-287.56-239.26
Sale of Property, Plant & Equipment
19.69.27.3814.591.740.57
Cash Acquisitions
-20.54-54.14-546.26-42.57-550.45-909.19
Divestitures
3.16814.569.466.62169.710.52
Investment in Securities
-17.55-10.752.38---4.4
Other Investing Activities
-0.1-----2.39
Investing Cash Flow
-365.13388.77-887.36-383.33-666.56-1,154
Long-Term Debt Issued
--181.49241.662,000550
Long-Term Debt Repaid
--1,164-60-247.88-1,628-65.46
Net Debt Issued (Repaid)
-287.13-1,164121.49-6.22372.18484.54
Issuance of Common Stock
38.3725.4710.471.8310.0726.73
Repurchase of Common Stock
-161.42-211.32-11.77-308.57-55.78-14.65
Common Dividends Paid
-235.98-219.88-200.57-183.5-163.17-133.84
Other Financing Activities
-2.21-2.21-4.81-2.27-47.48-17.16
Financing Cash Flow
-648.36-1,572-85.19-498.72115.83345.62
Foreign Exchange Rate Adjustments
15.190.19-2.06-14.86-6.2919.85
Net Cash Flow
268.48-35.32-1.34-139.96127.79-99.05
Free Cash Flow
917.1778612.95394.98397.25450.38
Free Cash Flow Growth
22.05%26.93%55.18%-0.57%-11.80%19.77%
Free Cash Flow Margin
15.74%14.25%11.93%8.71%9.41%14.49%
Free Cash Flow Per Share
9.297.856.173.944.045.24
Cash Interest Paid
89.489.4142.17108.4784.736.26
Cash Income Tax Paid
264.1264.1252.1252.35133.78105.02
Levered Free Cash Flow
870.71,609-194.53296.02219.44330.46
Unlevered Free Cash Flow
909.921,663-104.32363.49275.37353.7
Change in Working Capital
31.9166.51-146.08-250.02-149.2819.01
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q