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ChartFinancialsNewsAbout
HighlightsIncome StatementBalance SheetCash Flow
FY2021FY2022FY2023FY2024FY2025

Operating Activities

Net Income$381.52M$430.91M$264.39M$195.95M$115.01M
Depreciation & Amortization$49.61M$57.45M$58.15M$56.74M$46.39M
Stock-Based Compensation$27.54M$12.40M$4.28M$3.44M$6.00M
Working Capital Changes-$182.48M$117.62M$64.81M$20.50M$7.64M
Operating Cash Flow$276.74M$622.66M$393.65M$286.56M$224.88M
YoY Growth %—+125.0%-36.8%-27.2%-21.5%

Investing Activities

Capital Expenditures-$23.26M-$26.00M-$25.69M-$31.00M-$9.88M
Acquisitions$0.00$5.24M$0.00$0.00$6.92M
Investing Cash Flow-$73.34M-$24.77M-$6.48M-$10.50M-$2.36M

Financing Activities

Debt Issuance (Net)$4.09M-$62.59M-$67.77M-$31.54M-$37.60M
Share Repurchases-$122.72M-$285.98M-$53.92M-$81.40M-$179.86M
Dividends Paid-$111.96M-$115.67M-$117.13M-$120.48M-$124.76M
Financing Cash Flow-$232.95M-$475.68M-$247.97M-$237.34M-$343.14M

Summary

Net Change in Cash-$29.78M$120.01M$141.46M$33.98M-$118.32M
Free Cash Flow$253.48M$596.65M$367.96M$255.56M$215.00M
YoY Growth %—+135.4%-38.3%-30.5%-15.9%

Financials are standardized for comparability and may differ from company-reported line-item presentation.

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