Avnet Inc.

NASDAQ: AVT · Real-Time Price · USD
53.44
-0.67 (-1.24%)
At close: Aug 15, 2025, 3:59 PM
53.47
0.06%
After-hours: Aug 15, 2025, 04:10 PM EDT

Avnet Cash Flow Statement

Financials in USD. Fiscal year is August - July.
Fiscal Year Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 29, 2025 Dec 28, 2024 Sep 28, 2024 Jun 29, 2024 Mar 30, 2024 Dec 30, 2023 Sep 30, 2023 Jul 1, 2023 Apr 1, 2023 Dec 31, 2022 Oct 1, 2022 Jul 2, 2022 Apr 2, 2022 Jan 1, 2022 Oct 2, 2021 Jul 3, 2021 Apr 3, 2021 Jan 2, 2021 Oct 3, 2020
Net Income
240.22M 316.79M 317.71M 348.39M 498.7M 571.29M 669.88M 795.84M 770.83M 862.39M 858.39M 765.32M 692.38M 530.91M 454.98M 323.32M 193.11M 159.92M -76.23M -90.17M
Depreciation & Amortization
93.27M 129.44M 136.54M 140.24M 141.22M 143.05M 141.82M 142.26M 143M 142.16M 145.06M 149.95M 155.21M 161.5M 166.38M 173.45M 188.7M 203.81M 223.05M 238.52M
Stock-Based Compensation
30.45M 36.8M 34.53M 35.13M 33.5M 35.87M 37.39M 39.21M 38.78M 38.16M 38.52M 36.48M 36.74M 35.68M 33.56M 33.56M 29.34M 28.37M 27.66M 24.57M
Other Working Capital
-575.05M -534.8M -302.74M -297.27M 21.83M -483.7M -410.67M -285.32M -532.09M -17.91M -126.67M -560.5M -576.52M -139.49M -274.29M 42.73M 38.04M -504.07M -277.41M -40.36M
Other Non-Cash Items
346.24M 216.26M -503.3M -457.57M -497.08M -360.06M 72.12M 23.75M 52.14M -5.57M 31.03M 39.74M 34.12M 62.62M 15.79M 14.22M 37.68M 31.03M 200.7M 207.17M
Deferred Income Tax
-105.41M -104.59M -63.06M -32.9M -9.75M -13.11M -8.88M -24.19M -37.06M -64.99M -63.64M -56.55M -52.51M 4.56M 10.51M 4.78M 14.65M 19.77M -19.06M -23.68M
Change in Working Capital
119.74M 163.85M 783.13M 292.15M 11.23M -138.21M -743.11M -1.09B -1.68B -2.12B -1.93B -1.77B -1.09B -921.28M -1.06B -611.79M -372.53M 42.2M 237.24M 300.57M
Operating Cash Flow
724.5M 859.28M 1.22B 837.6M 689.98M 650.27M 169.22M -109.85M -713.7M -1.15B -922.6M -833.49M -219.31M -126M -379.65M -62.46M 90.95M 485.1M 593.37M 656.98M
Capital Expenditures
-147.47M -114.14M -129.53M -182.16M -226.48M -257.08M -241.33M -242.56M -194.67M -153.03M -138.22M -65.08M -48.9M -45.04M -42.46M -42.39M -50.36M -51.36M -59.29M -63.65M
Cash Acquisitions
n/a n/a n/a n/a n/a n/a n/a n/a n/a 90.38M 90.38M 90.38M 90.38M -10K -10K -10K -10K -51.51M -51.51M -51.51M
Purchase of Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Sales Maturities Of Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Investing Acitivies
10.35M 10.72M 968K 1.02M 994K 78K -225K -23.88M -16.88M -91.58M -74.73M 16.8M 9.81M 86.4M 75.08M 7.43M -10.83M 41.89M 36.97M -15.42M
Investing Cash Flow
-137.13M -103.42M -128.56M -181.14M -225.48M -257M -241.55M -266.44M -211.55M -154.22M -122.57M 42.1M 51.3M 41.36M 32.63M -34.96M -61.2M -60.98M -73.83M -130.58M
Debt Repayment
-274.85M -320.47M -826.25M -292.14M -156.49M -151.03M 218.53M 771.21M 1.39B 1.71B 1.69B 1.05B 455.58M 190.94M 308.64M 26.13M -218.99M -412.71M -499.44M -485.19M
Common Stock Repurchased
-303.49M -330.19M -228.9M -238.39M -162.72M -86.47M -86.47M -93.65M -221.73M -316.71M -360.09M -327.22M -184.38M -88.95M -45.57M -9.57M n/a -2.01M -39.21M -127.04M
Dividend Paid
-113.31M -113.45M -113.25M -112.5M -111.96M -110.67M -109.16M -107.65M -106.33M -105.04M -104.15M -101.59M -98.49M -95.16M -90.44M -87.45M -84.31M -83.14M -83.06M -83.28M
Other Financial Acitivies
-1.88M 1.11M -758K -275K -2.63M -4M -2.06M -3.4M -5.78M -9.61M -11.63M -16.28M -16.65M -16.12M -14.49M -12.34M -10.72M -10.65M -11.74M -14.6M
Financial Cash Flow
-693.53M -763M -1.17B -643.32M -433.8M -352.18M 20.83M 566.52M 1.05B 1.28B 1.21B 601.96M 156.06M -9.29M 158.15M -83.22M -314.01M -508.51M -633.45M -710.11M
Net Cash Flow
-118.51M -29.56M -100.71M -11.16M 22.71M 32.54M -51.93M 197.8M 134.54M -13.52M 156.96M -218.22M -46M -123.29M -208.51M -183.96M -277.35M -79.91M -112.48M -181.05M
Free Cash Flow
577.03M 745.14M 1.09B 655.44M 463.51M 393.19M -72.1M -352.4M -908.38M -1.3B -1.06B -898.57M -268.21M -171.04M -422.11M -104.85M 40.59M 433.74M 534.08M 593.33M