Guess' Inc.

NYSE: GES · Real-Time Price · USD
13.16
-0.21 (-1.57%)
At close: Aug 15, 2025, 2:34 PM

Guess' Cash Flow Statement

Financials in USD. Fiscal year is February - January.
Fiscal Year Q1 2026 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 May 3, 2025 Feb 1, 2025 Nov 2, 2024 Aug 3, 2024 May 4, 2024 Feb 3, 2024 Oct 28, 2023 Jul 29, 2023 Apr 29, 2023 Jan 28, 2023 Oct 29, 2022 Jul 30, 2022 Apr 30, 2022 Jan 29, 2022 Oct 30, 2021 Jul 31, 2021 May 1, 2021 Jan 30, 2021 Oct 31, 2020 Aug 1, 2020 May 2, 2020
Net Income
20.99M 64.94M 94.64M 107.34M 139.94M 116.54M 101.07M 136.92M 140.4M 161.54M 134.72M 141.93M 177.63M 180.05M 181.32M 176.51M 92.67M -80.74M -71.63M -85.6M -38.73M
Depreciation & Amortization
69.64M 68.19M 66.4M 64.1M 47.06M 46.13M 46.81M 46.55M 61.61M 61.47M 60.68M 59.41M 57.91M 56.8M 57.1M 59.17M 60.66M 63.5M 66.21M 67.21M 70.61M
Stock-Based Compensation
20.22M 19.39M 19.15M 19.18M 20.32M 20.25M 18.8M 19.79M 20.96M 20.39M 22.6M 22.94M 21.11M 21.12M 19.37M 17.9M 17.1M 18.83M 24.18M 24.63M 25.61M
Other Working Capital
-244.76M -183.09M -181.06M -17.82M -30.24M -44.25M -73.3M -74.63M -70.01M -79.13M -117.97M -120.91M -126.56M -114.61M -59.23M -57.71M -37.15M 8.52M 144.84M 152.43M 141.49M
Other Non-Cash Items
101.24M 136.09M 127.6M 135.48M 75.08M 40.9M 41.57M -2.94M 20.98M 33.15M 30.01M 35.42M 44.76M 27.72M 34.42M 28.69M 24.44M 31.84M 27.68M 27.43M 30.75M
Deferred Income Tax
3.31M 3.31M 19.66M 5.47M 1.37M 1.37M -4.63M 5.22M 9.31M 9.31M 30.06M -94.07M -92.25M -91.34M -121.06M 6.9M 22.09M 73.56M 73.32M 66.52M 51.01M
Change in Working Capital
-139.16M -99.36M -28.64M 44.42M 113.4M 116.42M 39.1M 13.14M -50.28M -124.8M -180.53M -81.39M -78.46M -62.71M -55.87M -77.83M -5K 102.06M 204.51M 161.37M 93.61M
Operating Cash Flow
71.19M 121.68M 227.94M 304.84M 320.12M 330.38M 231.49M 214.96M 211.1M 169.19M 105.64M 90.17M 130.72M 131.64M 115.28M 211.34M 216.96M 209.05M 324.27M 261.56M 232.86M
Capital Expenditures
-86.9M -86.09M -85.29M -80.89M -77.96M -74.21M -70.24M -73.08M -78.11M -89.5M -94.65M -93.14M -83.12M -63.52M -47.11M -30.38M -22.04M -18.88M -25.21M -37.42M -49.98M
Cash Acquisitions
34.6M -20.38M -6.52M -6.52M -54.98M n/a -8.65M -8.65M 49K 196K 220K 2.2M 2.15M 3.65M 3.63M 1.65M 1.65M n/a 4.47M 4.47M 4.47M
Purchase of Investments
-5.7M -5.7M -1.79M 721K 329K n/a -3.58M -1.32M -927K -598K 940K -807K -1.28M -1.56M -5.9M -5.08M -4.61M -4.32M -1.04M 162K 162K
Sales Maturities Of Investments
n/a n/a -8.65M -8.65M n/a n/a 8.65M 8.65M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a -162K -162K -162K
Other Investing Acitivies
-4.76M -6.03M -6.65M -4.86M -3.07M -938K -707K -78K 930K 37K -379K -956K -1.43M -847K 1.43M 2.81M 767K 1.04M -1.16M -1.63M 498K
Investing Cash Flow
-57.71M -113.16M -103.85M -100.2M -135.68M -75.14M -74.52M -74.47M -78.06M -89.87M -93.87M -92.71M -83.69M -62.28M -47.96M -31M -24.23M -22.16M -23.1M -34.57M -45.01M
Debt Repayment
25.39M 93.6M 55.02M -5.84M -7.42M -4.22M 49.15M 117.11M 141.31M 28.14M 98.35M 41.87M 25.15M -5.78M -6.83M -23.13M -174.12M 44.11M 15.48M 30.78M 170.68M
Common Stock Repurchased
-50.92M -61.2M -84.82M -84.44M -34.17M -66.98M -42.82M -42.82M -148.09M -186.75M -237.81M -237.81M -132.81M -51.07M 2.72M 2.91M -35.84M -38.88M -49.1M -117.29M -88.92M
Dividend Paid
-64.99M -184.61M -183.94M -184.57M -184.56M -62.79M -58.51M -54.65M -52.01M -51.82M -53.97M -49.02M -42.91M -36.75M -29.56M -29.41M -22.11M -15.55M -15.96M -16.19M -24.45M
Other Financial Acitivies
-6.88M -16.98M -11.48M -8.33M -17.69M -37.15M -44.38M -42.06M 72.09M -6.36M -4.59M -4.5M -111M -913K -913K -913K 1.95M n/a -175K 67.12M 66.3M
Financial Cash Flow
-97.23M -165.5M -221.02M -277.53M -237.86M -168.84M -95.2M -22.79M 12.91M -217.19M -200.33M -251.55M -264.12M -97.04M -33.85M -50.13M -229.71M -9.91M -47.02M -32.03M 127.19M
Net Cash Flow
-91.03M -173.17M -103.16M -83.75M -56.99M 84.52M 70.04M 128.25M 150.75M -139.8M -217.22M -284.77M -247.46M -53.78M 25.8M 130.95M -24.27M 184.52M 254.87M 196.62M 306.17M
Free Cash Flow
-15.71M 35.59M 142.66M 223.95M 242.16M 256.17M 161.24M 141.88M 132.99M 79.69M 10.99M -2.97M 47.59M 68.12M 68.17M 180.96M 194.92M 190.17M 299.06M 224.14M 182.88M