Korn Ferry

NYSE: KFY · Real-Time Price · USD
72.49
-0.76 (-1.04%)
At close: Aug 15, 2025, 2:47 PM

Korn Ferry Cash Flow Statement

Financials in USD. Fiscal year is May - April.
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 Apr 30, 2025 Jan 31, 2025 Oct 31, 2024 Jul 31, 2024 Apr 30, 2024 Jan 31, 2024 Oct 31, 2023 Jul 31, 2023 Apr 30, 2023 Jan 31, 2023 Oct 31, 2022 Jul 31, 2022 Apr 30, 2022 Jan 31, 2022 Oct 31, 2021 Jul 31, 2021 Apr 30, 2021 Jan 31, 2021 Oct 31, 2020 Jul 31, 2020
Net Income
249.42M 249.9M 248.62M 186.32M 170.9M 153.42M 107.13M 181.7M 213.05M 257.98M 331.27M 332.98M 330.85M 304.54M 271.07M 222.81M 115.56M 48.19M 17.56M 32.51M
Depreciation & Amortization
80.29M 79.65M 78.67M 78.53M 77.97M 76.05M 73.58M 71.12M 68.33M 66.5M 65.57M 64.11M 63.52M 63.16M 62.79M 62.45M 61.84M 61.02M 60.15M 57.57M
Stock-Based Compensation
47.96M 43.17M 42.18M 42.02M 39.97M 39.63M 38.81M 37.26M 36.28M 34.15M 31.99M 29.81M 29.21M 28.92M 28.61M 28.35M 27.16M 26.04M 24.49M 23.32M
Other Working Capital
26.02M 45.44M 58.66M 71.28M 77.81M 65.88M 33.63M 13.19M 21.52M 18.91M 9.75M 36.16M 4.64M 13.08M 27.35M 23.39M 41.36M 38.68M 36.73M 28.05M
Other Non-Cash Items
-5.07M -25.26M -40.42M -17.34M -13.07M -4.46M 15.14M 8.38M 18.89M 35.12M 46.13M 41.65M 37.02M 6.48M -21.14M -27.93M -35.78M -10.85M 5.06M 4.52M
Deferred Income Tax
-6.4M -7.53M -18.26M -30.57M -32.31M -24.14M -12.36M -10.3M -14.4M -23.34M -20.79M -17.72M -16.96M -13.78M -16.2M -13.63M -14.14M -10.42M -10.66M -7.23M
Change in Working Capital
-3.49M 28.82M 8.24M 70.65M 40.51M 32.7M 78.42M 13.13M 21.73M 2.57M -8.7M -20.51M 58.03M 29.29M -24.16M -36.91M 96.79M 119.53M 151.79M 143.32M
Operating Cash Flow
364.36M 370.4M 320.67M 331.26M 283.96M 273.21M 300.72M 301.29M 343.89M 372.96M 445.46M 430.32M 501.66M 418.61M 300.96M 235.15M 251.43M 233.52M 248.4M 254.01M
Capital Expenditures
-62.48M -54.05M -48.42M -49.98M -55.15M -59.62M -65.05M -69.39M -70.38M -70.8M -67.28M -57.04M -49.41M -40.94M -34.78M -31.34M -31.12M -30.55M -32.97M -39.54M
Cash Acquisitions
n/a n/a n/a n/a n/a -155.43M -155.43M -254.75M -254.75M -142.26M -233.06M -133.66M -133.55M -90.61M 400K 320K 205K -108.4M -217.08M -217.08M
Purchase of Investments
-39.45M -36.97M -40.08M -56.95M -45.77M -40.71M -31.02M -14.22M -53.53M -66.23M -80.03M -94.76M -82.02M -117.76M -117M -110.85M -103.5M -99.54M -120.31M -101.18M
Sales Maturities Of Investments
41.92M 41.29M 41.57M 36.34M 46M 50.32M 58.42M 68.27M 65.88M 79.24M 90.93M 84.98M 92.47M 83.22M 76.06M 78.24M 69.68M 98.08M 77.26M 60.89M
Other Investing Acitivies
-65.48M -72.23M -20.86M -21.42M 1.09M 2.78M -2.52M -1.52M -10.69M -13.08M -13.79M -13.91M -11.84M -1.55M 5.99M 5.11M 3.35M 102.41M 93.83M 94.16M
Investing Cash Flow
-125.5M -121.97M -67.78M -92.01M -53.83M -202.66M -195.61M -271.62M -323.48M -213.13M -303.24M -214.4M -184.33M -167.63M -69.32M -58.52M -61.38M -37.99M -199.27M -202.76M
Debt Repayment
-5.76M -2.15M -2.29M -1.93M -1.9M -2.41M -3.86M -4.32M -4.4M -3.77M -2.15M -1.51M -1.33M -5.74M -13M -12.96M -13.6M -9.31M 116.46M 166.3M
Common Stock Repurchased
-88.82M -96.95M -99.79M -71.51M -53.16M -43.13M -48.1M -76.22M -95.46M -149.76M -143.76M -118.18M -96.26M -28.95M -17M -32.85M -34.83M -59.22M -57.73M -84.15M
Dividend Paid
-83.63M -76.06M -74.36M -64.56M -54.39M -44.94M -35.39M -33.9M -32.97M -31.51M -30.11M -28.62M -26.79M -25.76M -24.63M -23.56M -22.5M -22.46M -22.5M -22.52M
Other Financial Acitivies
-16.77M -16.59M -16.54M -18.03M -6.88M -6.85M -7.42M -7.14M -23.53M -23.86M -23.6M -20.9M -13.06M -13.19M -15.18M -15.42M -2.46M -2.03M -2.61M -3.13M
Financial Cash Flow
-190.73M -187.51M -188.74M -151.78M -116.33M -97.34M -94.77M -121.76M -152.18M -204.73M -195.45M -164.84M -137.44M -73.91M -67.76M -82.73M -66.89M -86.24M 37.92M 60.8M
Net Cash Flow
65.96M 42.5M 74.01M 71.17M 96.98M -35.1M 26.94M -77.58M -134.05M -74.61M -131.49M -9.52M 127.29M 152.38M 172.28M 106.52M 161.53M 130.42M 88.69M 118.15M
Free Cash Flow
301.88M 316.35M 272.25M 281.28M 228.81M 213.59M 235.66M 231.9M 273.51M 302.17M 378.18M 373.27M 452.25M 377.67M 266.18M 203.81M 220.31M 202.97M 215.43M 214.47M