Pool Corporation

NASDAQ: POOL · Real-Time Price · USD
321.32
-4.77 (-1.46%)
At close: Aug 15, 2025, 2:39 PM

Pool Cash Flow Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year 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 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
410.8M 407.97M 432.89M 446.76M 458.91M 499.74M 522.96M 543.65M 595.87M 670.9M 748.46M 784.21M 778.82M 731.23M 650.62M 602.19M 536.62M 434.48M
Depreciation & Amortization
47.6M 46.72M 45.48M 43.72M 42.4M 41.12M 40.14M 39.11M 38.82M 38.94M 39.02M 37.63M 35.15M 32.58M 30.03M 29.54M 29.36M 29.37M
Stock-Based Compensation
14.96M 19.98M 19.25M 19.38M 19.93M 19.99M 19.58M 17.78M 17.3M 16.14M 14.88M 15.12M 15.21M 15.01M 15.19M 15.18M 14.84M 14.7M
Other Working Capital
5.01M 8.15M 36.57M 11.88M -25.94M -39.51M -46.13M -556.56M -537.79M -266.15M -308.56M 357.88M 1.26B 1.8B 1.88B 1.85B 1.53B 1.26B
Other Non-Cash Items
21.26M 290.07M 228.65M 220.17M 213.46M -59.31M 3.49M -1.6M 6.17M 6.67M 9.69M 12.73M 7.81M 8.57M 5.57M 8.01M 5.49M 2.85M
Deferred Income Tax
n/a n/a n/a 10.36M 10.83M 10.71M 10.71M 15.52M 15.05M 15.17M 15.17M 4.65M 4.56M 4.5M 4.43M -2.77M -2.76M -2.78M
Change in Working Capital
-9.09M 49.27M 146.35M 99.86M 151.46M 358.62M 291.35M 312.94M 159.69M 48.34M -342.38M -592.45M -686.55M -763.61M -392.34M -284.41M -219.94M -23.66M
Operating Cash Flow
485.54M 540.97M 659.19M 626.83M 683.55M 930.47M 888.23M 927.4M 832.9M 796.17M 484.85M 261.89M 154.99M 28.27M 313.49M 367.73M 363.61M 454.97M
Capital Expenditures
-51.94M -55.73M -59.48M -63.09M -64.83M -61.56M -60.1M -58.61M -54.01M -50.03M -43.62M -41.4M -40.13M -37.98M -37.66M -29.03M -26M -22.2M
Cash Acquisitions
-257K -3.34M -4.69M -4.47M -4.47M -11.12M -11.53M -12.46M -13.13M -11.02M -9.26M -802.38M -804.42M -811.27M -811.96M -117.82M -126.04M -111.63M
Purchase of Investments
n/a 566K n/a 48K 169K -336K n/a -301K -422K -483K -253K n/a n/a n/a n/a n/a n/a n/a
Sales Maturities Of Investments
n/a n/a n/a 32K 32K -29K 201K 422K 422K 483K 253K n/a n/a n/a n/a n/a n/a n/a
Other Investing Acitivies
-4.09M -1.7M -2M 1.02M 1.22M -304K 32K 205K 1.84M -5.85M -5.62M -799.94M -804.42M -811.27M -811.96M -117.82M -126.04M -111.63M
Investing Cash Flow
-56.29M -60.78M -66.17M -66.53M -68.08M -72.99M -71.6M -70.86M -65.3M -59.27M -50.87M -842.02M -844.55M -849.25M -849.61M -146.85M -152.04M -133.83M
Debt Repayment
275.12M 135.31M -13.53M -56.17M -35.2M -281.32M -328.36M -473.53M -511.62M -300.21M 37.63M 814.94M 914.24M 888.99M 704.55M 119.16M 128.96M -63.16M
Common Stock Repurchased
-382.45M -346.31M -306.3M -278.66M -340.11M -272.11M -306.36M -187.13M -243.29M -459.36M -471.23M -471.27M -326.58M -128.94M -138.04M -137.98M -96.13M -81.1M
Dividend Paid
-183.51M -182.53M -179.63M -176.66M -173.73M -170.72M -167.46M -164.03M -160.61M -157.56M -150.62M -143.64M -136.19M -128.41M -119.58M -110.84M -102.03M -93.08M
Other Financial Acitivies
-152.93M -79.48M -77.09M -41.6M -20.58M -92.62M 4.05M 4.61M 110.69M 171.24M 172.56M 345.47M 270.37M 193.4M 74.19M -87.33M -133.44M -74.08M
Financial Cash Flow
-443.37M -473M -576.55M -553.08M -569.62M -816.78M -798.13M -820.09M -804.84M -745.89M -411.66M 545.49M 721.84M 830.04M 526.13M -211.97M -197.64M -311.42M
Net Cash Flow
-13.22M 3.67M 11.32M 6.13M 43.67M 41.5M 20.95M 36.14M -38.26M -8.89M 21.27M -34.4M 33.02M 8.29M -9.81M 8.73M 14.28M 9.27M
Free Cash Flow
433.6M 485.24M 599.71M 563.74M 618.72M 868.9M 828.13M 868.79M 778.89M 746.14M 441.24M 220.5M 114.87M -9.71M 275.83M 338.7M 337.61M 432.76M