Worthington Industries In...

NYSE: WOR · Real-Time Price · USD
64.89
0.04 (0.06%)
At close: Aug 15, 2025, 3:59 PM
64.88
-0.02%
After-hours: Aug 15, 2025, 05:45 PM EDT

Worthington Industries Cash Flow Statement

Financials in USD. Fiscal year is June - May.
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 May 31, 2025 Feb 28, 2025 Nov 30, 2024 Aug 31, 2024 May 31, 2024 Feb 29, 2024 Nov 30, 2023 Aug 31, 2023 May 31, 2023 Feb 28, 2023 Nov 30, 2022 Aug 31, 2022 May 31, 2022 Feb 28, 2022 Nov 30, 2021 Aug 31, 2021 May 31, 2021 Feb 28, 2021 Nov 30, 2020 Aug 31, 2020
Net Income
95.48M 60.08M 42.74M 42.9M 118.35M 284.03M 312.29M 303.63M 269.17M 220.96M 229.35M 323.03M 399.26M 431.85M 445.88M 264.19M 741.45M 634M 580.2M 705.64M
Depreciation & Amortization
48.26M 48.13M 48.13M 64.21M 80.7M 96.57M 112.78M 113.12M 112.8M 112.76M 112.03M 104.76M 98.83M 92.57M 87.04M 87.51M 87.65M 88.79M 89.68M 90.71M
Stock-Based Compensation
16.18M 16.18M 15.86M 16.1M 16.69M 18.71M 21.09M 19.46M 19.18M 17.9M 17.33M 17.03M 16.1M 16.65M 16.97M 17.58M 19.13M 16.32M 14.32M 12.74M
Other Working Capital
10.96M -16.32M -28.89M -28.07M -29.87M 29.69M 45.83M 17.53M -627K -36.21M -111.25M -81.7M -79.97M -26.6M 28.96M -12.52M 132.67M 103.43M 92.93M 144.19M
Other Non-Cash Items
70.91M 113.86M 106.74M 96.69M 105.97M 1.43M 30.44M 49.85M 80.12M 51.27M 9.4M -37.22M -125.7M -91.64M -64.34M 126.4M -599.68M -565.98M -552.91M -731.98M
Deferred Income Tax
-18.44M -8.95M 3.39M 2.68M 2.76M 5.51M -4.34M -9.93M -15.53M -14.36M 1.83M 6.75M 19.18M 9.03M -31.76M -64.84M 4.82M 9.48M 34.6M 73.22M
Change in Working Capital
4.9M -11.63M -6.21M 74.02M -9.33M 67.78M 133.81M 127.88M 159.63M 172.44M 83.07M -213.4M -337.56M -512.88M -573.14M -323.65M 21M 132.34M 227.12M 239.41M
Operating Cash Flow
209.74M 192.5M 185.49M 271.43M 289.98M 474.04M 606.07M 604.02M 625.36M 560.97M 453.01M 200.96M 70.11M -54.42M -119.35M 107.18M 274.38M 314.95M 393.01M 389.75M
Capital Expenditures
-37.49M -48.83M -46.14M -63.86M -83.53M -89.84M -102.57M -94.19M -86.37M -91.51M -92.41M -92.15M -94.6M -88.66M -81.39M -73.23M -82.18M -89.05M -93.89M -106.2M
Cash Acquisitions
-95.02M -100.44M -109.11M -130.86M -41.92M -65.43M -57.06M -12.3M -32.35M -2.82M -272.03M -298.77M -383.52M -377.06M -237.29M -234.37M -129.62M -130.78M -1.54M -30.75M
Purchase of Investments
-2.04M -4.34M -4.41M -5.87M -3.91M -2.12M -2.06M -700K -770K -270K -250K -110K n/a n/a n/a n/a n/a n/a n/a n/a
Sales Maturities Of Investments
n/a 1.08M 2.17M 3.25M 3.2M 37.91M 36.83M 12.01M 48.15M 12.36M 12.36M 36.09M n/a -634.45M -487.86M -487.86M n/a 634.45M 487.86M 487.86M
Other Investing Acitivies
-28.41M -13.64M -1.15M 13.15M -13.57M -15.07M -14.04M 8.95M -442K 3.48M 7.51M -11.09M 39.94M 61.16M 56.09M 72.54M 533.71M 509.17M 510.28M 488.72M
Investing Cash Flow
-135.1M -139.38M -144.57M -185.27M -140.81M -134.55M -138.9M -86.24M -71.78M -78.76M -344.82M -366.02M -438.19M -404.56M -116M -88.47M 468.51M 435.93M 414.84M 351.77M
Debt Repayment
n/a n/a -150.13M 24.87M -221.7M -223.27M -80.23M -265.86M -19.43M -17.87M 94.71M 105.33M 105.07M 104.75M -831K -917K -622K -394K -639K -1.17M
Common Stock Repurchased
-37.93M -24.14M -19M -16.23M -11.4M -13.73M -12.71M -4.15M -2.48M -56.28M -110.54M -125.29M -186.8M -181.43M -179.54M -202.71M -193.2M -146.32M -115.32M -80.57M
Dividend Paid
-33.9M -33.42M -40.85M -49.21M -56.82M -63.98M -63.24M -61.09M -59.24M -58M -57.02M -56.41M -57.22M -56.35M -55.44M -54.31M -52.99M -53.14M -53.19M -53.71M
Other Financial Acitivies
n/a n/a -68.05M -68.05M -69.97M -78.44M -10.4M -22.16M -52.68M -127.84M -131.2M -122.32M -99.07M -18.32M -22.21M -17.03M -8.4M -5.52M 1.73M -2.01M
Financial Cash Flow
-68.79M -57.58M -278.02M -108.62M -359.89M -379.43M -165.86M -352.54M -133.13M -259.29M -203.79M -198.42M -237.75M -146.21M -252.59M -269.53M -249.78M -204.8M -166.99M -137.03M
Net Cash Flow
5.85M -4.47M -237.1M -22.46M -210.72M -39.93M 301.31M 165.24M 420.46M 222.92M -95.6M -363.48M -605.83M -605.18M -487.94M -250.82M 493.11M 546.08M 640.87M 604.49M
Free Cash Flow
172.25M 143.67M 139.35M 207.57M 206.45M 384.2M 503.5M 509.83M 539M 469.46M 360.6M 108.81M -24.49M -143.08M -200.75M 33.95M 192.2M 225.9M 299.12M 283.55M