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Korn Ferry (KFY)

NYSE - NYSE Delayed price. Currency in USD
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62.65-0.54 (-0.85%)
At close: 04:00PM EDT
62.65 0.00 (0.00%)
After hours: 06:02PM EDT
Annual

Cash flow

All numbers in thousands
Breakdown
ttm
30/04/2023
30/04/2022
30/04/2021
30/04/2020
Cash flows from operating activities
Net income
151,459
209,529
326,360
114,454
104,946
Depreciation & amortisation
76,051
68,335
63,521
61,845
55,311
Deferred income taxes
-24,139
-14,403
-16,963
-14,140
-9,330
Stock-based compensation
39,635
36,285
29,210
27,157
22,818
Change in working capital
32,705
21,734
58,027
96,792
47,720
Accounts receivable
31,902
33,483
-138,627
-67,331
34,152
Accounts payable
-46,784
-27,821
191,447
122,687
-6,011
Other working capital
213,595
273,512
452,252
220,311
194,889
Other non-cash items
-9,581
-10,576
-5,819
-13,017
-6,551
Net cash provided by operating activities
273,215
343,894
501,658
251,433
236,349
Cash flows from investing activities
Investments in property, plant and equipment
-59,620
-70,382
-49,406
-31,122
-41,460
Acquisitions, net
-155,428
-254,750
-133,802
0
-108,602
Purchases of investments
-40,714
-53,530
-82,015
-103,499
-83,563
Sales/maturities of investments
50,319
65,878
92,472
69,683
47,936
Other investing activities
2,778
-10,843
-11,836
3,354
-13,419
Net cash used for investing activities
-202,665
-323,477
-184,332
-61,379
-198,762
Cash flows from financing activities
Debt repayment
-2,411
-4,399
-1,335
-13,603
-879,651
Common stock repurchased
-43,135
-95,463
-96,258
-30,387
-92,446
Dividends paid
-44,937
-32,971
-26,786
-22,498
-22,798
Other financing activities
-15,201
-26,953
-19,984
-6,104
-14,608
Net cash used provided by (used for) financing activities
-97,337
-152,180
-137,444
-66,886
43,681
Net change in cash
-35,101
-134,046
127,292
161,534
62,884
Cash at beginning of period
771,898
978,070
850,778
689,244
626,360
Cash at end of period
745,111
844,024
978,070
850,778
689,244
Free cash flow
Operating cash flow
273,215
343,894
501,658
251,433
236,349
Capital expenditure
-59,620
-70,382
-49,406
-31,122
-41,460
Free cash flow
213,595
273,512
452,252
220,311
194,889