Stifel Financial Corp. (SF) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

Stifel Financial Corp.

NYSE: SF · Real-Time Price · USD
111.42
-0.67 (-0.60%)
At close: Oct 03, 2025, 3:59 PM
113.26
1.66%
After-hours: Oct 03, 2025, 06:16 PM EDT

Stifel Financial 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
610.56M 620.8M 731.38M 649.86M 559.51M 528.57M 522.54M 536.67M 619.68M 646.14M 662.15M 746.92M 788.13M 825.39M 824.86M 751.94M 680.09M 589.9M
Depreciation & Amortization
82.97M 84.86M 85.97M 89.66M 87.71M 83.46M 81.46M 75.99M 73.82M 72.95M 70.21M 68.27M 67.67M 65.36M 63.76M 63.05M 61.93M 61.25M
Stock-Based Compensation
162.05M 154.6M 153.76M 152.47M 149.57M 153.98M 140.26M 138.46M 136.19M 133.09M 135.5M 137.38M 138.39M 135.25M 121.77M 114.9M 111.56M 109.48M
Other Working Capital
-13.5M -84.61M -264.41M -21.11M 279.89M 220.88M 202M -104.48M -282.21M -245.82M -259.25M -373.92M -384.6M -437.53M -358.59M -418.96M -525.62M -229.64M
Other Non-Cash Items
446.65M 301.8M 161.12M -131.19M 134.9M -38.34M -4.73M 159.84M 223.27M 182.56M 215.35M 130.06M 68.97M 234.55M 145.15M 184.82M 343.44M 98.57M
Deferred Income Tax
-52.23M -57.65M -30.64M 5.45M -579K 244K 15.97M -4.64M 7.55M 30K 12.69M 58.91M 11.7M 10.58M 32.1M -72.59M -21.07M -8.92M
Change in Working Capital
-230.48M -215.46M -611.15M -695.22M -558.3M -453.23M -256.17M 105M 258.98M 342.78M -8.94M -540.38M -5.6M -554.49M -315.55M -144.09M -850.12M 297.04M
Operating Cash Flow
1.02B 888.95M 490.44M 71.03M 372.82M 274.68M 499.33M 1.01B 1.32B 1.38B 1.09B 601.16M 1.07B 716.63M 872.09M 898.03M 325.83M 1.15B
Capital Expenditures
-61.6M -80.72M -73.79M -69.31M -68.81M -46.2M -51.98M -76.43M -82.35M -85.11M -82.33M -59.92M -189.06M -189.56M -188.18M -176.01M -40.24M -31.61M
Cash Acquisitions
-80.3M -7.71M -8.46M -6.61M -52.42M -53.95M -111.96M -114.33M -72.19M -70.67M -11.9M -155.18M -144.16M -144.16M -144.47M -315K -315K -595K
Purchase of Investments
-3.1B -3.95B -3.15B -2.52B -1.06B -129.51M -48.89M -37.43M -152.46M -815.52M -873.2M -1.32B -2.07B -2.34B -3.51B -3.29B -2.46B -2.06B
Sales Maturities Of Investments
2.66B 2.94B 2.47B 1.79B 958.02M 435.91M 255.15M 270.31M 321.22M 325.45M 465.54M 973.24M 1.34B 1.92B 2.33B 1.89B 1.48B 1.13B
Other Investing Acitivies
-1.87B -1.86B -1.55B 134.29M 800.44M 1.6B 1B 400.66M -1.42B -3.03B -3.82B -7.06B -5.86B -5.42B -5.46B -2.85B -2.54B -1.93B
Investing Cash Flow
-2.46B -2.96B -2.31B -678M 577M 1.81B 1.04B 442.77M -1.4B -3.68B -4.32B -7.62B -6.93B -6.18B -6.97B -4.42B -3.56B -2.35B
Debt Repayment
-455.81M -518.18M -182.47M -521.68M -21.68M 97.57M -219.96M n/a n/a n/a 28M -24M 28M 28M n/a -247.91M -623.28M -353.97M
Common Stock Repurchased
-242M -176.56M -144.1M -242.25M -340.84M -410.06M -443.88M -375.32M -256.51M -200.35M -105.83M -118.68M -162.4M -160.7M -172.74M -86.47M -42.75M -14.14M
Dividend Paid
-241.55M -227.07M -227.28M -221.32M -215.7M -216.32M -200.26M -194.07M -188.37M -181.59M -171.03M -156.85M -140.89M -123.72M -101.92M -93.56M -89.13M -81.41M
Other Financial Acitivies
1.64B 2.27B 1.53B 728.45M 357.21M -869.35M 609.52M 385.68M 739.62M 3.63B 3.44B 6.65B 6.08B 5.78B 5.93B 4.01B 3.57B 1.35B
Financial Cash Flow
704.32M 1.35B 980.1M -256.8M -221.01M -1.4B -254.58M -183.71M 294.75M 3.24B 3.19B 6.35B 5.95B 5.66B 5.79B 3.72B 2.82B 1.12B
Net Cash Flow
-730.9M -720.3M -845.65M -856.47M 727.66M 688.06M 1.29B 1.36B 321.46M 1.06B 79.34M -633.96M 101.73M 203.9M -302.55M 209.42M -396.66M -59.28M
Free Cash Flow
957.93M 808.23M 416.65M 1.72M 304.01M 228.48M 447.35M 934.9M 1.24B 1.29B 1B 541.25M 880.2M 527.07M 683.92M 722.01M 285.59M 1.12B