Cash Flow

  Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update) Year Ending Dec 2021 (Update) Year Ending Dec 2020 (Update)
Net Income/Starting Line -2.80 6.46 36.56 70.16 33.17
Depreciation – Supplemental 20.25 16.95 14.77 11.36 14.19
Depreciation/Depletion 20.25 16.95 14.77 11.36 14.19
Deferred Taxes -6.25 -6.91 -5.51 0.88 19.79
Unusual Items 0.68 0.39 0.83 -0.11 3.93
Other Non-Cash Items 10.25 7.83 7.62 8.80 9.62
Non-Cash Items 10.93 8.22 8.45 8.69 13.55
Accounts Receivable 11.37 72.86 -93.99 -34.52 -6.04
Inventories 5.99 -4.98 -32.98 -20.76 12.83
Other Assets
Accounts Payable -6.69 -27.96 41.30 34.95 -10.67
Accrued Expenses -0.16 -0.84 -3.44 1.93 0.97
Taxes Payable
Other Liabilities
Other Assets & Liabilities, Net -2.59 -7.57 16.00 1.32 -13.46
Other Operating Cash Flow
Changes in Working Capital 7.92 31.52 -73.11 -17.07 -16.36
Cash from Operating Activities 30.06 56.24 -18.84 74.01 64.33
Purchase of Fixed Assets -13.66 -20.73 -20.56 -23.00 -14.53
Capital Expenditures -13.66 -20.73 -20.56 -23.00 -14.53
Acquisition of Business -47.63 -0.50 -- -18.05
Sale of Business -- 0.90 47.50
Sale of Fixed Assets 0.10 0.12 0.15 0.02 --
Other Investing Cash Flow Items, Total -47.54 -0.38 0.15 0.93 29.45
Cash from Investing Activities -61.20 -21.11 -20.42 -22.08 14.92
Other Financing Cash Flow -- -0.07 -- -3.52 --
Financing Cash Flow Items -- -0.07 -- -3.52 --
Cash Dividends Paid - Common -6.98 -7.11 -7.15 -3.55 -3.57
Total Cash Dividends Paid -6.98 -7.11 -7.15 -3.55 -3.57
Repurchase/Retirement of Common -0.11 -19.08 -26.79 -3.35 -7.50
Common Stock, Net -0.11 -19.08 -26.79 -3.35 -7.50
Options Exercised -0.95 -4.46 -8.41 -2.95 -1.53
Issuance (Retirement) of Stock, Net -1.06 -23.54 -35.20 -6.30 -9.04
Long Term Debt Issued 150.00 132.50 145.00 45.00 16.00
Long Term Debt Reduction -105.00 -138.50 -89.00 -67.40 -81.00
Long Term Debt, Net 45.00 -6.00 56.00 -22.40 -65.00
Issuance (Retirement) of Debt, Net 45.00 -6.00 56.00 -22.40 -65.00
Cash from Financing Activities 36.96 -36.72 13.65 -35.77 -77.60
Net Change in Cash 5.82 -1.59 -25.61 16.16 1.65
Net Cash - Beginning Balance 9.96 11.55 37.16 21.00 19.35
Net Cash - Ending Balance 15.78 9.96 11.55 37.16 21.00
Cash Interest Paid 8.01 5.62 2.18 0.59 1.76
Cash Taxes Paid 5.07 5.59 1.32 12.20 0.61
For a more complete picture of our financial results, please review our SEC Filings