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COM:FRANKLINTEMPLETON

Franklin Resources, Inc.

  • Stock

Last Close

12.52

22/11 21:00

Market Cap

191.55M

Beta: -

Volume Today

23.41K

Avg: -

Preview

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Aug '14
Aug '15
Aug '16
Aug '17
Aug '18
Aug '19
Aug '20
Aug '21
Aug '22
Aug '23
net income
65.12M
-
-115.00M
276.58%
33.36M
129.01%
80.19M
140.37%
-5.83M
107.27%
-1.17M
80.01%
42.10M
3,711.77%
50.99M
21.10%
-84.77M
266.25%
16.01M
118.88%
depreciation and amortization
deferred income tax
stock based compensation
change in working capital
59.90M
-
-118.71M
298.18%
30.02M
125.29%
77.37M
157.70%
-8.33M
110.76%
-4.70M
43.56%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-59.92M
-
118.71M
298.10%
-30.02M
125.29%
-77.37M
157.70%
8.33M
110.76%
4.70M
43.56%
-42.10M
996.02%
-50.99M
21.10%
84.77M
266.25%
-16.01M
118.88%
net cash provided by operating activities
65.10M
-
-115.00M
276.64%
33.36M
129.01%
80.19M
140.37%
-5.83M
107.27%
-1.17M
80.01%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
debt repayment
common stock issued
common stock repurchased
dividends paid
-30.50M
-
-21.29M
30.20%
-23.01M
8.08%
-3.50M
84.78%
-19.50M
456.87%
-13.13M
32.66%
other financing activites
-500K
-
-6.32M
-
-8.56M
35.32%
-3.97M
53.58%
net cash used provided by financing activities
-31M
-
-21.29M
31.33%
-23.01M
8.08%
-9.83M
57.29%
-28.06M
185.54%
-17.10M
39.04%
effect of forex changes on cash
net change in cash
34.10M
-
-136.28M
499.66%
10.35M
107.60%
70.36M
579.68%
-1.05K
100.00%
196.38K
18,714.03%
76.48K
61.06%
cash at beginning of period
100K
-
10.48K
89.52%
77.71K
641.51%
-70.36M
90,638.39%
5.02K
100.01%
3.96K
21.03%
200.34K
4,956.54%
276.82K
38.17%
cash at end of period
34.20M
-
-136.27M
498.46%
10.43M
107.65%
5.02K
99.95%
3.96K
21.03%
200.34K
4,956.54%
276.82K
38.17%
276.82K
0%
operating cash flow
65.10M
-
-115.00M
276.64%
33.36M
129.01%
80.19M
140.37%
-5.83M
107.27%
-1.17M
80.01%
capital expenditure
free cash flow
65.10M
-
-115.00M
276.64%
33.36M
129.01%
80.19M
140.37%
-5.83M
107.27%
-1.17M
80.01%

All numbers in (except ratios and percentages)