bf/NYSE:IAA_icon.jpeg

COM:IAAI

IAA Inc

  • Stock

Last Close

39.93

20/03 20:00

Market Cap

5.34B

Beta: -

Volume Today

22.19M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Jan '22
Jan '23
net income
89.90M
-
94.90M
5.56%
161.40M
70.07%
183.70M
13.82%
193.20M
5.17%
194.80M
0.83%
294.40M
51.13%
292.40M
0.68%
depreciation and amortization
80.80M
-
87.90M
8.79%
93.10M
5.92%
97.40M
4.62%
88.40M
9.24%
81.10M
8.26%
86.50M
6.66%
105.60M
22.08%
deferred income tax
1.90M
-
-2.30M
221.05%
-21.20M
821.74%
-2.90M
86.32%
600K
120.69%
2M
233.33%
-700K
135%
-5.80M
728.57%
stock based compensation
1.20M
-
2.50M
108.33%
3.80M
52%
3.80M
0%
4.70M
23.68%
8.50M
80.85%
11.40M
34.12%
13M
14.04%
change in working capital
-30.30M
-
-71.80M
136.96%
-36.90M
48.61%
5.70M
115.45%
-18.40M
422.81%
9.90M
153.80%
-105M
1,160.61%
-14M
86.67%
accounts receivables
-48.50M
-
-60.70M
25.15%
-60.80M
0.16%
-9.30M
84.70%
-23M
147.31%
-54.30M
136.09%
-134.40M
147.51%
18M
113.39%
inventory
-4.60M
-
-64.20M
1,295.65%
-29.40M
54.21%
accounts payables
4.60M
-
64.20M
1,295.65%
29.40M
54.21%
-32M
208.84%
other working capital
18.20M
-
-11.10M
160.99%
23.90M
315.32%
15M
37.24%
4.60M
69.33%
64.20M
1,295.65%
29.40M
54.21%
other non cash items
-3.10M
-
1M
132.26%
1.10M
10%
2.20M
100%
2.70M
22.73%
13.70M
407.41%
24.50M
78.83%
8.10M
66.94%
net cash provided by operating activities
140.40M
-
112.20M
20.09%
201.30M
79.41%
289.90M
44.01%
271.20M
6.45%
310M
14.31%
311.10M
0.35%
399.30M
28.35%
investments in property plant and equipment
-41.40M
-
-42M
1.45%
-54.90M
30.71%
-66.70M
21.49%
-68.50M
2.70%
-69.80M
1.90%
-135.60M
94.27%
-178.30M
31.49%
acquisitions net
-22.70M
-
-1.30M
94.27%
-900K
30.77%
-16.70M
-
-257.10M
-
purchases of investments
sales maturities of investments
other investing activites
200K
-
700K
-
600K
14.29%
300K
50%
800K
166.67%
-1.20M
250%
35.30M
3,041.67%
net cash used for investing activites
-63.90M
-
-43.30M
32.24%
-55.10M
27.25%
-66.10M
19.96%
-84.90M
28.44%
-69M
18.73%
-393.90M
470.87%
-143M
63.70%
debt repayment
-11.30M
-
-13.80M
22.12%
-16.90M
22.46%
-15.90M
5.92%
-41.20M
159.12%
-18.30M
55.58%
-786.70M
4,198.91%
-192.60M
75.52%
common stock issued
1.60M
-
8.10M
406.25%
1M
87.65%
400K
60%
common stock repurchased
-1.60M
-
-34M
-
-27.20M
20%
dividends paid
-1.28B
-
-1M
-
other financing activites
-59.40M
-
-36.30M
38.89%
-138.90M
282.64%
-179.20M
29.01%
1.14B
734.15%
-46.10M
104.06%
832.90M
1,906.72%
7.30M
99.12%
net cash used provided by financing activities
-70.70M
-
-50.10M
29.14%
-155.80M
210.98%
-195.10M
25.22%
-182.80M
6.30%
-56.30M
69.20%
12.20M
121.67%
-212.10M
1,838.52%
effect of forex changes on cash
-600K
-
-1.40M
133.33%
900K
164.29%
-1.80M
300%
-4.70M
161.11%
1M
121.28%
200K
80%
-10.70M
5,450%
net change in cash
5.20M
-
17.40M
234.62%
-8.70M
150%
26.90M
409.20%
-1.20M
104.46%
185.70M
15,575%
-70.40M
137.91%
33.50M
147.59%
cash at beginning of period
19.20M
-
24.40M
27.08%
41.80M
71.31%
33.10M
20.81%
48.30M
45.92%
47.10M
2.48%
232.80M
394.27%
162.40M
30.24%
cash at end of period
24.40M
-
41.80M
71.31%
33.10M
20.81%
60M
81.27%
47.10M
21.50%
232.80M
394.27%
162.40M
30.24%
195.90M
20.63%
operating cash flow
140.40M
-
112.20M
20.09%
201.30M
79.41%
289.90M
44.01%
271.20M
6.45%
310M
14.31%
311.10M
0.35%
399.30M
28.35%
capital expenditure
-41.40M
-
-42M
1.45%
-54.90M
30.71%
-66.70M
21.49%
-68.50M
2.70%
-69.80M
1.90%
-135.60M
94.27%
-178.30M
31.49%
free cash flow
99M
-
70.20M
29.09%
146.40M
108.55%
223.20M
52.46%
202.70M
9.18%
240.20M
18.50%
175.50M
26.94%
221M
25.93%

All numbers in (except ratios and percentages)