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COM:SPIREENERGY

Spire Inc.

  • Stock

Last Close

70.66

22/11 21:00

Market Cap

4.19B

Beta: -

Volume Today

500.35K

Avg: -

Preview

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Sep '14
Sep '15
Sep '16
Sep '17
Sep '18
Sep '19
Sep '20
Sep '21
Sep '22
Sep '23
net income
84.60M
-
136.90M
61.82%
144.20M
5.33%
161.60M
12.07%
214.20M
32.55%
184.60M
13.82%
88.60M
52.00%
271.70M
206.66%
220.80M
18.73%
217.50M
1.49%
depreciation and amortization
83.30M
-
130.80M
57.02%
137.50M
5.12%
154.10M
12.07%
168.40M
9.28%
181.70M
7.90%
197.30M
8.59%
213.10M
8.01%
237.30M
11.36%
254.80M
7.37%
deferred income tax
31.40M
-
65.50M
108.60%
68.80M
5.04%
77M
11.92%
-28.70M
137.27%
31.80M
210.80%
9M
71.70%
67M
644.44%
57.90M
13.58%
36.90M
36.27%
stock based compensation
7.20M
-
8.80M
22.22%
13.90M
57.95%
6.40M
53.96%
change in working capital
-82.10M
-
-17.20M
79.05%
-27.10M
57.56%
-108.60M
300.74%
58.50M
153.87%
56.80M
2.91%
166.80M
193.66%
-319.30M
291.43%
-469.80M
47.13%
-82M
82.55%
accounts receivables
-5.30M
-
-4.80M
9.43%
-12.30M
156.25%
-63M
412.20%
-32.70M
48.10%
2.70M
108.26%
36.20M
1,240.74%
-343M
1,047.51%
-26.50M
92.27%
334.20M
1,361.13%
inventory
-15.50M
-
54.80M
453.55%
16.50M
69.89%
-23.50M
242.42%
15.50M
165.96%
13.60M
12.26%
2.60M
80.88%
-111M
4,369.23%
-117.20M
5.59%
142.80M
221.84%
accounts payables
8.60M
-
-30M
448.84%
30M
200%
51.10M
70.33%
12.60M
75.34%
-6.40M
150.79%
-43.10M
573.44%
177.70M
512.30%
190.70M
7.32%
-389.20M
304.09%
other working capital
-69.90M
-
-37.20M
46.78%
-61.30M
64.78%
-73.20M
19.41%
63.10M
186.20%
46.90M
25.67%
171.10M
264.82%
-43M
125.13%
-516.80M
1,101.86%
-169.80M
67.14%
other non cash items
5.40M
-
6.40M
18.52%
4.90M
23.44%
4.20M
14.29%
44.20M
952.38%
-11.20M
125.34%
-600K
94.64%
3.40M
666.67%
2.40M
29.41%
13M
441.67%
net cash provided by operating activities
122.60M
-
322.40M
162.97%
328.30M
1.83%
288.30M
12.18%
456.60M
58.38%
450.90M
1.25%
469.90M
4.21%
249.80M
46.84%
55M
77.98%
440.20M
700.36%
investments in property plant and equipment
-171M
-
-289.80M
69.47%
-293.30M
1.21%
-438.10M
49.37%
-499.40M
13.99%
-823.30M
64.86%
-638.40M
22.46%
-624.80M
2.13%
-552.20M
11.62%
-662.50M
19.97%
acquisitions net
-1.27B
-
-8.20M
99.35%
-317.70M
3,774.39%
3.80M
101.20%
-28.10M
839.47%
-7.90M
71.89%
-37M
-
purchases of investments
sales maturities of investments
other investing activites
3.70M
-
-700K
118.92%
-1.70M
142.86%
800K
147.06%
-4.20M
625%
-7.10M
69.05%
6.80M
195.77%
2.80M
58.82%
5.50M
96.43%
4M
27.27%
net cash used for investing activites
-1.44B
-
-298.70M
79.22%
-612.70M
105.12%
-433.50M
29.25%
-531.70M
22.65%
-838.30M
57.66%
-631.60M
24.66%
-622M
1.52%
-546.70M
12.11%
-695.50M
27.22%
debt repayment
-80M
-
-34.80M
56.50%
-80M
129.89%
-393.80M
392.25%
-105M
73.34%
-184.10M
75.33%
-147M
20.15%
-115.40M
21.50%
-55.80M
51.65%
-281.20M
403.94%
common stock issued
460M
-
3.10M
99.33%
137.10M
4,322.58%
146.90M
7.15%
154.70M
5.31%
19.50M
87.39%
41.10M
110.77%
1M
97.57%
51.90M
5,090%
41.90M
19.27%
common stock repurchased
966.90M
-
85.80M
91.13%
305.70M
256.29%
498.60M
63.10%
151.30M
69.66%
661.60M
337.28%
414.80M
37.30%
653.10M
57.45%
673M
-
dividends paid
-61.90M
-
-79M
27.63%
-85.20M
7.85%
-96.20M
12.91%
-108.70M
12.99%
-122.40M
12.60%
-142.80M
16.67%
-148M
3.64%
-156.70M
5.88%
-165.50M
5.62%
other financing activites
-6.90M
-
-1.10M
84.06%
-1.80M
63.64%
-8.10M
350%
-3.20M
60.49%
-2.80M
12.50%
-6.10M
117.86%
-11.30M
85.25%
661.50M
5,953.98%
-7.60M
101.15%
net cash used provided by financing activities
1.28B
-
-26M
102.03%
275.80M
1,160.77%
147.40M
46.56%
89.10M
39.55%
371.80M
317.28%
160M
56.97%
379.40M
137.13%
500.90M
32.02%
260.60M
47.97%
effect of forex changes on cash
-0.00
-
net change in cash
-36.90M
-
-2.30M
93.77%
-8.60M
273.91%
2.20M
125.58%
14M
536.36%
-15.60M
211.43%
-1.70M
89.10%
7.20M
523.53%
9.20M
27.78%
5.30M
42.39%
cash at beginning of period
53M
-
16.10M
69.62%
13.80M
14.29%
5.20M
62.32%
7.40M
42.31%
21.40M
189.19%
5.80M
72.90%
4.10M
29.31%
11.30M
175.61%
20.50M
81.42%
cash at end of period
16.10M
-
13.80M
14.29%
5.20M
62.32%
7.40M
42.31%
21.40M
189.19%
5.80M
72.90%
4.10M
29.31%
11.30M
175.61%
20.50M
81.42%
25.80M
25.85%
operating cash flow
122.60M
-
322.40M
162.97%
328.30M
1.83%
288.30M
12.18%
456.60M
58.38%
450.90M
1.25%
469.90M
4.21%
249.80M
46.84%
55M
77.98%
440.20M
700.36%
capital expenditure
-171M
-
-289.80M
69.47%
-293.30M
1.21%
-438.10M
49.37%
-499.40M
13.99%
-823.30M
64.86%
-638.40M
22.46%
-624.80M
2.13%
-552.20M
11.62%
-662.50M
19.97%
free cash flow
-48.40M
-
32.60M
167.36%
35M
7.36%
-149.80M
528%
-42.80M
71.43%
-372.40M
770.09%
-168.50M
54.75%
-375M
122.55%
-497.20M
32.59%
-222.30M
55.29%

All numbers in (except ratios and percentages)