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NASDAQ:ODFL

Old Dominion Freight Line, Inc.

  • Stock

USD

Last Close

183.40

03/05 20:00

Market Cap

42.85B

Beta: 1.08

Volume Today

1.64M

Avg: 722.05K

PE Ratio

36.40

PFCF: 56.13

Dividend Yield

0.39%

Payout:10.60%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
206.11M
-
267.51M
29.79%
304.69M
13.90%
295.76M
2.93%
463.77M
56.80%
605.67M
30.60%
672.68M
11.06%
1.03B
53.77%
1.38B
33.14%
1.38B
0%
1.24B
10.00%
depreciation and amortization
127.07M
-
146.47M
15.26%
165.34M
12.89%
189.87M
14.83%
205.76M
8.37%
230.36M
11.95%
261.27M
13.42%
259.90M
0.52%
276.07M
6.22%
276.07M
0%
324.45M
17.53%
deferred income tax
32.74M
-
25.54M
21.97%
43.64M
70.85%
34.81M
20.24%
-82.64M
337.41%
57.71M
169.83%
-41.01M
171.07%
30.16M
173.55%
62.01M
105.56%
62.01M
0%
53.34M
13.98%
stock based compensation
17.71M
-
13.67M
22.82%
14.70M
7.51%
1.41M
90.41%
3.24M
129.93%
4.89M
50.96%
11.34M
131.65%
15.04M
32.65%
15.89M
5.68%
15.89M
0%
11.08M
30.28%
change in working capital
-9.51M
-
-47.13M
395.52%
43.80M
192.92%
43.56M
0.53%
-55.12M
226.52%
1.01M
101.83%
16.05M
1,487.54%
-141.20M
979.74%
-52.78M
62.62%
-52.78M
0%
-55.35M
4.87%
accounts receivables
30.33M
-
-49.05M
261.70%
-125.56M
156.01%
-13.01M
89.64%
-3.88M
70.21%
inventory
-30.33M
-
49.05M
261.70%
125.56M
156.01%
13.01M
89.64%
accounts payables
-8.10M
-
8.53M
205.22%
21.46M
151.70%
22.44M
4.58%
-15.49M
169.01%
4.79M
130.92%
-1.74M
136.40%
14.01M
903.67%
23.76M
69.59%
23.76M
0%
6.50M
72.64%
other working capital
-1.41M
-
-55.66M
3,850.32%
22.34M
140.13%
21.12M
5.43%
-39.63M
287.63%
-3.78M
90.47%
17.79M
570.96%
-155.21M
972.29%
-76.53M
50.69%
-76.53M
0%
-57.97M
24.25%
other non cash items
-23.46M
-
-14.39M
38.66%
-18.29M
27.13%
168K
100.92%
1.27M
658.33%
477K
62.56%
12.70M
2,562.26%
14.33M
12.82%
13.23M
7.64%
13.23M
0%
-3.89M
129.40%
net cash provided by operating activities
350.67M
-
391.67M
11.69%
553.88M
41.41%
565.58M
2.11%
536.29M
5.18%
900.12M
67.84%
933.02M
3.66%
1.21B
29.97%
1.69B
39.50%
1.69B
0%
1.57B
7.24%
investments in property plant and equipment
-295.61M
-
-367.68M
24.38%
-462.06M
25.67%
-417.94M
9.55%
-382.13M
8.57%
-588.29M
53.95%
-225.08M
61.74%
-550.08M
144.39%
-775.15M
40.92%
-775.15M
0%
-757.31M
2.30%
acquisitions net
3.69M
-
19.55M
429.76%
19.55M
0%
22.10M
13.03%
48.64M
120.12%
purchases of investments
-360.16M
-
-359.39M
0.21%
-163.72M
54.44%
-163.72M
0%
-48.64M
70.29%
sales maturities of investments
29.99M
-
435.13M
1,351.01%
369.30M
15.13%
369.30M
0%
48.85M
86.77%
other investing activites
11.23M
-
21.87M
94.62%
24.44M
11.78%
10.54M
56.87%
14.38M
36.41%
7.90M
45.05%
-100K
101.27%
-500K
400%
2.55M
609.60%
48.64M
-
net cash used for investing activites
-284.37M
-
-345.81M
21.61%
-437.62M
26.55%
-407.40M
6.90%
-367.75M
9.73%
-580.39M
57.82%
-551.66M
4.95%
-455.29M
17.47%
-547.47M
20.25%
-547.47M
0%
-659.82M
20.52%
debt repayment
-48.98M
-
-35.72M
27.08%
-37.78M
5.78%
-28.83M
23.69%
-9.97M
65.40%
-50M
401.25%
-45M
10%
-45M
0%
-20M
-
common stock issued
99.92M
-
45M
54.97%
common stock repurchased
-5.53M
-
-114.12M
1,962.85%
-130.32M
14.20%
-8.01M
93.85%
-163.26M
1,937.50%
-364.06M
122.99%
-536.47M
47.36%
-1.28B
138.08%
-1.28B
0%
-453.61M
64.48%
dividends paid
-32.92M
-
-42.57M
29.28%
-71.02M
66.85%
-92.37M
30.05%
-134.48M
45.60%
-134.48M
0%
-175.09M
30.19%
other financing activites
12.32M
-
-338K
102.74%
-344K
1.78%
-1.07M
212.21%
-3.35M
211.45%
-67.35M
1,913.54%
-8.66M
87.14%
-8.66M
0%
-13.13M
51.59%
net cash used provided by financing activities
-48.98M
-
-41.25M
15.78%
-139.58M
238.40%
-159.48M
14.26%
-51.26M
67.86%
-256.90M
401.21%
-383.50M
49.28%
-696.18M
81.53%
-1.42B
104.02%
-1.42B
0%
-661.83M
53.40%
effect of forex changes on cash
-104.17M
-
net change in cash
17.32M
-
4.61M
73.36%
-23.32M
605.42%
-1.30M
94.42%
117.29M
9,115.45%
62.82M
46.44%
-2.14M
103.41%
61.13M
2,955.39%
-276.25M
551.88%
-276.25M
0%
247.49M
189.59%
cash at beginning of period
12.86M
-
30.17M
134.69%
34.79M
15.29%
11.47M
67.02%
10.17M
11.34%
127.46M
1,153.19%
403.57M
216.62%
401.43M
0.53%
462.56M
15.23%
462.56M
0%
186.31M
59.72%
cash at end of period
30.17M
-
34.79M
15.29%
11.47M
67.02%
10.17M
11.34%
127.46M
1,153.19%
190.28M
49.29%
401.43M
110.97%
462.56M
15.23%
186.31M
59.72%
186.31M
0%
433.80M
132.83%
operating cash flow
350.67M
-
391.67M
11.69%
553.88M
41.41%
565.58M
2.11%
536.29M
5.18%
900.12M
67.84%
933.02M
3.66%
1.21B
29.97%
1.69B
39.50%
1.69B
0%
1.57B
7.24%
capital expenditure
-295.61M
-
-367.68M
24.38%
-462.06M
25.67%
-417.94M
9.55%
-382.13M
8.57%
-588.29M
53.95%
-225.08M
61.74%
-550.08M
144.39%
-775.15M
40.92%
-775.15M
0%
-757.31M
2.30%
free cash flow
55.06M
-
23.99M
56.42%
91.82M
282.68%
147.64M
60.79%
154.17M
4.42%
311.82M
102.26%
707.94M
127.03%
662.53M
6.41%
916.43M
38.32%
916.43M
0%
811.83M
11.41%

All numbers in USD (except ratios and percentages)