bf/NYSE:BR_icon.png

NYSE:BR

Broadridge Financial Solutions Inc

  • Stock

USD

Last Close

204.03

17/05 20:00

Market Cap

24.46B

Beta: 1.01

Volume Today

518.14K

Avg: 577.21K

PE Ratio

34.16

PFCF: 26.24

Dividend Yield

1.54%

Payout:49.96%

Jun '13
Jun '14
Jun '15
Jun '16
Jun '17
Jun '18
Jun '19
Jun '20
Jun '21
Jun '22
Jun '23
net income
212.10M
-
263M
24.00%
287.10M
9.16%
307.50M
7.11%
326.80M
6.28%
427.90M
30.94%
482.10M
12.67%
462.50M
4.07%
547.50M
18.38%
539.10M
1.53%
630.60M
16.97%
depreciation and amortization
69.40M
-
69.40M
0%
74.60M
7.49%
84.40M
13.14%
141.20M
67.30%
163.50M
15.79%
172.60M
5.57%
196.70M
13.96%
221.10M
12.40%
332.60M
50.43%
298.80M
10.16%
deferred income tax
14.10M
-
-11.60M
182.27%
600K
105.17%
-5.90M
1,083.33%
-14.70M
149.15%
-9.30M
36.73%
-3.50M
62.37%
29M
928.57%
52M
79.31%
50.70M
2.50%
-50.80M
200.20%
stock based compensation
27.10M
-
34.60M
27.68%
38.60M
11.56%
43.10M
11.66%
46.10M
6.96%
55.10M
19.52%
58.40M
5.99%
60.80M
4.11%
58.60M
3.62%
68.40M
16.72%
73.10M
6.87%
change in working capital
-82.60M
-
24.40M
129.54%
32.50M
33.20%
7.90M
75.69%
24.60M
211.39%
29M
17.89%
-142.50M
591.38%
-256.90M
80.28%
-285.80M
11.25%
-700.40M
145.07%
-229.60M
67.22%
accounts receivables
-73.20M
-
19.10M
126.09%
-4.20M
121.99%
-5.30M
26.19%
-44.40M
737.74%
-18.60M
58.11%
-34.90M
87.63%
-33.50M
4.01%
-42.40M
26.57%
-85.40M
101.42%
19.60M
122.95%
inventory
-52.10M
-
26.30M
150.48%
27.70M
5.32%
4.10M
85.20%
57.30M
1,297.56%
-16.20M
128.27%
10.90M
167.28%
-58.60M
637.61%
-144.30M
146.25%
26.70M
118.50%
104.50M
291.39%
accounts payables
41.30M
-
-26.80M
164.89%
1.90M
107.09%
6.20M
226.32%
16.20M
161.29%
43M
165.43%
-10.90M
125.35%
58.60M
637.61%
144.30M
146.25%
-26.70M
118.50%
-104.50M
291.39%
other working capital
1.40M
-
5.80M
314.29%
7.10M
22.41%
2.90M
59.15%
-4.50M
255.17%
20.80M
562.22%
-107.60M
617.31%
-223.40M
107.62%
-243.40M
8.95%
-615M
152.67%
-249.20M
59.48%
other non cash items
30.80M
-
7.90M
74.35%
-2M
125.32%
700K
135%
-8.10M
1,257.14%
27.40M
438.27%
49.90M
82.12%
106.10M
112.63%
46.70M
55.98%
153.10M
227.84%
101.20M
33.90%
net cash provided by operating activities
270.90M
-
387.70M
43.12%
431.40M
11.27%
437.70M
1.46%
515.90M
17.87%
693.60M
34.44%
617M
11.04%
598.20M
3.05%
640.10M
7.00%
443.50M
30.71%
823.30M
85.64%
investments in property plant and equipment
-50.90M
-
-53.40M
4.91%
-66M
23.60%
-75.50M
14.39%
-203.70M
169.80%
-137.90M
32.30%
-72.60M
47.35%
-98.70M
35.95%
-100.70M
2.03%
-73.10M
27.41%
-75.20M
2.87%
acquisitions net
-72.40M
-
-96.90M
33.84%
-210.40M
117.13%
-57.90M
72.48%
-454.70M
685.32%
-108.30M
76.18%
-354.70M
227.52%
-339.10M
4.40%
-2.60B
667.80%
-13.30M
99.49%
purchases of investments
100.70M
-
sales maturities of investments
66.70M
-
other investing activites
71.30M
-
-3.50M
-
-900K
74.29%
-3.10M
244.44%
-6.20M
100%
-3.90M
37.10%
-116.80M
2,894.87%
-24M
79.45%
-5.20M
78.33%
net cash used for investing activites
-52M
-
-150.30M
189.04%
-276.40M
83.90%
-136.90M
50.47%
-659.30M
381.59%
-249.30M
62.19%
-433.50M
73.89%
-441.70M
1.89%
-2.65B
500.79%
-110.40M
95.84%
-80.40M
27.17%
debt repayment
-50.20M
-
-400M
696.81%
-156.90M
60.77%
-475M
202.74%
-416.80M
12.25%
-390M
6.43%
-387.40M
0.67%
-1.29B
233.71%
-2.23B
72.55%
-765.50M
65.68%
-1.38B
79.62%
common stock issued
-3.90M
-
-22.80M
484.62%
-40.50M
77.63%
-21.30M
47.41%
560.90M
2,733.33%
392M
30.11%
834.20M
112.81%
1.66B
99.44%
4.36B
162.08%
60.20M
98.62%
1.03B
1,616.11%
common stock repurchased
-238.50M
-
-129.70M
45.62%
-301.70M
132.61%
-119.80M
60.29%
-342.80M
186.14%
-277.10M
19.17%
-397.80M
43.56%
-69.30M
82.58%
-21.50M
68.98%
-22.80M
6.05%
-24.30M
6.58%
dividends paid
-85.80M
-
-96.70M
12.70%
-122.30M
26.47%
-138.20M
13.00%
-152.20M
10.13%
-165.80M
8.94%
-211.20M
27.38%
-241M
14.11%
-261.70M
8.59%
-290.70M
11.08%
-331M
13.86%
other financing activites
105.20M
-
490.30M
366.06%
463.10M
5.55%
862.90M
86.33%
39.20M
95.46%
-9M
122.96%
-10.80M
20%
-9.40M
12.96%
-48.60M
417.02%
648M
1,433.33%
-17.50M
102.70%
net cash used provided by financing activities
-273.20M
-
-158.90M
41.84%
-158.30M
0.38%
108.60M
168.60%
-311.70M
387.02%
-449.90M
44.34%
-173M
61.55%
51.20M
129.60%
1.80B
3,411.33%
-370.80M
120.63%
-714.70M
92.75%
effect of forex changes on cash
-200K
-
3.10M
1,650%
-20.20M
751.61%
-5.70M
71.78%
-1.60M
71.93%
-1.60M
0%
-1.10M
31.25%
-4.30M
290.91%
13.80M
420.93%
-12.20M
188.41%
-600K
95.08%
net change in cash
-54.50M
-
81.60M
249.72%
-23.50M
128.80%
403.60M
1,817.45%
-456.60M
213.13%
-7.20M
98.42%
9.30M
229.17%
203.40M
2,087.10%
-202.10M
199.36%
-49.80M
75.36%
27.60M
155.42%
cash at beginning of period
320.50M
-
266M
17.00%
347.60M
30.68%
324.10M
6.76%
727.70M
124.53%
271.10M
62.75%
263.90M
2.66%
273.20M
3.52%
476.60M
74.45%
274.50M
42.40%
224.70M
18.14%
cash at end of period
266M
-
347.60M
30.68%
324.10M
6.76%
727.70M
124.53%
271.10M
62.75%
263.90M
2.66%
273.20M
3.52%
476.60M
74.45%
274.50M
42.40%
224.70M
18.14%
252.30M
12.28%
operating cash flow
270.90M
-
387.70M
43.12%
431.40M
11.27%
437.70M
1.46%
515.90M
17.87%
693.60M
34.44%
617M
11.04%
598.20M
3.05%
640.10M
7.00%
443.50M
30.71%
823.30M
85.64%
capital expenditure
-50.90M
-
-53.40M
4.91%
-66M
23.60%
-75.50M
14.39%
-203.70M
169.80%
-137.90M
32.30%
-72.60M
47.35%
-98.70M
35.95%
-100.70M
2.03%
-73.10M
27.41%
-75.20M
2.87%
free cash flow
220M
-
334.30M
51.95%
365.40M
9.30%
362.20M
0.88%
312.20M
13.80%
555.70M
77.99%
544.40M
2.03%
499.50M
8.25%
539.40M
7.99%
370.40M
31.33%
748.10M
101.97%

All numbers in USD (except ratios and percentages)