NYSE:BR
Broadridge Financial Solutions Inc
- Stock
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)