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NYSE:CDAY

Dayforce Inc.

  • Stock

USD

Last Close

69.45

31/01 21:00

Market Cap

10.85B

Beta: 1.44

Volume Today

2.68M

Avg: 1.18M

PE Ratio

2,705.96

PFCF: 202.88

Preview

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Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-104.70M
-
-92.80M
11.37%
-10.50M
88.69%
-61.10M
481.90%
78.70M
228.81%
-4M
105.08%
-75.40M
1,785.00%
-73.40M
2.65%
54.80M
174.66%
depreciation and amortization
56M
-
53.20M
5%
57.90M
8.83%
56.60M
2.25%
57.10M
0.88%
51.80M
9.28%
77.50M
49.61%
89M
14.84%
132.50M
48.88%
deferred income tax
-7.90M
-
-8.30M
5.06%
-65M
683.13%
-16.10M
75.23%
-69.40M
331.06%
-7M
89.91%
-38.50M
450%
-1.70M
95.58%
4.10M
341.18%
stock based compensation
12.80M
-
12.50M
2.34%
17.20M
37.60%
23.20M
34.88%
36.50M
57.33%
65.80M
80.27%
113.40M
72.34%
144.80M
27.69%
136.70M
5.59%
change in working capital
-40.60M
-
-49.30M
21.43%
-43.60M
11.56%
-48.50M
11.24%
-61.50M
26.80%
-161.10M
161.95%
-41M
74.55%
-42.10M
2.68%
-124.80M
196.44%
accounts receivables
-16.40M
-
-12M
26.83%
-34.80M
190%
-39.50M
13.51%
inventory
16.40M
-
12M
26.83%
34.80M
190%
39.50M
13.51%
accounts payables
-3.20M
-
-4.40M
37.50%
-4.30M
2.27%
-6.40M
48.84%
3.80M
159.38%
-1.40M
136.84%
9.30M
764.29%
-200K
102.15%
9.30M
4,750%
other working capital
-37.40M
-
-44.90M
20.05%
-39.30M
12.47%
-42.10M
7.12%
-65.30M
55.11%
-159.70M
144.56%
-50.30M
68.50%
-41.90M
16.70%
-134.10M
220.05%
other non cash items
66.10M
-
9.20M
86.08%
4.20M
54.35%
55.40M
1,219.05%
9.20M
83.39%
24.30M
164.13%
12.80M
47.33%
16M
25%
16.20M
1.25%
net cash provided by operating activities
-18.30M
-
-75.50M
312.57%
-39.80M
47.28%
9.50M
123.87%
50.60M
432.63%
-30.20M
159.68%
48.80M
261.59%
132.60M
171.72%
219.50M
65.54%
investments in property plant and equipment
-34.50M
-
-32.90M
4.64%
-50.80M
54.41%
-40.20M
20.87%
-55.20M
37.31%
-59.80M
8.33%
-63.70M
6.52%
-94.50M
48.35%
-114.40M
21.06%
acquisitions net
-18.60M
-
101.60M
646.24%
-500K
100.49%
32.20M
6,540.00%
-30.20M
193.79%
-58.30M
93.05%
-409.50M
602.40%
342.50M
183.64%
114.40M
66.60%
purchases of investments
-610.60M
-
-699.70M
14.59%
-598.50M
14.46%
-855.20M
42.89%
-408.40M
52.25%
-212.40M
47.99%
-763.80M
259.60%
-652.80M
14.53%
-534.90M
18.06%
sales maturities of investments
557M
-
677.60M
21.65%
610.20M
9.95%
844.30M
38.36%
374.50M
55.64%
369.30M
1.39%
488M
32.14%
404.80M
17.05%
447.50M
10.55%
other investing activites
430.60M
-
716.40M
66.37%
-367.80M
151.34%
-32.20M
91.25%
37.90M
-
-342.50M
1,003.69%
-115.40M
66.31%
net cash used for investing activites
323.90M
-
763M
135.57%
-407.40M
153.39%
-51.10M
87.46%
-119.30M
133.46%
38.80M
132.52%
-711.10M
1,932.73%
-342.50M
51.84%
-202.80M
40.79%
debt repayment
-7M
-
-11.80M
68.57%
-25.90M
119.49%
-1.13B
4,278.38%
-7.20M
99.37%
-305M
4,136.11%
-302.80M
0.72%
-8.40M
97.23%
-7.90M
5.95%
common stock issued
75M
-
78.40M
4.53%
595M
658.93%
595M
0%
91.70M
84.59%
95.40M
4.03%
38.40M
59.75%
49M
27.60%
common stock repurchased
-1.80M
-
dividends paid
other financing activites
-361.20M
-
-693.90M
92.11%
356.10M
151.32%
-712.60M
300.11%
21.90M
103.07%
778.60M
3,455.25%
614.90M
21.02%
840.10M
36.62%
200.90M
76.09%
net cash used provided by financing activities
-368.20M
-
-630.70M
71.29%
406.80M
164.50%
-1.25B
407.67%
609.70M
148.71%
565.30M
7.28%
407.50M
27.91%
870.10M
113.52%
242M
72.19%
effect of forex changes on cash
-10.40M
-
1.30M
112.50%
8.60M
561.54%
-12.80M
248.84%
11.30M
188.28%
-4M
135.40%
-20.90M
422.50%
-8.10M
61.24%
11.50M
241.98%
net change in cash
-72.90M
-
57.60M
179.01%
-31.80M
155.21%
-1.31B
4,005.35%
552.30M
142.31%
569.90M
3.19%
-275.70M
148.38%
652.10M
336.53%
270.20M
58.56%
cash at beginning of period
136.10M
-
63.20M
53.56%
131.40M
107.91%
2.41B
1,735.46%
1.11B
54.13%
1.66B
49.92%
2.23B
34.36%
1.95B
12.37%
3.15B
61.37%
cash at end of period
63.20M
-
120.80M
91.14%
99.60M
17.55%
1.11B
1,010.74%
1.66B
49.92%
2.23B
34.36%
1.95B
12.37%
2.60B
33.39%
3.42B
31.34%
operating cash flow
-18.30M
-
-75.50M
312.57%
-39.80M
47.28%
9.50M
123.87%
50.60M
432.63%
-30.20M
159.68%
48.80M
261.59%
132.60M
171.72%
219.50M
65.54%
capital expenditure
-34.50M
-
-32.90M
4.64%
-50.80M
54.41%
-40.20M
20.87%
-55.20M
37.31%
-59.80M
8.33%
-63.70M
6.52%
-94.50M
48.35%
-114.40M
21.06%
free cash flow
-52.80M
-
-108.40M
105.30%
-90.60M
16.42%
-30.70M
66.11%
-4.60M
85.02%
-90M
1,856.52%
-14.90M
83.44%
38.10M
355.70%
105.10M
175.85%

All numbers in USD (except ratios and percentages)