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NYSE:KNF

Knife River

  • Stock

USD

Last Close

101.08

08/11 21:00

Market Cap

4.12B

Beta: -

Volume Today

256.31K

Avg: 599.31K

PE Ratio

27.29

PFCF: 20.95

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Dec '20
Dec '21
Dec '22
Dec '23
net income
147.32M
-
129.75M
11.93%
116.22M
10.43%
182.90M
57.37%
depreciation and amortization
83.40M
-
93.47M
12.07%
108.51M
16.09%
123.80M
14.09%
deferred income tax
1.75M
-
32.86M
1,774.39%
2.08M
93.68%
-1.61M
177.29%
stock based compensation
1.78M
-
1.85M
3.99%
1.27M
31.32%
2.89M
127.04%
change in working capital
-7.76M
-
-64.64M
732.83%
-29.02M
55.11%
24M
182.72%
accounts receivables
7.90M
-
15.36M
94.34%
-32.51M
311.67%
-38.70M
19.05%
inventory
-11.29M
-
-42.44M
275.98%
-31.03M
26.88%
3.70M
111.92%
accounts payables
-10.66M
-
-13.90M
30.36%
17.49M
225.83%
33.10M
89.26%
other working capital
6.29M
-
-23.65M
476.22%
17.04M
172.02%
25.90M
52.04%
other non cash items
5.91M
-
-12.06M
304.23%
8.38M
169.45%
-12.98M
254.99%
net cash provided by operating activities
232.40M
-
181.24M
22.02%
207.44M
14.46%
319M
53.78%
investments in property plant and equipment
-135.87M
-
-174.23M
28.23%
-178.16M
2.26%
-124.30M
30.23%
acquisitions net
-56.68M
-
-235.22M
314.99%
1.75M
100.74%
8.30M
375.64%
purchases of investments
-1.51M
-
-837K
44.53%
-2.34M
179.45%
-1.90M
18.77%
sales maturities of investments
135.87M
-
174.23M
28.23%
178.16M
2.26%
other investing activites
-127.67M
-
-162.21M
27.06%
-155.28M
4.27%
net cash used for investing activites
-185.85M
-
-398.27M
114.29%
-155.88M
60.86%
-117.90M
24.36%
debt repayment
-2.49M
-
-221K
91.12%
-207.31M
93,703.17%
-901.70M
334.96%
common stock issued
208M
-
common stock repurchased
dividends paid
other financing activites
-45.46M
-
224.02M
592.82%
-56.02M
125.01%
952.80M
1,800.85%
net cash used provided by financing activities
-47.95M
-
223.80M
566.77%
-55.32M
124.72%
51.10M
192.36%
effect of forex changes on cash
10K
-
net change in cash
-1.40M
-
6.78M
584.69%
-3.76M
155.46%
252.21M
6,811.28%
cash at beginning of period
8.47M
-
7.07M
16.51%
13.85M
95.81%
10.09M
27.14%
cash at end of period
7.07M
-
13.85M
95.81%
10.09M
27.14%
262.30M
2,499.60%
operating cash flow
232.40M
-
181.24M
22.02%
207.44M
14.46%
319M
53.78%
capital expenditure
-135.87M
-
-174.23M
28.23%
-178.16M
2.26%
-124.30M
30.23%
free cash flow
96.53M
-
7.01M
92.74%
29.28M
317.66%
194.70M
564.91%

All numbers in USD (except ratios and percentages)