bf/NYSE:LEA_icon.jpeg

NYSE:LEA

Lear Corporation

  • Stock

USD

Last Close

131.19

17/05 20:00

Market Cap

7.79B

Beta: 1.55

Volume Today

446.61K

Avg: 595.65K

PE Ratio

14.04

PFCF: 13.32

Dividend Yield

2.29%

Payout:32.59%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
455.80M
-
702.30M
54.08%
795.80M
13.31%
1.04B
30.75%
1.38B
32.72%
1.25B
9.72%
830.70M
33.37%
233.90M
71.84%
461.60M
97.35%
408.70M
11.46%
645.70M
57.99%
depreciation and amortization
285.50M
-
310.90M
8.90%
347.80M
11.87%
378.20M
8.74%
427.70M
13.09%
484.40M
13.26%
509.90M
5.26%
539.90M
5.88%
573.90M
6.30%
576.50M
0.45%
604.40M
4.84%
deferred income tax
45.40M
-
-58M
227.75%
48.60M
183.79%
103.60M
113.17%
-81.30M
178.47%
86.70M
206.64%
-38.20M
144.06%
-84.70M
121.73%
-55.50M
34.47%
-49.40M
10.99%
-58.80M
19.03%
stock based compensation
59.40M
-
70.70M
19.02%
65.70M
7.07%
68.20M
3.81%
70.20M
2.93%
41.40M
41.03%
23.30M
43.72%
40M
71.67%
60.30M
50.75%
52M
13.76%
67.50M
29.81%
change in working capital
-17.70M
-
-85.80M
384.75%
24.30M
128.32%
96.60M
297.53%
27.10M
71.95%
-104.20M
484.50%
-63M
39.54%
-132.10M
109.68%
-422.30M
219.68%
-1.20M
99.72%
26.20M
2,283.33%
accounts receivables
-239.60M
-
-358.70M
49.71%
-173.40M
51.66%
-176.30M
1.67%
-115.20M
34.66%
230.80M
300.35%
-116.20M
150.35%
-164.70M
41.74%
160.90M
197.69%
-518.80M
422.44%
-148.30M
71.41%
inventory
-102M
-
-91.20M
10.59%
4.10M
104.50%
-53.50M
1,404.88%
-76M
42.06%
-32.50M
57.24%
-69.10M
112.62%
-107.70M
55.86%
-213.40M
98.14%
-29.80M
86.04%
-117.90M
295.64%
accounts payables
189.50M
-
231.30M
22.06%
76.20M
67.06%
157.60M
106.82%
195.30M
23.92%
-199.30M
202.05%
-5.50M
97.24%
214M
3,990.91%
-129.60M
160.56%
368.60M
384.41%
162.40M
55.94%
other working capital
134.40M
-
132.80M
1.19%
117.40M
11.60%
168.80M
43.78%
23M
86.37%
-103.20M
548.70%
127.80M
223.84%
-73.70M
157.67%
-240.20M
225.92%
178.80M
174.44%
130M
27.29%
other non cash items
-8.30M
-
-12.30M
48.19%
-11.10M
9.76%
-67.80M
510.81%
-41.50M
38.79%
24.80M
159.76%
21.60M
12.90%
66.10M
206.02%
52.10M
21.18%
34.80M
33.21%
-35.70M
202.59%
net cash provided by operating activities
820.10M
-
927.80M
13.13%
1.27B
37.00%
1.62B
27.39%
1.78B
10.12%
1.78B
0.19%
1.28B
27.84%
663.10M
48.37%
670.10M
1.06%
1.02B
52.43%
1.25B
22.31%
investments in property plant and equipment
-460.60M
-
-424.70M
7.79%
-485.80M
14.39%
-528.30M
8.75%
-594.50M
12.53%
-677M
13.88%
-603.90M
10.80%
-452.30M
25.10%
-585.10M
29.36%
-638.20M
9.08%
-626.50M
1.83%
acquisitions net
-350M
-
-499.20M
42.63%
-155.90M
68.77%
-292.40M
87.56%
-321.70M
-
-188.30M
-
-174.50M
7.33%
purchases of investments
sales maturities of investments
other investing activites
56.70M
-
-5.90M
110.41%
19.70M
433.90%
47.10M
139.09%
18.30M
61.15%
-16.50M
190.16%
3.20M
119.39%
-16.50M
615.63%
-61.60M
273.33%
-3.80M
93.83%
39.50M
1,139.47%
net cash used for investing activites
-403.90M
-
-780.60M
93.27%
-965.30M
23.66%
-637.10M
34.00%
-868.60M
36.34%
-693.50M
20.16%
-922.40M
33.01%
-468.80M
49.18%
-646.70M
37.95%
-830.30M
28.39%
-761.50M
8.29%
debt repayment
-72.10M
-
-577.10M
700.42%
-14.40M
97.50%
-21.90M
52.08%
-996.20M
4,448.86%
-6.30M
99.37%
-341.50M
5,320.63%
-1.68B
392.30%
-441.80M
73.72%
-8M
98.19%
-166.50M
1,981.25%
common stock issued
500M
-
975M
95%
500M
48.72%
9.10M
98.18%
994.70M
10,830.77%
7.30M
99.27%
702.80M
9,527.40%
1.65B
134.75%
698.70M
57.65%
-166.50M
-
common stock repurchased
-1.00B
-
-411.40M
58.86%
-487.40M
18.47%
-658.80M
35.17%
-450.50M
31.62%
-704.90M
56.47%
-384.70M
45.42%
-70M
81.80%
-100.30M
43.29%
-100.30M
0%
-296.50M
195.61%
dividends paid
-58.40M
-
-65.30M
11.82%
-78.50M
20.21%
-88.80M
13.12%
-137.70M
55.07%
-186.30M
35.29%
-186.30M
0%
-67.30M
63.88%
-106.70M
58.54%
-185.50M
73.85%
-181.90M
1.94%
other financing activites
-67.90M
-
-82M
20.77%
-76M
7.32%
-112.50M
48.03%
-152.30M
35.38%
-140.30M
7.88%
-152.20M
8.48%
-243M
59.66%
-63.50M
73.87%
-93.50M
47.24%
391.90M
519.14%
net cash used provided by financing activities
-698.50M
-
-160.80M
76.98%
-156.30M
2.80%
-872.90M
458.48%
-742M
15.00%
-1.03B
38.88%
-361.90M
64.88%
-411.70M
13.76%
-13.60M
96.70%
-387.30M
2,747.79%
-419.50M
8.31%
effect of forex changes on cash
17.80M
-
-30M
268.54%
-47M
56.67%
-34.30M
27.02%
56.30M
264.14%
-36.40M
164.65%
-9.40M
74.18%
21.50M
328.72%
-3M
113.95%
-7.70M
156.67%
12.80M
266.23%
net change in cash
-264.50M
-
-43.60M
83.52%
102.50M
335.09%
75M
26.83%
228.80M
205.07%
19.40M
91.52%
-9.40M
148.45%
-195.90M
1,984.04%
6.80M
103.47%
-203.90M
3,098.53%
81.10M
139.77%
cash at beginning of period
1.40B
-
1.14B
18.86%
1.09B
3.83%
1.20B
9.37%
1.27B
6.27%
1.50B
17.99%
1.52B
1.29%
1.51B
0.62%
1.31B
12.97%
1.32B
0.52%
1.12B
15.43%
cash at end of period
1.14B
-
1.09B
3.83%
1.20B
9.37%
1.27B
6.27%
1.50B
17.99%
1.52B
1.29%
1.51B
0.62%
1.31B
12.97%
1.32B
0.52%
1.12B
15.43%
1.20B
7.26%
operating cash flow
820.10M
-
927.80M
13.13%
1.27B
37.00%
1.62B
27.39%
1.78B
10.12%
1.78B
0.19%
1.28B
27.84%
663.10M
48.37%
670.10M
1.06%
1.02B
52.43%
1.25B
22.31%
capital expenditure
-460.60M
-
-424.70M
7.79%
-485.80M
14.39%
-528.30M
8.75%
-594.50M
12.53%
-677M
13.88%
-603.90M
10.80%
-452.30M
25.10%
-585.10M
29.36%
-638.20M
9.08%
-626.50M
1.83%
free cash flow
359.50M
-
503.10M
39.94%
785.30M
56.09%
1.09B
38.93%
1.19B
8.95%
1.10B
7.22%
680.40M
38.30%
210.80M
69.02%
85M
59.68%
383.20M
350.82%
622.80M
62.53%

All numbers in USD (except ratios and percentages)