bf/NYSE:RJF_icon.png

NYSE:RJF-PA

Raymond James Financial, Inc.

  • Stock

USD

Last Close

156.43

08/11 21:00

Market Cap

24.83B

Beta: 1.06

Volume Today

860.57K

Avg: -

PE Ratio

13.51

PFCF: −5.82

Dividend Yield

1.52%

Payout:15.30%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Sep '14
Sep '15
Sep '16
Sep '17
Sep '18
Sep '19
Sep '20
Sep '21
Sep '22
Sep '23
Sep '24
net income
448.15M
-
480.68M
7.26%
506.08M
5.28%
638.87M
26.24%
850.92M
33.19%
1.03B
21.52%
818M
20.89%
1.40B
71.52%
1.51B
7.56%
1.74B
15.24%
depreciation and amortization
64.16M
-
68.31M
6.47%
72.38M
5.95%
84.13M
16.23%
98.73M
17.36%
112M
13.43%
119M
6.25%
134M
12.61%
145M
8.21%
165M
13.79%
deferred income tax
-35.17M
-
-23.46M
33.29%
-58.80M
150.61%
-11.62M
80.24%
116.55M
1,103.26%
-23M
119.73%
-39M
69.57%
-37M
5.13%
-16M
56.76%
-88M
450%
stock based compensation
69.61M
-
71.49M
2.70%
76.43M
6.91%
96.16M
25.83%
103.05M
7.16%
112M
8.68%
120M
7.14%
132M
10%
192M
45.45%
237M
23.44%
change in working capital
-116.49M
-
312.42M
368.19%
-1.03B
430.36%
400.68M
138.82%
765.05M
90.94%
-823M
207.57%
2.67B
423.82%
4.99B
87.20%
-2.15B
143.05%
-5.77B
168.76%
accounts receivables
-159.56M
-
-56.39M
64.66%
-621.16M
1,001.47%
-50.92M
91.80%
-522.37M
925.93%
696M
233.24%
127M
81.75%
-510M
501.57%
-323M
36.67%
250M
177.40%
inventory
1.63B
-
-422.02M
125.84%
-2.22B
427.08%
1.63B
173.48%
1.09B
33.02%
-84M
107.67%
-47M
44.05%
-6.77B
14,312.77%
4.54B
166.96%
5.84B
28.70%
accounts payables
-1.80B
-
594.46M
133.01%
1.82B
205.70%
-1.13B
162.36%
346.00M
130.53%
-1.23B
455.78%
2.49B
301.95%
7.28B
193.00%
-4.21B
157.84%
-6.09B
44.51%
other working capital
210.91M
-
196.37M
6.89%
-3.86M
101.97%
-49.66M
1,185.94%
-153.43M
208.94%
-204M
32.96%
99M
148.53%
4.99B
4,939.39%
-2.15B
143.05%
-5.77B
168.76%
other non cash items
77.33M
-
-10.26M
113.27%
-82.30M
701.93%
97.71M
218.72%
-30.98M
131.71%
165M
632.55%
371M
124.85%
4M
98.92%
390M
9,650%
206M
47.18%
net cash provided by operating activities
507.59M
-
899.18M
77.15%
-518.32M
157.64%
1.31B
351.95%
1.90B
45.74%
577M
69.68%
4.05B
602.60%
6.63B
63.42%
72M
98.91%
-3.51B
4,980.56%
investments in property plant and equipment
-60.15M
-
-74.11M
23.21%
-121.73M
64.26%
-189.99M
56.07%
-133.59M
29.69%
-138M
3.30%
-124M
10.14%
-74M
40.32%
-91M
22.97%
-173M
90.11%
acquisitions net
-2.01M
-
-2.09B
103,992.18%
-175.28M
91.61%
-1.92B
995.62%
-159.20M
91.71%
-5M
96.86%
-5M
0%
-266M
5,220%
1.46B
649.25%
905M
38.06%
purchases of investments
-1.59M
-
-137.06M
8,514.64%
-503.55M
267.40%
-1.73B
244.11%
-1.12B
35.12%
-1.03B
8.65%
-5.71B
455.99%
-4.22B
26.13%
-3.07B
27.24%
-712M
76.80%
sales maturities of investments
197.18M
-
154.54M
21.62%
107.02M
30.75%
483.57M
351.84%
540.91M
11.86%
644M
19.06%
1.41B
118.94%
3.15B
123.40%
1.79B
43.24%
1.26B
29.42%
6.48M
99.49%
other investing activites
-2.23B
-
-22.20M
99.00%
-2.29B
10,207.07%
-16.42M
99.28%
-2.60B
15,736.26%
-1.37B
47.27%
-556M
59.45%
-3.73B
571.22%
-7.24B
94.00%
-1.56B
78.51%
net cash used for investing activites
-2.10B
-
-2.17B
3.40%
-2.98B
37.54%
-3.38B
13.22%
-3.48B
2.96%
-1.90B
45.42%
-4.99B
162.78%
-5.14B
3.11%
-7.15B
39.12%
-274M
96.17%
6.48M
102.36%
debt repayment
-51.03M
-
-528.92M
936.58%
-268.67M
49.20%
-1.34B
399.33%
-1.15B
13.91%
-1.16B
0.00%
-855M
25.97%
-875M
2.34%
-967M
10.51%
-3.39B
250.67%
common stock issued
1.36B
-
2.45B
79.95%
3.09B
25.81%
5.60B
81.20%
2.81B
49.74%
3.55B
26.36%
5.93B
66.74%
6.48B
9.42%
778M
88.00%
6.09B
682.52%
common stock repurchased
-8.43M
-
-88.54M
950.69%
-162.50M
83.53%
-34.05M
79.04%
-61.97M
81.97%
-778M
1,155.43%
-272M
65.04%
-128M
52.94%
-216M
68.75%
-902M
317.59%
dividends paid
-88.10M
-
-103.14M
17.07%
-113.44M
9.98%
-127.20M
12.14%
-151.34M
18.97%
-191M
26.21%
-205M
7.33%
-218M
6.34%
-277M
27.06%
-355M
28.16%
other financing activites
7.44M
-
-8.12M
209.12%
35.12M
532.79%
-28.39M
180.84%
-24.05M
15.29%
-57M
137.00%
-1M
98.25%
-9M
800%
6.56B
73,000%
-2M
100.03%
net cash used provided by financing activities
1.22B
-
1.73B
41.01%
2.58B
49.41%
4.06B
57.62%
1.42B
65.06%
1.37B
3.32%
4.59B
234.52%
5.25B
14.39%
5.88B
11.90%
1.44B
75.54%
effect of forex changes on cash
-32.34M
-
-55.18M
70.64%
-29.14M
47.18%
24.79M
185.06%
-16.96M
168.42%
-23M
35.61%
1M
104.35%
76M
7,500%
-590M
876.32%
239M
140.51%
net change in cash
-397.55M
-
401.94M
201.10%
-950.55M
336.49%
2.02B
312.43%
-169.37M
108.39%
30M
117.71%
3.66B
12,110%
6.82B
86.05%
-1.79B
126.27%
-2.11B
17.93%
6.48M
100.31%
cash at beginning of period
2.60B
-
2.20B
15.31%
2.60B
18.28%
1.65B
36.55%
3.67B
122.34%
5.94B
61.89%
5.97B
0.50%
9.63B
61.35%
16.45B
70.74%
14.66B
10.88%
cash at end of period
2.20B
-
2.60B
18.28%
1.65B
36.55%
3.67B
122.34%
3.50B
4.62%
5.97B
70.59%
9.63B
61.35%
16.45B
70.74%
14.66B
10.88%
12.55B
14.40%
6.48M
99.95%
operating cash flow
507.59M
-
899.18M
77.15%
-518.32M
157.64%
1.31B
351.95%
1.90B
45.74%
577M
69.68%
4.05B
602.60%
6.63B
63.42%
72M
98.91%
-3.51B
4,980.56%
capital expenditure
-60.15M
-
-74.11M
23.21%
-121.73M
64.26%
-189.99M
56.07%
-133.59M
29.69%
-138M
3.30%
-124M
10.14%
-74M
40.32%
-91M
22.97%
-173M
90.11%
free cash flow
447.44M
-
825.07M
84.40%
-640.06M
177.58%
1.12B
274.35%
1.77B
58.59%
439M
75.19%
3.93B
795.22%
6.55B
66.69%
-19M
100.29%
-3.69B
19,305.26%

All numbers in USD (except ratios and percentages)