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NYSE:WU

The Western Union Company

  • Stock

USD

Last Close

12.61

26/07 20:00

Market Cap

4.19B

Beta: 0.88

Volume Today

2.53M

Avg: 9.74M

PE Ratio

6.22

PFCF: 11.34

Dividend Yield

7.55%

Payout:47.39%

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
798.40M
-
852.40M
6.76%
837.80M
1.71%
253.20M
69.78%
-557.10M
320.02%
851.90M
252.92%
1.06B
24.23%
744.30M
29.67%
805.80M
8.26%
910.60M
13.01%
626M
31.25%
depreciation and amortization
262.80M
-
271.90M
3.46%
270.20M
0.63%
263.20M
2.59%
262.90M
0.11%
264.70M
0.68%
257.70M
2.64%
225.60M
12.46%
208.20M
7.71%
183.80M
11.72%
183.60M
0.11%
deferred income tax
-39.30M
-
-26.80M
31.81%
-39.90M
48.88%
-174.20M
336.59%
69.50M
139.90%
-15.10M
121.73%
-24.50M
62.25%
13.90M
156.73%
-2.60M
118.71%
-26.70M
926.92%
-11M
58.80%
stock based compensation
464M
-
-532.10M
-
41.70M
107.84%
61.90M
48.44%
45.50M
26.49%
22.40M
50.77%
change in working capital
13.40M
-
-101.10M
854.48%
-60.70M
39.96%
601.40M
1,090.77%
372.30M
38.09%
-346.40M
193.04%
36.80M
110.62%
-252.10M
785.05%
-177.60M
29.55%
-346.70M
95.21%
-111.40M
67.87%
accounts receivables
inventory
accounts payables
81.10M
-
-29.40M
136.25%
14.20M
148.30%
522.80M
3,581.69%
-417.60M
179.88%
-126.50M
69.71%
94.30M
174.55%
-96.60M
202.44%
-24.80M
74.33%
42.60M
271.77%
-22.40M
152.58%
other working capital
-67.70M
-
-71.70M
5.91%
-74.90M
4.46%
78.60M
204.94%
789.90M
904.96%
-219.90M
127.84%
-57.50M
73.85%
-155.50M
170.43%
-152.80M
1.74%
-389.30M
154.78%
-89M
77.14%
other non cash items
53.30M
-
49.50M
7.13%
63.70M
28.69%
98.30M
54.32%
124.20M
26.35%
66.20M
46.70%
118.40M
78.85%
104.10M
12.08%
149.60M
43.71%
-184.90M
223.60%
73.50M
139.75%
net cash provided by operating activities
1.09B
-
1.05B
3.92%
1.07B
2.41%
1.04B
2.73%
735.80M
29.38%
821.30M
11.62%
914.60M
11.36%
877.50M
4.06%
1.05B
19.12%
581.60M
44.36%
783.10M
34.65%
investments in property plant and equipment
-241.30M
-
-179M
25.82%
-266.50M
48.88%
-229.80M
13.77%
-177.10M
22.93%
-339M
91.42%
-127.70M
62.33%
-156.80M
22.79%
-214.60M
36.86%
-208.20M
2.98%
-147.80M
29.01%
acquisitions net
-10.60M
-
172.10M
1,723.58%
161M
6.45%
-24.90M
115.47%
202.30M
912.45%
711.70M
251.80%
49.40M
93.06%
-149.10M
401.82%
887.20M
695.04%
purchases of investments
-100M
-
111.20M
211.20%
-120.20M
208.09%
-104.40M
13.14%
-234.80M
124.90%
-27M
88.50%
-8.10M
70%
-4.90M
39.51%
-433M
8,736.73%
-1.56B
260.28%
-495.30M
68.25%
sales maturities of investments
100.20M
-
100.30M
0.10%
63.10M
37.09%
232.20M
267.99%
37.20M
83.98%
56.40M
51.61%
900K
98.40%
985M
109,344.44%
1.39B
41.02%
506M
63.57%
other investing activites
-111.20M
-
-172.10M
54.77%
-161M
6.45%
-202.30M
-
-2M
-
3.70M
285%
17.50M
372.97%
-3.70M
121.14%
net cash used for investing activites
-341.30M
-
-89.40M
73.81%
-286.40M
220.36%
-271.10M
5.34%
-204.60M
24.53%
-328.80M
60.70%
632.30M
292.31%
-113.40M
117.93%
192M
269.31%
525.50M
173.70%
-140.80M
126.79%
debt repayment
-300M
-
-500M
66.67%
-500M
0%
-1.01B
101.08%
-500M
50.27%
-414.40M
17.12%
-824.90M
99.06%
-165M
80.00%
-1.16B
605.64%
-300M
74.23%
-115.10M
61.63%
common stock issued
820.50M
-
652.60M
20.46%
2.20M
99.66%
1.10B
49,822.73%
9.50M
99.14%
200K
97.89%
common stock repurchased
-399.70M
-
-495.40M
23.94%
-511.30M
3.21%
-501.60M
1.90%
-502.80M
0.24%
-412.40M
17.98%
-552.60M
34.00%
-239.70M
56.62%
-409.90M
71.01%
-369.90M
9.76%
-308.40M
16.63%
dividends paid
-277.20M
-
-265.20M
4.33%
-316.50M
19.34%
-312.20M
1.36%
-325.60M
4.29%
-341.70M
4.94%
-340.80M
0.26%
-370.30M
8.66%
-381.60M
3.05%
-364.20M
4.56%
-349M
4.17%
other financing activites
526.20M
-
14.20M
97.30%
75.80M
433.80%
610M
704.75%
757.90M
24.25%
-9.20M
101.21%
-4.10M
55.43%
-700K
82.93%
-412M
58,757.14%
-152.70M
62.94%
-124.50M
18.47%
net cash used provided by financing activities
-450.70M
-
-1.25B
176.55%
-1.25B
0.45%
-1.21B
3.42%
-570.50M
52.82%
-357.20M
37.39%
-1.07B
199.50%
-773.50M
27.70%
-1.27B
64.12%
-1.18B
7.26%
-896.80M
23.83%
effect of forex changes on cash
195.70M
-
net change in cash
296.60M
-
-289.90M
197.74%
-467.30M
61.19%
-438.40M
6.18%
-39.30M
91.04%
135.30M
444.27%
477.10M
252.62%
-9.40M
101.97%
-32.20M
242.55%
-70.20M
118.01%
-58.80M
16.24%
cash at beginning of period
1.78B
-
2.07B
16.70%
1.78B
13.98%
1.32B
26.21%
877.50M
33.32%
844.40M
3.77%
979.70M
16.02%
1.46B
48.70%
2.14B
47.11%
2.11B
1.50%
1.33B
37.12%
cash at end of period
2.07B
-
1.78B
13.98%
1.32B
26.21%
877.50M
33.32%
838.20M
4.48%
979.70M
16.88%
1.46B
48.70%
1.45B
0.65%
2.11B
45.84%
2.04B
3.33%
1.27B
37.84%
operating cash flow
1.09B
-
1.05B
3.92%
1.07B
2.41%
1.04B
2.73%
735.80M
29.38%
821.30M
11.62%
914.60M
11.36%
877.50M
4.06%
1.05B
19.12%
581.60M
44.36%
783.10M
34.65%
capital expenditure
-241.30M
-
-179M
25.82%
-266.50M
48.88%
-229.80M
13.77%
-177.10M
22.93%
-339M
91.42%
-127.70M
62.33%
-156.80M
22.79%
-214.60M
36.86%
-208.20M
2.98%
-147.80M
29.01%
free cash flow
847.30M
-
866.90M
2.31%
804.60M
7.19%
812.10M
0.93%
558.70M
31.20%
482.30M
13.67%
786.90M
63.16%
720.70M
8.41%
830.70M
15.26%
373.40M
55.05%
635.30M
70.14%

All numbers in USD (except ratios and percentages)