NYSE:WWE
World Wrestling Entertainment, Inc.
- Stock
Last Close
98.05
11/09 20:00
Market Cap
8.37B
Beta: 1.18
Volume Today
1.64M
Avg: 1.26M
PE Ratio
46.34
PFCF: 158.53
Dividend Yield
0.36%
Payout:21.62%
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 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
net income | 2.80M - | -30.10M 1,175% | 24.10M 180.07% | 33.80M 40.25% | 32.60M 3.55% | 99.60M 205.52% | 77.10M 22.59% | 131.80M 70.95% | 180.40M 36.87% | 195.60M 8.43% | |
depreciation and amortization | 50.60M - | 62.40M 23.32% | 63.30M 1.44% | 65.40M 3.32% | 77.30M 18.20% | 76.30M 1.29% | 89.20M 16.91% | 92.80M 4.04% | 87.30M 5.93% | 92.40M 5.84% | |
deferred income tax | 1.40M - | -25.40M 1,914.29% | -9.70M 61.81% | 12.10M 224.74% | 13.60M 12.40% | -1.10M 108.09% | 9.90M 1,000% | -3M 130.30% | -3M 0% | -28.60M 853.33% | |
stock based compensation | 5.50M - | 7.50M 36.36% | 17.20M 129.33% | 18.10M 5.23% | 24.20M 33.70% | 39.30M 62.40% | 29.40M 25.19% | 28M 4.76% | 19.10M 31.79% | 34.90M 82.72% | |
change in working capital | -38M - | 35.50M 193.42% | -49.90M 240.56% | -68.50M 37.27% | -49.30M 28.03% | -25.70M 47.87% | -95.40M 271.21% | 42.20M 144.23% | -99.70M 336.26% | 20.10M 120.16% | |
accounts receivables | -9M - | 17.90M 298.89% | -19.10M 206.70% | 5.50M 128.80% | -12.50M 327.27% | -3.50M 72% | -41.50M 1,085.71% | 70M 268.67% | -120.60M 272.29% | 54M 144.78% | |
inventory | -1.10M - | -1.90M 72.73% | -1.40M 26.32% | -400K 71.43% | -1.80M 350% | 600K 133.33% | -500K 183.33% | -1.30M 160% | 1.20M 192.31% | 5.60M 366.67% | |
accounts payables | -6.70M - | 4.30M 164.18% | 9.80M 127.91% | -6.60M 167.35% | 8.10M 222.73% | 26.70M 229.63% | -32M 219.85% | 5.10M 115.94% | 22.70M 345.10% | -5.10M 122.47% | |
other working capital | -21.20M - | 15.20M 171.70% | -39.20M 357.89% | -67M 70.92% | -43.10M 35.67% | -49.50M 14.85% | -21.40M 56.77% | -31.60M 47.66% | -3M 90.51% | -34.40M 1,046.67% | |
other non cash items | 1.50M - | 4.80M 220.00% | 4.50M 6.25% | -4.30M 195.56% | -1.80M 58.14% | -1.70M 5.56% | 11.50M 776.47% | 28.10M 144.35% | -5.50M 119.57% | 11.20M 303.64% | |
net cash provided by operating activities | 23.80M - | 54.70M 129.83% | 49.50M 9.51% | 56.60M 14.34% | 96.60M 70.67% | 186.70M 93.27% | 121.70M 34.82% | 319.90M 162.86% | 178.60M 44.17% | 325.60M 82.31% | |
investments in property plant and equipment | -55.90M - | -11.90M 78.71% | -20M 68.07% | -29.90M 49.50% | -24.70M 17.39% | -32.30M 30.77% | -69.10M 113.93% | -27.60M 60.06% | -39.20M 42.03% | -199.90M 409.95% | |
acquisitions net | -2.20M - | -1.20M 45.45% | -2.30M 91.67% | -2.30M 0% | -1.30M 43.48% | -1.40M 7.69% | -600K 57.14% | -1.50M 150% | -200K 86.67% | ||
purchases of investments | -39.20M - | -35.40M 9.69% | -21.60M 38.98% | -142.40M - | -94.90M 33.36% | -124.30M 30.98% | -153.90M 23.81% | -374.50M 143.34% | -245.90M 34.34% | ||
sales maturities of investments | 44.30M - | 42.20M 4.74% | 24.10M 42.89% | 8.10M 66.39% | 35.70M 340.74% | 61.40M 71.99% | 157.50M 156.51% | 194M 23.17% | 222.10M 14.48% | 263.80M 18.78% | |
other investing activites | 6.10M - | 1M - | 1.40M 40% | 4.30M - | 4.30M 0% | ||||||
net cash used for investing activites | -50.80M - | -1.20M 97.64% | -18.70M 1,458.33% | -24.10M 28.88% | -133.70M 454.77% | -66.10M 50.56% | -35.90M 45.69% | 11.90M 133.15% | -188.80M 1,686.55% | -177.90M 5.77% | |
debt repayment | -1.40M - | -4.10M 192.86% | -4.30M 4.88% | -14.40M 234.88% | -7.50M 47.92% | -4.70M 37.33% | -13.50M 187.23% | -114.40M 747.41% | -112.40M 1.75% | -14.40M 87.19% | |
common stock issued | 700K - | 1M 42.86% | 1.10M 10% | 1.40M 27.27% | 1.60M 14.29% | 1.90M 18.75% | 2.30M 21.05% | 2.60M 13.04% | 2.90M 11.54% | 2.50M 13.79% | |
common stock repurchased | 31M - | 400K 98.71% | 225M - | 17.40M 92.27% | -83.40M - | 200M 339.81% | -165.60M 182.80% | -40M 75.85% | |||
dividends paid | -36M - | -36.20M 0.56% | -36.30M 0.28% | -36.60M 0.83% | -36.90M 0.82% | -37.20M 0.81% | -37.40M 0.54% | -37.20M 0.53% | -36.40M 2.15% | -35.70M 1.92% | |
other financing activites | 30.60M - | 100K 99.67% | -500K 600% | 191.10M 38,320% | 5.60M 97.07% | -50.80M 1,007.14% | -30.90M 39.17% | -11.10M 64.08% | -5.60M 49.55% | 25.30M 551.79% | |
net cash used provided by financing activities | -6.10M - | -39.20M 542.62% | -40M 2.04% | 141.50M 453.75% | -37.20M 126.29% | -90.80M 144.09% | -162.90M 79.41% | 39.90M 124.49% | -317.10M 894.74% | -62.30M 80.35% | |
effect of forex changes on cash | -43K - | ||||||||||
net change in cash | -33.10M - | 14.30M 143.20% | -9.20M 164.34% | 174M 1,991.30% | -74.30M 142.70% | 29.80M 140.11% | -77.10M 358.72% | 371.70M 582.10% | -327.30M 188.05% | 85.40M 126.09% | |
cash at beginning of period | 66M - | 32.90M 50.15% | 47.20M 43.47% | 38M 19.49% | 212M 457.89% | 137.70M 35.05% | 167.50M 21.64% | 90.40M 46.03% | 462.10M 411.17% | 134.80M 70.83% | |
cash at end of period | 32.90M - | 47.20M 43.47% | 38M 19.49% | 212M 457.89% | 137.70M 35.05% | 167.50M 21.64% | 90.40M 46.03% | 462.10M 411.17% | 134.80M 70.83% | 220.20M 63.35% | |
operating cash flow | 23.80M - | 54.70M 129.83% | 49.50M 9.51% | 56.60M 14.34% | 96.60M 70.67% | 186.70M 93.27% | 121.70M 34.82% | 319.90M 162.86% | 178.60M 44.17% | 325.60M 82.31% | |
capital expenditure | -55.90M - | -11.90M 78.71% | -20M 68.07% | -29.90M 49.50% | -24.70M 17.39% | -32.30M 30.77% | -69.10M 113.93% | -27.60M 60.06% | -39.20M 42.03% | -199.90M 409.95% | |
free cash flow | -32.10M - | 42.80M 233.33% | 29.50M 31.07% | 26.70M 9.49% | 71.90M 169.29% | 154.40M 114.74% | 52.60M 65.93% | 292.30M 455.70% | 139.40M 52.31% | 125.70M 9.83% |
All numbers in USD (except ratios and percentages)