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HOO

FSX
8.85600 EUR
0.444
5.28%
Last update Jul 11, 8:04 AM CEST
Market closed
Day range
8.85600
8.85600
Previous close
8.41200
Open
8.85600
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Herbalife Ltd.
8.86
0.44
5.28%

Financials

Cash flow

Fiscal date 2024 2023 2022 2021
Operating activities 205.3M 337.8M 330.2M 441.9M
Net income 254.3M 142.2M 321.3M 447.2M
Depreciation 121.4M 113.3M 115.4M 107.6M
Deferred taxes -229.6M -41.1M -29.9M -33.3M
StockBased compensation 50M 48M 44.4M 54.1M
Other non cash items 19.8M 13.9M -10.3M 35.3M
Accounts receivable 5.9M -12.6M -9.1M 9.6M
Accounts payable -14.6M -7.4M -1.1M 6.9M
Other assets liabilities -1.9M 81.5M -100.5M -185.5M
Investing activities -84.6M -134.8M -156.2M -156.4M
Capital expenditures -84.1M -135M -156.4M -151.4M
Net intangibles
Net acquisitions
Purchase of investments
Sale of investments
Other investing activity -500K 200K 200K -5M
Financing activities -335.3M -222.7M 299.5M -728.6M
Long term debt issuance 2.2B 215.2M 841.7M 600M
Long term debt payments -2.5B -353.9M -956.7M -984.2M
Short term debt issuance -74.4M 564.2M 671.1M
Common stock issuance
Common stock repurchase -8.3M -11M -146.7M -1.0B
Common dividends
Other financing charges -21.5M 1.4M -3M -4.2M
End cash position 438.1M 595.5M 516.3M 610.4M
Income tax paid 146.5M 133.1M 144.9M 156.3M
Interest paid 194.4M 159.1M 133.5M 143.5M
Free cash flow 163.4M 222.5M 196.1M 308.9M
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