HOG Stock Annual Cash Flow. Download in Excel

Harley-Davidson Inc.
HOG
NYE

Sector: Consumer Cyclical
Industry: Recreational Vehicles
26.30
USD
0.55
(2.14%)
Previous close: 25.75 Open: 25.84 Bid: 26.2 Ask: 26.5
52 week range
25.25 44.16
Mkt Cap: 3,340 M Avg Vol (90 Days): 1,848,999
Last updated: Wednesday 19th February 2025
Stock Rankings
How are these ranks calculated?Financials
HOG Cash Flow
Annual
Invalid date | Dec-19 | Dec-20 | Dec-21 | Dec-22 | Dec-23 | |
---|---|---|---|---|---|---|
Acquisitions | -7 M | |||||
CapitalExpenditureReported | 181 M | 131 M | 120 M | 152 M | 207 M | |
Cash at beginning of period | 1,260 M | 905 M | 3,409 M | 2,025 M | 1,579 M | |
Cash at end of period | 905 M | 3,409 M | 2,025 M | 1,579 M | 1,579 M | |
Cash flow | 755 M | |||||
CashFlowFromContinuingInvestingActivities | -508 M | -67 M | -459 M | -773 M | -512 M | |
CommonStockDividendPaid | -237 M | -68 M | -92 M | -93 M | -96 M | |
CommonStockPayments | -297 M | -8 M | -12 M | -339 M | -364 M | |
DepreciationAndAmortization | 186 M | 165 M | 152 M | |||
Effect of exchange rate changes | -2 M | 19 M | -15 M | -20 M | 2 M | |
FinancingCashFlow | -712 M | 1,374 M | -1,885 M | -202 M | -175 M | |
Free cash flow | 687 M | 1,047 M | 856 M | 397 M | 547 M | |
IssuanceOfDebt | 521 M | 1,019 M | -1,571 M | -70 M | 242 M | |
Net cash from financing activities | -712 M | 1,374 M | -1,885 M | -202 M | -175 M | |
Net cash from investing activities | -508 M | -67 M | -459 M | -773 M | -512 M | |
Net cash from operating activities | 868 M | 1,178 M | 976 M | 548 M | 755 M | |
Net change in cash & cash equivalents | -354 M | 2,504 M | -1,369 M | -427 M | 68 M | |
NetBusinessPurchaseAndSale | -7 M | |||||
NetCommonStockIssuance | -297 M | -8 M | -12 M | -339 M | -364 M | |
NetInvestmentPropertiesPurchaseAndSale | -320 M | 64 M | -339 M | -621 M | -305 M | |
NetInvestmentPurchaseAndSale | -320 M | 64 M | -339 M | -621 M | -305 M | |
NetIssuancePaymentsOfDebt | 521 M | 1,019 M | -1,571 M | -70 M | 242 M | |
NetLongTermDebtIssuance | 521 M | 1,019 M | -1,571 M | -70 M | 242 M | |
NetPPEPurchaseAndSale | -181 M | -131 M | -120 M | -152 M | -207 M | |
Other financing charges net | -704 M | 431 M | -210 M | 300 M | 44 M | |
Other investing changes net | 3,518 M | 3,562 M | 3,904 M | 3,937 M | 3,569 M | |
Payment of cash dividends | 237 M | 68 M | 92 M | 93 M | 96 M | |
ProceedsFromStockOptionExercised | 4 M | 89000.0 | ||||
Purchase of Float term investments | -3,847 M | -3,497 M | -4,244 M | -4,559 M | -3,874 M | |
Purchase of property plant & equipment | -181 M | -131 M | -120 M | -152 M | -207 M | |
Purchase of short term investments | 2,225 M | 3,461 M | 1,170 M | 2,323 M | 2,492 M | |
PurchaseOfInvestment | -3,847 M | -3,497 M | -4,244 M | -4,559 M | -3,874 M | |
PurchaseOfPPE | -181 M | -131 M | -120 M | -152 M | -207 M | |
Repayment of debt | -1,703 M | -2,442 M | -2,741 M | -2,393 M | -2,250 M | |
RepaymentOfDebt | -1,703 M | -2,442 M | -2,741 M | -2,393 M | -2,250 M | |
Repurchase of capital stock | -297 M | -8 M | -12 M | -339 M | -364 M | |
Sale of short term investments | 10 M | |||||
SaleOfInvestment | 10 M |
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