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Harley-Davidson Inc (HOG)

Harley-Davidson Inc (HOG)
21.36 x 1 22.53 x 1
Post-market by (Cboe BZX)
22.54 +1.05 (+4.89%) 04/11/25 [NYSE]
21.36 x 1 22.53 x 1
Post-market 22.54 unch (unch) 16:00 ET
Cash Flow for Fri, Apr 11th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 445,175 695,046 739,214 650,024 1,298
Depreciation Amortization 245,381 256,338 261,961 265,110 271,292
Income taxes - deferred -26,276 -30,059 -15,936 -7,672 -44,079
Accounts receivable 19,778 -11,443 -82,385 -53,463 127,657
Other Working Capital 145,339 -363,424 -587,026 19,835 713,559
Other Operating Activity 234,436 208,429 232,633 101,867 108,163
Operating Cash Flow $1,063,833 $754,887 $548,461 $975,701 $1,177,890
Cash Flows From Investing Activities
PPE Investments -196,563 -207,404 -151,669 -120,181 -131,050
Purchase Of Investment -3,639,279 -3,873,542 -4,558,834 -4,243,710 -3,497,486
Sale Of Investment 3,440,340 3,570,822 3,935,001 3,902,304 3,540,289
Other Investing Activity 12,172 -2,180 2,491 2,140 21,464
Investing Cash Flow $-383,330 $-512,304 $-773,011 $-459,447 $-66,783
Cash Flows From Financing Activities
Change In Short Term Borrowing 232,646 149,575 464,258 -161,387 225,187
Debt Issued 1,641,067 2,491,851 2,322,676 1,169,910 3,905,432
Debt Repayment -1,739,028 -2,250,206 -2,392,860 -2,740,638 -2,441,751
Common Stock Repurchased -459,829 -363,987 -338,627 -11,623 -8,006
Dividend Paid -91,224 -96,310 -93,180 -92,426 -68,087
Other Financing Activity -155,947 -105,569 -164,234 -48,767 -238,792
Financing Cash Flow $-572,315 $-174,646 $-201,967 $-1,884,931 $1,373,983
Exchange Rate Effect -16,145 1,697 -19,525 -15,272 18,712
Beginning Cash Position 1,648,811 1,579,177 2,025,219 3,409,168 905,366
End Cash Position 1,740,854 1,648,811 1,579,177 2,025,219 3,409,168
Net Cash Flow $92,043 $69,634 $-446,042 $-1,383,949 $2,503,802
Free Cash Flow
Operating Cash Flow 1,063,833 754,887 548,461 975,701 1,177,890
Capital Expenditure -196,563 -207,404 -151,669 -120,181 -131,050
Free Cash Flow 867,270 547,483 396,792 855,520 1,046,840
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