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Mccormick & Company (MKC)

Mccormick & Company (MKC)
71.41 x 1 82.00 x 1
Post-market by (Cboe BZX)
74.54 -0.47 (-0.63%) 04/25/25 [NYSE]
71.41 x 1 82.00 x 1
Post-market 72.26 -2.28 (-3.06%) 19:53 ET
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 11/30

(Values in U.S. thousands)
  11-2024 11-2023 11-2022 11-2021 11-2020
Cash Flows From Operating Activities
Net Income 788,500 680,600 682,000 755,300 747,400
Depreciation Amortization 208,800 199,300 200,600 192,600 165,000
Income taxes - deferred -30,300 -5,400 21,800 36,000 -11,200
Accounts receivable -20,500 3,400 -45,800 -22,600 4,800
Accounts payable and accrued liabilities 135,100 -68,100 125,300 34,900 164,200
Other Working Capital -83,000 269,300 -255,700 -222,800 102,600
Other Operating Activity -76,700 158,200 -76,700 54,900 -131,500
Operating Cash Flow $921,900 $1,237,300 $651,500 $828,300 $1,041,300
Cash Flows From Investing Activities
PPE Investments -274,900 -263,900 -262,000 -278,000 -225,300
Net Acquisitions N/A 1,000 95,200 -706,400 -803,000
Purchase Sale Intangibles 0 0 13,600 0 0
Other Investing Activity 5,900 2,400 20,400 75,800 2,700
Investing Cash Flow $-269,000 $-260,500 $-146,400 $-908,600 $-1,025,600
Cash Flows From Financing Activities
Change In Short Term Borrowing 211,100 -964,600 698,300 -346,700 286,500
Debt Issued 495,500 496,400 0 1,001,500 527,000
Debt Repayment -801,100 -268,100 -772,000 -257,100 -257,700
Common Stock Issued 17,500 16,600 41,400 13,500 56,600
Common Stock Repurchased -53,100 -35,700 -38,800 -8,600 -47,300
Dividend Paid -451,000 -418,500 -396,700 -363,300 -330,100
Other Financing Activity -2,000 -10,300 -19,400 -17,300 -14,100
Financing Cash Flow $-583,100 $-1,184,200 $-487,200 $22,000 $220,900
Exchange Rate Effect -50,300 40,000 -35,600 -13,600 31,600
Beginning Cash Position 166,600 334,000 351,700 423,600 155,400
End Cash Position 186,100 166,600 334,000 351,700 423,600
Net Cash Flow $19,500 $-167,400 $-17,700 $-71,900 $268,200
Free Cash Flow
Operating Cash Flow 921,900 1,237,300 651,500 828,300 1,041,300
Capital Expenditure -274,900 -263,900 -262,000 -278,000 -225,300
Free Cash Flow 647,000 973,400 389,500 550,300 816,000
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