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Skechers U.S.A. (SKX)

Skechers U.S.A. (SKX)
57.01 -0.34 (-0.59%) 14:12 ET [NYSE]
56.98 x 95 57.05 x 95
Realtime by (Cboe BZX)
56.98 x 95 57.05 x 95
Realtime 57.50 +0.15 (+0.26%) 08:25 ET
Cash Flow for Wed, Mar 26th, 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 729,613 649,923 429,162 815,632 146,227
Depreciation Amortization 211,499 181,925 153,716 139,577 142,810
Income taxes - deferred 5,081 -2,370 -6,489 -387,250 -19,568
Accounts receivable -248,557 -3,416 -179,734 -154,248 13,259
Accounts payable and accrued liabilities 260,509 41,565 107,199 135,140 -37,714
Other Working Capital -425,077 303,679 -433,378 -480,840 -26,221
Other Operating Activity 154,322 59,858 167,849 144,141 112,660
Operating Cash Flow $687,390 $1,231,164 $238,325 $212,152 $331,453
Cash Flows From Investing Activities
Change In Deposits -68,566 -23,927 71,506 -34,992 -2,552
PPE Investments -416,794 -323,722 -358,992 -309,674 -309,916
Net Acquisitions N/A -70,370 N/A N/A N/A
Investing Cash Flow $-485,360 $-418,019 $-287,486 $-344,666 $-312,468
Cash Flows From Financing Activities
Change In Short Term Borrowing 21,882 -7,741 18,439 -2,102 -2,492
Debt Issued 265,171 48,100 74,670 96,187 702,998
Debt Repayment -130,280 -78,256 -95,410 -487,441 -86,357
Common Stock Issued 11,025 9,445 8,131 7,276 5,916
Common Stock Repurchased -330,103 -166,064 -74,245 -9,928 0
Other Financing Activity -91,155 -40,161 -49,644 -37,910 -86,763
Financing Cash Flow $-253,460 $-234,677 $-118,059 $-433,918 $533,302
Exchange Rate Effect -21,964 -4,291 -13,330 -8,111 -6,337
Beginning Cash Position 1,189,910 615,733 796,283 1,370,826 824,876
End Cash Position 1,116,516 1,189,910 615,733 796,283 1,370,826
Net Cash Flow $-73,394 $574,177 $-180,550 $-574,543 $545,950
Free Cash Flow
Operating Cash Flow 687,390 1,231,164 238,325 212,152 331,453
Capital Expenditure -416,794 -323,722 -358,992 -309,674 -309,916
Free Cash Flow 270,596 907,442 -120,667 -97,522 21,537
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