Brunswick Corporation

NYSE:BC

81.66 (USD) • At close November 13, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operating Activities:
Net Income 432.6681.3595.4374.730.4263.1187.3274.4227.4194.9775.2147.471.9-110.6-586.2-788.1111.6263.2385.4269.8135.278.481.8-95.837.9186.3151.2185.8127.212954.538-23.770.9-71.3
Depreciation & Amortization 272.9231.2178.1153.4138.7149.698.2103.988.981.287.590104.5129.3157.3177.2180.1167.3162.2157.5150.6148.4160.4148.8165.6159.7156.9129.7120.5119.8117.8115.9133.4145.6159.8
Deferred Income Tax 14-19.9-3.8-11.564.637.461.382.75547.5-577.510.7-3.3118.4-8236.20000-5600000000000000
Stock Based Compensation 22.421.929.727.117.319.217.816.920.818.318.11501.30000005600000000000000
Change In Working Capital -15.8-350.6-230.6226.6-80.8-57.1-52-30.4-63.7-66.7-66.2-78.7-77.514.5400.8-1003.5-92.8-65.1-18.6100.890.8-10.9-163.295.7-76.7-139.615-30.2-126.984.9-3.126.7-64.1-55.7
Accounts Receivables 55-74.6-85.1-173.841.4-27.3-58.1-1.1-12.3-24-15.6-19.602.4159.9123.40000000000000000000
Inventory 0.7-292.8-343.2109.3-50.5-84.2-65.6-48.2-15.2-57.1-21.7-73.1-25.9-49.2325.181.7-42.9-28.7-40.3-122.8-31.535.139.4-104.3-1-77.9-55.624.21.5-83.6-10.96.16.52.847.3
Accounts Payables -86.1-12.2134.264.5-32.749.334.739.21.113-1857.8-3.727-135-135-13.59.552.842.57100000000000000
Other Working Capital 14.62963.5226.6-395.137-20.3-37.31.4-10.9-43.8-47.934.350.8-170.159.9-73.6-77.661.761.355.7-50.3-58.996.71.2-84-9.2-31.7-43.395.8-9.220.2-66.9-103
Other Non Cash Items 7.522.25.228264-75.287.74.722.9-11.9-11.7-10.4102.352.58598.819.1-22.4-49.66.58.595.499.53670159.793.269.662.6-0.7-68.318.2-5.6-10.4120.1
Operating Cash Flow 733.6586.1574798.3434.2337400.3421.9323.5236.6170.1160.789.1205.4125.5-12.1314.3315.3432.9415.2395.1413330.8256.8299.2429261.7400.1280.1121.2188.9169130.8142152.9
Investing Activities:
Investments In Property Plant And Equipment -289.3-388.3-267.1-182.4-232.6-193.4-189.3-193.9-132.5-124.8-148.1-115.2-90-57.2-33.3-102-207.7-205.1-233.6-171.3-159.8-112.6-111.4-156-209.5-230.8-705.9-169.9-122.7-104.6-95.8-108.4-80.9-88.2-118.3
Acquisitions Net -103.6-93.8-1,138.62.9-64.1-909.6-15.5-276.1-29.7-41.529.315.690000-6.2-86.2-135.5-267.8-177.3-21.2-134.4000000000000
Purchases Of Investments -4.6-71.3-11.3-59.9232.6-10.8-3.2-35-47.6-82.4-21.6-205.9-265.3-1130085.71.7-23.3-16.2-39.3-8.90-38.100000-18.2-2.8-6.7-2.2-4.90
Sales Maturities Of Investments 3.898.955.9-2.92.4193.431.815.8120.212.1151.1229.4196.906.265.54.16.157.913.47.513.200003.67.67000000
Other Investing Activites 14.811.37.2-4.6256.4-186.9-2.74.749.8256.97.910-661514.845.525.6-0.411.72-3-0.2101.445.515.4-6.7139.8-536.710.7-6.51.5-21.8-6.1218.517.5
Investing Cash Flow -378.9-443.2-1,353.9-246.9194.7-1,107.3-178.9-484.5-39.820.318.6-66.1-134.4-155.2-12.39-98.5-283.9-322.8-439.9-371.9-129.7-144.4-148.6-194.1-237.5-562.5-699-105-129.3-97.1-136.9-89.2125.4-100.8
Financing Activities:
Debt Repayment -86.2689.9866-159.1-117.4780.9-4.5-2.2-3-4.8-117.5-131-162.8-22.3113.5-6.4-0.2-1-6137.2-22.7-35.6-169.144.4-75.350.7186.1242.4-6-6.25.6-5.514.5-165.7-44.3
Common Stock Issued 0000000000-2.50000010.815.917.199.539.940.39.83.29.17.219.34.31.700104.500100
Common Stock Repurchased -275-450-120.1-118.3-400-75-130-120.3-120-20144.900000-125.8-195.6-760000-87.1-18.3-159.9-8.40000000-75.8
Dividends Paid -112-108.6-98.9-78.3-73.4-67.8-60.6-55.4-48.3-41.7-9.1-4.5-4.5-4.4-4.4-4.4-52.6-55-57.3-58.1-45.9-45.1-43.8-44.3-45.9-49-49.6-49.3-47.9-42-41.9-41.1-38.9-38.8-38.9
Other Financing Activities -13.8-20.5-25.2-6.1-10-17.6-8.6-7.90.85.810.1-13-0.61.3-13.200000-11.7000000.5036.2-7.3-2.23.40.30-3
Financing Cash Flow -487110.8621.8-361.8-600.8620.5-203.7-172.4-163.5-60.7-116.5-148.5-167.9-25.495.9-10.8-167.8-235.7-122.2178.6-28.7-40.4-203.1-83.8-130.4-151147.9193.1-16-55.5-38.561.3-24.1-204.5-62
Other Information:
Effect Of Forex Changes On Cash 2.7-11.9-5.58.80.4-56.90.1-15.6-11.6-4.200000000000000-191.5300.8298.9-175.18.1-91.8-32.1-41.6-267.4-52.1
Net Change In Cash -140.7228.9-175.8187.716.9-163.815.2-234.9104.6196.272.2-53.9-213.224.8209.1-13.948-204.3-12.1153.9-5.5242.9-16.724.4-25.3-151147.9193.1-16-55.5-38.561.3-24.1-204.5-62
Cash At End Of Period 467.8595.6354.5519.6320.3294.4448.8422.4657.3552.7356.5284.3338.2551.4526.6317.5331.4283.4487.7499.8345.9351.4108.5125.2100.8-65.4386.4537.4169.2193.3157163.460.5-182.8-30.4