Leggett & Platt, Incorporated

NYSE:LEG

11.8 (USD) • At close November 14, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operating Activities:
Net Income -136.8309.9402.6247.7333.9306.1292.7386.2329.2101.2199.7250.5156.4182.8115104.4-11.2300.3251.3285.4205.9233.1187.6264.1290.5248208.3153134.9115.485.962.539.429.445.9
Depreciation & Amortization 177.9179.8187.3189.4191.9136.1125.9115.4113.2117.9122.6116.1116.9122.8130.3140.4183.4175.4171.1177.2167164.6196.6173.3149.3127.9105.692.267.156.945.338.236.430.225.7
Deferred Income Tax -129.2-15.7-8.5-22.57.6-1.367.317.624.1-39.8-32.9-21.9-1.130.24425.5-56.15.3-35.63.415.917.7-19.613.1-6.717.3-1.5-13.4-0.6-6.68.6-1.93.3-5.52.7
Stock Based Compensation 27.630.134.229.23335.536.637.145.241.636.333.835.337.63841.64948.600000000000000000
Change In Working Capital 116-78-337.692.580.5-46-80.215.1-170.853.626.457.4-13.8-17.5185.650.4181.7-649.1-114.5-0.832.4181.6-7.9-58-45.5-29.9-24.325.34.4-111.7-9.3-22.2
Accounts Receivables 48.6-26.6-7524.353-637.9-40.63.4-16.4-97.7-13.360.6-29.5-34.7105.754.198.911.1-96.5-109.2-79.584.60000000000000
Inventory 86.596.1-305-19.753.3-54.3-48.1-33.3-49.1-21.9-4.1-39.1-16.3-31.287.649.965.5-61.2-50.4-69.927.4-24.584.7-8.7-74-6.6-15-10.3-14.8-22.2-6.8-1.216.80.7-9.1
Accounts Payables 13.7-102.163.583-39.436.258.850.8-54.347.53527.429.424.918.4-46.813-5.317.4238-1,221.20000000000000
Other Working Capital -32.8-45.4-21.14.913.6610-50.3-5.8-51125.78.88.52.623.5-26.1-6.84.3-8.6138.641.643.31,193.596.90.816-38.9-14.9-1416.827.511.20.2-5.1-10-13.1
Other Non Cash Items 441.715.3-6.766.321.19.91.4-18.818.2107.464.813.835.26.652.473.9266.913.352.4-97.38.1-11.7-1.8-4.37.25.8-12.5-0.221.5-0.1-3.221.10.1
Operating Cash Flow 497.2441.4271.3602.6668440.3443.7552.6359.1381.9416.9449.7328.9362.5565.3436.2613.7478.9448.3342.5395.3455.9534.5440.8370.8354.9288.3238.1203.2173145.797.287.565.955.2
Investing Activities:
Investments In Property Plant And Equipment -113.8-100.3-106.6-66.2-143.1-159.6-159.4-124-103.2-94.1-80.6-71-75-67.7-83-118.3-148.8-166.3-164.2-157.1-136.6-124-128-422-449.2-264.7-291-96.2-93.9-88.5-132.2-33.2-33.4-86.3-67.5
Acquisitions Net 23.4-79.1-114.114.8-1,259.6-104.36.156.6-11.1-70.4-6.7-234-6.6-4.9-2.8-10.3-111.3-83.2-181-46.4-120.4-45.6-95.1000000-78.800000
Purchases Of Investments 000000000000-21.50000000000000000000000
Sales Maturities Of Investments 00000000000052.90000000000000000000000
Other Investing Activites -0.9-1.8-5.52.4-15.5-13.9-11.7-34.651.476.518.915.8-4.67.513.3391.9102.1186.733.150.923.341.9-15.28.26.78.2-92.8-29.30.72.80.5-0.94.63.6
Investing Cash Flow -91.3-179.4-220.7-51.4-1,402.7-263.9-153.3-67.4-62.9-88-68.4-289.2-54.8-65.1-72.5263.3-158-231.5-338.5-170.4-206.1-146.3-181.2-437.2-441-258-282.8-189-123.2-166.6-129.4-32.7-34.3-81.7-63.9
Financing Activities:
Debt Repayment -107.15184.9-227.8947-85.8281.56.5-3.387-180.4201.665.1-45.8-64.2-275.8-3473-18759211.4-95-59.6145.515752.850.1-16.5-20.719.50.3-42.7-34.536.422.3
Common Stock Issued 003.51.59.34.82.64.98.321.836.935.620.523.845.97.210.69.526.13.811.911.94.7456.65301.61.50.42.95.9
Common Stock Repurchased -6-60.3-9.8-10.6-16.4-112.4-157.6-198-191.5-149.7-169.4-30-225.3-130.1-192-296.5-237.1-150.3-236.4-99.9-82.8-93.7-63.2-53.9-81.5-13.5-5.7-10.1-24.50-0.1-3.10-7.9-11.2
Dividends Paid -239.4-229.2-218.3-211.5-204.6-193.7-185.6-177.4-171.6-167.5-124.9-199.5-155.9-154.9-157.2-165.1-124.8-121.1-118.4-109.9-102.7-96.3-92.5-78.6-69.1-59.9-48-30.3-31.9-25.4-21.1-21.1-14.9-14.3-12.2
Other Financing Activities -6.3-1.76.9-13.3-4.2-9.8-5.4-38.28.94.83.5-44.313.3-6.60.7-2-2.81.700000-4.6-3.1-5.5-4.5-1.7-1.91.8-1.8-0.3-2.2-0.8-0.1
Financing Cash Flow -358.8-284.5-39.7-448.4735.3-387.1-46.2-456.5-358.1-233.8-434.9-37.7-282.3-313.6-408.7-733.5-391.5-186.1-532.3-124.729.7-271.8-203.413.17.3-21.1-1.5-53.6-76-4.1-21.1-65.7-51.216.34.7
Other Information:
Effect Of Forex Changes On Cash 1.9-19.20.59.4-1.4-23.630-19.7-19.9-15.56.33.73.10.211.7-6.79.35.7-3.900000000000-16.3-64.5-53.215.88.7
Net Change In Cash 49-45.212.8101.3-20.5-258244.228.7-79.660.1-86.4122.8-8.2-1695.8-40.773.567-426.447.4218.937.8149.916.7-62.975.84-4.542.3-21.1-65.7-51.216.34.7
Cash At End Of Period 365.5316.5361.7348.9247.6268.1526.1281.9253.2332.8272.7359.1236.3244.5260.5164.7205.4131.964.9491.3443.9225187.237.320.683.57.73.76.72.7-15.9-60.4-47.919.211.7