Lindsay Cash Flow Statement Analysis

Operating, investing, and financing activities in millions USD

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Cash flow statement showing operating, investing, and financing activities for Lindsay Corporation (LNN) - Annual data in millions USD
BreakdownFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018
Period EndingDec 2025Aug 2024Aug 2023Aug 2022Aug 2021Aug 2020Aug 2019Aug 2018
Operating Activities
Net Income74.0566.2672.3865.4742.5738.632.1720.28
Depreciation & Amortization20.9021.2019.2820.1819.1819.4014.0216.51
Deferred Income Tax-1.43-3.900.00-2.061.911.38-2.89-0.05
Stock Based Compensation8.066.396.535.466.190.000.000.00
Change in Working Capital33.005.6317.94-89.87-23.89-20.97-14.48-11.07
Change in Accounts Receivable3.4523.48-4.93-47.51-11.540.000.000.00
Change in Inventory19.09-0.7740.95-53.80-38.160.000.000.00
Change in Accounts Payable11.12-5.96-15.2713.8317.990.000.000.00
Change in Other Working Capital-0.66-11.12-2.810.707.810.000.000.00
Other Operating Activities-1.66-4.422.707.066.136.490.252.01
Net Cash from Operating Activities132.9195.76119.713.0543.9746.033.8033.93
Investing Activities
Capital Expenditures-42.50-28.98-18.7815.6026.5121.45-23.21-11.05
Acquisitions0.000.00-30.840.000.00-3.030.0029.89
Purchases of Investments-20.495.806.05-18.47-0.530.000.000.00
Sales/Maturities of Investments15.8424.632.206.65-1.11-17.991.94-0.81
Other Investing Activities-1.42-2.76-3.85-0.86-0.581.500.060.08
Net Cash from Investing Activities-48.57-25.94-47.42-8.95-27.62-38.51-21.2218.11
Financing Activities
Debt Repayment0.000.00-0.22-0.22-0.20-0.23-0.21-0.20
Common Stock Issued1.510.480.032.893.970.00-1.12-0.83
Common Stock Repurchased-11.53-24.03-2.47-1.18-1.270.000.000.00
Dividends Paid-15.75-15.46-15.0814.6014.1713.65-13.38-13.01
Other Financing Activities-1.080.370.22-1.20-1.30-1.10-0.120.00
Net Cash from Financing Activities-26.85-38.64-17.30-12.69-11.67-13.44-14.64-11.25
Summary
Effect of Forex Changes on Cash2.21-1.060.72-3.471.020.12-1.52-1.62
Net Change in Cash59.7030.1255.71-18.595.70-5.80-32.0640.79
Cash at Beginning of Period190.88160.76105.05127.11121.40127.20160.79121.62
Cash at End of Period250.58190.88160.76105.05127.11121.40127.20160.79
Free Cash Flow90.4166.78100.93-12.5517.4628.54-19.4122.88
Supplemental Disclosures
Interest Paid1.833.323.913.814.644.674.674.63
Income Taxes Paid20.7622.2920.3115.746.817.317.8911.18