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Jefferies Financial Group Inc
NYSE:JEF

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Jefferies Financial Group Inc Logo
Jefferies Financial Group Inc
NYSE:JEF
Watchlist
Price: 45.96 USD 0.26% Market Closed
Updated: May 9, 2024

Cash Flow Statement

Cash Flow Statement
Jefferies Financial Group Inc

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Cash Flow Statement
Currency: USD
Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Nov-2018 Feb-2019 May-2019 Aug-2019 Nov-2019 Feb-2020 May-2020 Aug-2020 Nov-2020 Feb-2021 May-2021 Aug-2021 Nov-2021 Feb-2022 May-2022 Aug-2022 Nov-2022 Feb-2023 May-2023 Aug-2023 Nov-2023 Feb-2024
Operating Cash Flow
Net Income
154
162
208
199
482
430
190
252
(341)
(285)
71
194
707
710
671
253
98
773
818
1 051
959
882
749
963
1 028
399
654
768
1 239
1 549
1 652
1 677
1 423
1 186
974
782
583
475
333
262
289
Depreciation & Amortization
121
122
130
125
151
161
173
164
167
165
164
95
98
61
44
93
83
101
104
105
111
117
125
140
148
155
157
146
157
159
162
151
163
168
176
189
176
160
141
113
124
Change in Deffered Taxes
70
76
121
127
302
257
104
134
(162)
(77)
85
119
300
268
252
712
584
784
801
236
267
73
(31)
6
17
(9)
105
65
62
(1)
(75)
97
21
57
83
(70)
0
0
0
10
0
Stock-Based Compensation
124
118
115
110
104
100
94
74
48
37
27
34
37
38
40
48
51
53
55
0
75
76
75
50
10
8
4
40
51
84
82
78
67
37
40
44
48
45
46
45
0
Other Non-Cash Items
128
136
101
173
143
85
128
2
36
97
160
258
171
70
125
139
117
(638)
(945)
(996)
(831)
(25)
124
(4)
48
179
227
269
87
52
46
104
138
111
64
(711)
(643)
(489)
(438)
217
217
Cash Taxes Paid
70
78
39
10
9
6
10
1
(9)
11
9
(14)
(2)
(18)
(18)
15
11
21
34
38
47
43
35
25
7
(2)
(15)
0
31
343
530
727
723
490
349
214
207
236
227
159
176
Cash Interest Paid
951
1 001
1 035
1 038
977
978
911
980
971
989
1 001
957
1 010
1 027
1 067
1 120
1 195
1 239
1 342
1 378
1 454
1 532
1 576
1 563
1 530
1 339
1 187
1 080
957
941
937
936
1 015
1 043
1 079
1 164
1 336
1 455
1 949
2 348
2 695
Change in Working Capital
(653)
(1 361)
(2 061)
(1 611)
(2 757)
(2 502)
(1 498)
(1 314)
343
1 004
270
(99)
(130)
(46)
202
(412)
(154)
(1 228)
(852)
295
(194)
(1 273)
(1 727)
(1 933)
(2 203)
51
588
827
(39)
(817)
(923)
(456)
116
1 053
1 654
1 615
1 089
238
(1 545)
(2 583)
(2 118)
Cash from Operating Activities
(169)
N/A
(857)
-407%
(1 501)
-75%
(987)
+34%
(1 680)
-70%
(1 569)
+7%
(903)
+42%
(762)
+16%
43
N/A
906
+2 017%
749
-17%
567
-24%
1 145
+102%
1 064
-7%
1 294
+22%
785
-39%
725
-8%
(209)
N/A
(73)
+65%
691
N/A
312
-55%
(225)
N/A
(760)
-238%
(828)
-9%
(962)
-16%
774
N/A
1 731
+124%
2 076
+20%
1 498
-28%
933
-38%
855
-8%
1 573
+84%
1 854
+18%
2 564
+38%
2 934
+14%
1 805
-38%
1 201
-33%
394
-67%
(1 532)
N/A
(1 979)
-29%
(1 477)
+25%
Investing Cash Flow
Capital Expenditures
(219)
(263)
(530)
(601)
(589)
(572)
(343)
(296)
(324)
(318)
(339)
(257)
(213)
(160)
(92)
(123)
(118)
(300)
(315)
(326)
(330)
(187)
(208)
(232)
(247)
(250)
(214)
(177)
(140)
(113)
(147)
(166)
(169)
(194)
(182)
(224)
(222)
(190)
(173)
(1)
(72)
Other Items
1 000
556
(40)
1 050
738
705
1 233
1 077
325
209
(383)
(380)
215
200
(15)
68
(318)
58
171
468
1 803
1 524
1 572
1 939
830
591
630
(9)
(29)
(39)
(108)
(235)
(304)
(312)
(68)
164
230
245
(38)
(11)
(49)
Cash from Investing Activities
780
N/A
293
-62%
(570)
N/A
449
N/A
150
-67%
133
-11%
891
+570%
781
-12%
1
-100%
(109)
N/A
(721)
-563%
(636)
+12%
2
N/A
39
+2 200%
(107)
N/A
(55)
+49%
(437)
-700%
(242)
+45%
(144)
+40%
142
N/A
1 474
+935%
1 337
-9%
1 364
+2%
1 707
+25%
583
-66%
341
-42%
416
+22%
(186)
N/A
(169)
+9%
(152)
+10%
(255)
-68%
(401)
-57%
(473)
-18%
(505)
-7%
(250)
+51%
(61)
+76%
9
N/A
56
+555%
(210)
N/A
(12)
+94%
(121)
-895%
Financing Cash Flow
Net Issuance of Common Stock
(81)
(61)
(56)
(74)
(54)
(53)
(141)
(125)
(107)
(129)
(63)
(94)
(88)
(93)
(110)
(99)
(98)
(629)
(657)
(1 127)
(1 339)
(930)
(868)
(509)
(604)
(639)
(760)
(817)
(637)
(452)
(375)
(269)
(477)
(762)
(826)
(860)
(572)
(402)
(255)
(138)
(130)
Net Issuance of Debt
282
1 307
2 002
1 039
1 590
866
(433)
(449)
(858)
(1 149)
(243)
496
681
938
1 140
791
1 148
1 185
817
590
(89)
482
1 320
2 247
2 057
1 236
1 439
235
1 466
1 658
658
1 497
(461)
(874)
(1 179)
(1 769)
(1 228)
(339)
1 332
1 471
2 069
Cash Paid for Dividends
(92)
(93)
(93)
(93)
(93)
(93)
(93)
(93)
(92)
(92)
(92)
(91)
(91)
(91)
(104)
(117)
(131)
(142)
(148)
(152)
(154)
(156)
(153)
(150)
(155)
(158)
(160)
(161)
(168)
(177)
(199)
(223)
(245)
(266)
(273)
(280)
(277)
(276)
(277)
(279)
(280)
Other
(281)
28
44
46
38
38
6
14
108
121
109
(80)
(156)
(184)
(363)
(140)
(135)
(23)
167
114
93
(3)
(2)
1
14
14
13
19
1
(8)
(10)
(10)
25
63
67
65
36
6
4
6
0
Cash from Financing Activities
(172)
N/A
1 182
N/A
1 896
+60%
918
-52%
1 480
+61%
758
-49%
(661)
N/A
(652)
+1%
(949)
-46%
(1 248)
-31%
(288)
+77%
231
N/A
346
+50%
570
+65%
563
-1%
435
-23%
784
+80%
390
-50%
179
-54%
(576)
N/A
(1 489)
-159%
(607)
+59%
297
N/A
1 590
+435%
1 312
-17%
452
-66%
532
+18%
(724)
N/A
662
N/A
1 022
+54%
74
-93%
994
+1 244%
(1 159)
N/A
(1 838)
-59%
(2 211)
-20%
(2 843)
-29%
(2 041)
+28%
(1 012)
+50%
804
N/A
1 060
+32%
1 659
+57%
Change in Cash
Effect of Foreign Exchange Rates
11
16
12
(11)
(16)
(18)
(15)
(6)
(15)
(9)
(21)
(28)
(18)
(17)
(4)
12
15
(2)
(10)
(20)
(9)
(14)
(21)
(1)
(17)
(11)
37
18
25
37
0
(3)
(8)
(18)
(25)
(22)
(20)
(10)
(2)
55
52
Net Change in Cash
450
N/A
633
+41%
(162)
N/A
369
N/A
(66)
N/A
(696)
-954%
(689)
+1%
(638)
+7%
(921)
-44%
(460)
+50%
(280)
+39%
134
N/A
1 474
+997%
1 656
+12%
1 747
+5%
1 178
-33%
1 088
-8%
(64)
N/A
(48)
+25%
238
N/A
289
+21%
491
+70%
880
+79%
2 468
+180%
916
-63%
1 556
+70%
2 716
+75%
1 185
-56%
2 016
+70%
1 840
-9%
674
-63%
2 163
+221%
214
-90%
203
-5%
447
+120%
(1 121)
N/A
(852)
+24%
(572)
+33%
(941)
-64%
(876)
+7%
112
N/A
Free Cash Flow
Free Cash Flow
(389)
N/A
(1 120)
-188%
(2 030)
-81%
(1 588)
+22%
(2 269)
-43%
(2 141)
+6%
(1 246)
+42%
(1 058)
+15%
(281)
+73%
588
N/A
411
-30%
311
-24%
932
+200%
903
-3%
1 203
+33%
662
-45%
607
-8%
(510)
N/A
(388)
+24%
365
N/A
(17)
N/A
(413)
-2 312%
(968)
-135%
(1 060)
-10%
(1 209)
-14%
523
N/A
1 517
+190%
1 899
+25%
1 358
-28%
820
-40%
708
-14%
1 407
+99%
1 685
+20%
2 370
+41%
2 752
+16%
1 581
-43%
979
-38%
204
-79%
(1 705)
N/A
(1 980)
-16%
(1 549)
+22%

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