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Scotts Miracle-Gro Co
NYSE:SMG

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Scotts Miracle-Gro Co Logo
Scotts Miracle-Gro Co
NYSE:SMG
Watchlist
Price: 69.97 USD 1.89%
Updated: May 3, 2024

Cash Flow Statement

Cash Flow Statement
Scotts Miracle-Gro Co

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Cash Flow Statement
Currency: USD
Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Jan-2016 Apr-2016 Jul-2016 Sep-2016 Dec-2016 Apr-2017 Jul-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Jan-2021 Apr-2021 Jul-2021 Sep-2021 Jan-2022 Apr-2022 Jul-2022 Sep-2022 Dec-2022 Apr-2023 Jul-2023 Sep-2023 Dec-2023
Operating Cash Flow
Net Income
163
189
162
166
158
157
168
159
152
238
317
315
331
286
225
219
263
246
177
64
5
253
372
460
469
325
326
389
485
543
566
513
438
405
(265)
(438)
(452)
(619)
(132)
(380)
(396)
Depreciation & Amortization
66
65
65
64
65
64
67
69
71
74
73
74
76
77
79
80
80
80
81
83
86
89
90
89
89
91
91
95
95
95
96
94
96
99
103
105
106
101
97
93
87
Change in Deffered Taxes
0
0
0
12
0
0
0
1
0
0
0
84
0
84
84
(17)
(65)
(63)
(65)
(88)
(41)
(79)
(72)
(33)
(34)
1
(6)
(11)
(11)
0
0
23
0
0
(140)
(183)
(160)
(165)
(26)
(59)
(89)
Stock-Based Compensation
10
8
9
11
11
14
14
13
13
15
16
16
16
19
22
25
29
26
35
40
41
42
39
38
39
40
52
58
59
65
50
41
40
38
35
34
48
69
58
69
64
Other Non-Cash Items
20
22
52
47
46
46
16
30
16
18
(123)
(122)
(101)
(72)
62
15
12
(3)
34
269
170
(97)
(121)
(319)
(202)
53
67
71
51
62
35
27
53
46
683
715
730
800
145
460
462
Cash Taxes Paid
43
67
88
55
62
79
95
108
102
100
2
81
80
82
205
112
113
123
95
56
64
49
128
166
160
174
56
124
122
134
274
180
180
148
41
27
51
13
(15)
(18)
(43)
Cash Interest Paid
57
54
53
47
47
43
44
48
50
50
56
54
58
58
59
70
78
79
85
82
88
96
96
94
90
84
79
76
71
68
64
62
71
88
93
113
129
141
168
174
174
Change in Working Capital
57
(27)
(70)
(49)
(126)
(72)
(32)
(12)
(65)
(63)
(74)
(106)
(16)
9
(85)
66
74
109
42
14
100
114
(0)
29
(180)
(303)
(131)
15
(165)
(227)
(381)
(385)
(684)
(743)
(581)
(329)
(19)
331
462
417
555
Cash from Operating Activities
330
N/A
273
-17%
233
-14%
241
+3%
154
-36%
207
+34%
231
+12%
247
+7%
175
-29%
268
+53%
194
-28%
244
+26%
373
+53%
383
+3%
365
-5%
363
0%
363
0%
369
+2%
268
-27%
343
+28%
320
-7%
279
-13%
268
-4%
227
-15%
142
-37%
166
+17%
347
+109%
558
+61%
456
-18%
465
+2%
308
-34%
272
-12%
(73)
N/A
(171)
-135%
(201)
-17%
(129)
+36%
205
N/A
447
+118%
546
+22%
531
-3%
619
+17%
Investing Cash Flow
Capital Expenditures
(79)
(79)
(86)
(88)
(59)
(63)
(60)
(62)
(63)
(58)
(56)
(58)
(58)
(67)
(65)
(70)
(73)
(70)
(68)
(68)
(62)
(56)
(56)
(42)
(52)
(51)
(55)
(63)
(75)
(87)
(99)
(107)
(118)
(119)
(128)
(114)
(97)
(99)
(88)
(93)
(101)
Other Items
(61)
(57)
(53)
(68)
(19)
(57)
(189)
(475)
(464)
(503)
(380)
(76)
(153)
(76)
(81)
92
25
51
(345)
(513)
(372)
(147)
301
298
298
159
121
110
(0)
(122)
(141)
(432)
(517)
(501)
(533)
(170)
23
51
95
27
18
Cash from Investing Activities
(140)
N/A
(135)
+3%
(138)
-2%
(156)
-12%
(78)
+50%
(120)
-54%
(250)
-108%
(536)
-115%
(528)
+2%
(561)
-6%
(436)
+22%
(134)
+69%
(212)
-57%
(142)
+33%
(146)
-3%
22
N/A
(48)
N/A
(19)
+60%
(414)
-2 031%
(581)
-40%
(433)
+25%
(203)
+53%
245
N/A
255
+4%
247
-3%
108
-56%
66
-39%
47
-29%
(76)
N/A
(209)
-176%
(239)
-15%
(539)
-125%
(636)
-18%
(621)
+2%
(661)
-7%
(283)
+57%
(74)
+74%
(48)
+35%
7
N/A
(66)
N/A
(83)
-26%
Financing Cash Flow
Net Issuance of Common Stock
9
(41)
(67)
(100)
(105)
(47)
(23)
10
19
(26)
(64)
(123)
(166)
(187)
(231)
(244)
(297)
(400)
(369)
(317)
(221)
(65)
(12)
18
19
(29)
(18)
(36)
(74)
(42)
(76)
(114)
(205)
(314)
(293)
(255)
(126)
(5)
(7)
(7)
(9)
Net Issuance of Debt
(97)
52
113
207
268
98
213
377
376
443
430
116
164
91
177
52
67
192
613
665
501
122
(365)
(390)
(257)
(103)
(234)
(142)
101
208
460
782
1 085
1 276
1 301
680
175
(224)
(394)
(354)
(386)
Cash Paid for Dividends
(95)
(102)
(108)
(231)
(231)
(231)
(232)
(111)
(113)
(114)
(115)
(117)
(118)
(119)
(120)
(120)
(121)
(121)
(121)
(120)
(120)
(121)
(123)
(125)
(127)
(128)
(130)
(411)
(413)
(417)
(420)
(143)
(146)
(165)
(167)
(166)
(166)
(148)
(149)
(149)
(150)
Other
(2)
(1)
0
(0)
4
5
3
4
(7)
(5)
(6)
(5)
2
(7)
(6)
(5)
(2)
(69)
(66)
(77)
(77)
(5)
(8)
(0)
(19)
(19)
(19)
(19)
(0)
(23)
(25)
(31)
0
(3)
(10)
(4)
0
(14)
(4)
(10)
(6)
Cash from Financing Activities
(184)
N/A
(92)
+50%
(63)
+32%
(124)
-98%
(65)
+48%
(176)
-172%
(38)
+78%
279
N/A
276
-1%
299
+8%
246
-18%
(129)
N/A
(118)
+9%
(221)
-88%
(180)
+19%
(317)
-76%
(353)
-12%
(397)
-12%
57
N/A
151
+164%
82
-46%
(69)
N/A
(508)
-637%
(497)
+2%
(384)
+23%
(280)
+27%
(401)
-43%
(607)
-51%
(386)
+36%
(273)
+29%
(60)
+78%
494
N/A
703
+42%
794
+13%
832
+5%
255
-69%
(121)
N/A
(391)
-223%
(554)
-42%
(520)
+6%
(552)
-6%
Change in Cash
Effect of Foreign Exchange Rates
2
8
10
(2)
(6)
(9)
(10)
(7)
(5)
(3)
(6)
(2)
(4)
(2)
3
2
5
6
(1)
0
(1)
(3)
1
(1)
0
(0)
(0)
0
0
1
1
1
0
0
(1)
(0)
(0)
(0)
0
(0)
0
Net Change in Cash
9
N/A
54
+496%
42
-22%
(41)
N/A
6
N/A
(98)
N/A
(67)
+31%
(18)
+73%
(81)
-353%
3
N/A
(3)
N/A
(21)
-689%
40
N/A
17
-57%
42
+146%
70
+68%
(34)
N/A
(41)
-21%
(90)
-117%
(87)
+3%
(32)
+63%
5
N/A
7
+51%
(15)
N/A
5
N/A
(7)
N/A
12
N/A
(2)
N/A
(6)
-168%
(16)
-178%
10
N/A
228
+2 175%
(5)
N/A
3
N/A
(31)
N/A
(157)
-416%
9
N/A
8
-14%
(0)
N/A
(55)
-13 625%
(15)
+72%
Free Cash Flow
Free Cash Flow
252
N/A
194
-23%
147
-24%
153
+4%
95
-38%
144
+51%
171
+18%
185
+9%
112
-40%
210
+87%
138
-34%
186
+35%
315
+69%
316
+1%
300
-5%
294
-2%
290
-1%
300
+3%
200
-33%
274
+37%
258
-6%
223
-14%
212
-5%
184
-13%
90
-51%
115
+27%
292
+154%
495
+70%
380
-23%
378
0%
210
-45%
165
-21%
(191)
N/A
(290)
-52%
(329)
-13%
(243)
+26%
108
N/A
347
+223%
458
+32%
438
-4%
518
+18%

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