RBC Bearings Incorporated
Cash Flow

Last updated:

Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of RBC Bearings Incorporated generated cash of $274,700,000, which is more than the previous year. Cash used in financing activities reached the amount of -$223,500,000 last year. Net change in cash is therefore -$1,900,000.

Cash Flow

RBC Bearings Incorporated (NYSE:RBC): Cash Flow
2010 314.91M -151.62M 32.92M
2011 175.38M -194.69M -70.29M
2011 265.29M -752.14M 455.78M
2012 45.02M -13.66M -27.38M
2016 83.36M -520.13M 349.78M
2018 130.28M -27.88M -89.94M
2020 155.62M -62.78M -20.36M
2021 152.45M -101.52M -3.36M
2023 220.6M -14M -322.8M
2024 274.7M -52.2M -223.5M

RBC Cash Flow Statement (2010 โ€“ 2023)

2023 2022 2020 2019 2017 2015 2012 2011 2011 2010
Cash at beginning of period
65.4M182.9M103.25M29.88M38.92M125.45M63.97M174.53M262.42M65.25M
Operating activities
Net income
209.9M166.7M89.63M126.03M87.14M63.89M49.99M158.02M154.68M98.67M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
119.3M115.4M32.74M31.42M28.36M25.80M14.19M98.23M72.86M49.73M
Stock-based compensation expense
17.4M14M18.1M27.56M13.40M10.2M4.12M14.28M6.74M4.75M
Deferred income tax benefit 17.4M14M18.1M27.56M13.40M10.2M4.12M14.28M6.74M4.75M
Changes in operating assets and liabilities:
Accounts receivable, net
-13.4M7.8M18.96M3.30M-5.93M-619K-12.37M0048.90M
Inventories
-31.6M-71.7M905K-25.37M-14.49M-25.46M-14.29M21.01M-56.36M86.59M
Accounts payable
-30.7M-11.1M-14.83M837K10.49M-2.75M413K-41.28M24.45M-39.32M
Cash generated by operating activities
274.7M220.6M152.45M155.62M130.28M83.36M45.02M265.29M175.38M314.91M
Investing activities
Purchases Of Investments
00-100.07M00000-416.79M-117.55M
Investments In Property Plant And Equipment
-33.2M-42M-11.77M-37.29M-27.97M-20.86M-17.84M-57.62M-44.99M-33.60M
Acquisitions Net
-19.3M27.5M245K-33.84M87K-500M0-765.88M-211.91M-212M
Cash generated by investing activities
-52.2M-14M-101.52M-62.78M-27.88M-520.13M-13.66M-752.14M-194.69M-151.62M
Financing activities
Common Stock Issued
0011.37M000000150.37M
Payments for dividends
-23M-22.9M00000-27.56M-25.09M-21.60M
Repurchases of common stock
-11M-7.7M-6.84M-12.20M-4.99M-10.49M-629K000
Repayments of term debt
-209.9M-303.7M-7.89M-21.48M-98.22M360.27M-255K-295.22M-50.69M-215K
Cash used in financing activities
-223.5M-322.8M-3.36M-20.36M-89.94M349.78M-27.38M455.78M-70.29M32.92M
Net Change In Cash
-1.9M-117.5M47.83M73.37M15.24M-86.24M4.64M-31.90M-87.89M197.17M
Cash at end of period
63.5M65.4M151.08M103.25M54.16M39.20M68.62M142.62M174.53M262.42M
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