CASEYS GENERAL STORES INCCASY

時価総額
$138.1億
PER
2011年
4月30日
2012年
4月30日
2013年
4月30日
2014年
4月30日
2015年
4月30日
2016年
4月30日
2017年
4月30日
2018年
4月30日
2019年
4月30日
2020年
4月30日
2021年
4月30日
2022年
4月30日
2023年
4月30日
Net income95117111135181226177318204264313340447
Depreciation and amortization8297112131156171198221244251265304313
Amortization of debt issuance costs----------232
Stock-based compensation24467711191618323847
Loss (gain) on disposal of assets and impairment charges0-1-5-3-2-1-2-2-1-3-101-7
Deferred income taxes--55-37-22-45-55-4598-45-50-4-83-23
Receivables82-15-35162-711263313
Inventories2791614-107-43830-385077-24
Prepaid expenses0000116-322164
Accounts payable70-52218-333401512-140167166-9
Accrued expenses---21-181015163126652420
Income taxes31-30-1008-7630-23-16-636-21
Other, net--0001-066239-1914-5
Net cash provided by operating activities261295286314342465459420531504804789882
Purchase of property and equipment215241305309361393433577395439441326477
Payments for acquisitions of businesses, net of cash acquired11439303241725376833990286
Proceeds from sales of property and equipment324335455567017
Net cash used in investing activities-326-278-331-337-399-395-455-609-458-467-444-1,158-545
Proceeds from long-term debt569--200--100400--650450-
Repayments of long-term debt69111161151516161757218941
Payment of debt issuance costs----------614
Proceeds from Stock Options Exercised4353114212320-
Payments of cash dividends20232527303437394146485156
Tax withholdings on employee share-based awards------746781816
Net cash (used in) provided by financing activities-28-2030103-16-43-4167-63-23-101192-117
Net increase (decrease) in cash and cash equivalents--------1015258-178220
Cash paid for interest, net of amount capitalized35353537414041495654495457
Income Taxes Paid, Net----64605324-119815090
Capital Expenditures Incurred but Not yet Paid101-912111216594728