LEE ENTERPRISES, IncLEE

時価総額
$5424.4万
PER
2011年
9月25日
2012年
9月30日
2013年
9月29日
2014年
9月28日
2015年
9月27日
2016年
9月25日
2017年
9月24日
2018年
9月30日
2019年
9月29日
2020年
9月27日
2021年
9月26日
2022年
9月25日
Net income (loss)-147-16-7882436294716-1250
Depreciation and amortization716656474643413229364337
Curtailment gain-----------24-1
Pension withdrawal cost----------132
Stock compensation expense--------2111
Asset loss (gain) on sales, impairments and other, net---1-034-6-25-8-10
Deferred income taxes-26-1-556132110-17-2-45-4
Debt financing and administrative costs--------712--
Pension contributions---------6-1-0
Return of collateral on (Payments to collateralize) letters of credit----------22
Other, net--------72-1-1-2
(Increase) Decrease in receivables and contract sales----------27123
(Increase) Decrease in inventories and other---------3-3-13
Increase (Decrease) in Accounts Payable and Accrued Liabilities---------4-85-15
Increase (Decrease) in Obligation, Pension and Other Postretirement Benefits-6-9-10-6-7-5-3-22-15-3-21
Change in income taxes payable--------17-8-0
Other--4-2-6-79-8-0-03-31
Net cash provided by operating activities--------5850503
Purchases of property and equipment881014107466878
Proceeds from sales of assets218491037222515
Acquisitions, net of cash acquired------7--131--
Distributions greater (less) than earnings of TNI and MNI-----------11
Other, net-000-0102-000
Net cash provided by (required for) investing activities---------11-118-26
Proceeds from long-term debt-1,00594805555101576--
Payments on long-term debt1371,06519284884112747442444--
Principal payments on long-term borrowings---------385620
Debt financing and administrative costs paid---------1--
Proceeds from (Repurchase of) Equity----------00
Net cash (required for) provided by financing activities---------4393-55-20
Net (decrease) increase in cash and cash equivalents---------25-8-10