Updated Jun 29, 2022 04:00 PM ET
This is our short term rating system that serves as a timeliness indicator for stocks over the next 1 to 3 months. How good is it? See rankings and related performance below.
|Zacks Rank||Definition||Annualized Return|
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D Value C Growth C Momentum C VGM
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The industry with the best average Zacks Rank would be considered the top industry (1 out of 265), which would place it in the top 1% of Zacks Ranked Industries. The industry with the worst average Zacks Rank (265 out of 265) would place in the bottom 1%.
Cash flow Statements
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Annual Cash Flow Statement
Fiscal Year End for Spectrum Brands Holdings Inc falls in the month of September.
All data in Millions except Per Share data.
Cash Flow From Operations, Investments & Financial Activities
|Cash Flow From Operations, Investments & Financial
|Net Income (Loss)||189.60||98.50||473.20||872.00||273.20|
|Depreciation/Amortization & Depletion||122.60||179.10||342.10||264.10||232.90|
|Net Change from Assets/Liabilities||-21.50||-26.50||-165.00||24.60||53.50|
|Net Cash from Discontinued Operations||24.90||-13.80||-742.30||-298.40||190.10|
|Other Operating Activities||-27.20||53.00||93.10||-519.20||90.40|
|Net Cash From Operating Activities||288.40||290.30||1.10||343.10||840.10|
|Property & Equipment||-43.50||-27.80||-56.30||-61.90||-110.40|
|Acquisition/ Disposition of Subsidiaries||-429.90||-13.30||2,859.50||0.00||-304.70|
|Other Investing Activities||-23.20||2.30||-5.60||1,334.70||-1,187.30|
|Net Cash from Investing Activities||-423.50||108.30||2,797.60||1,272.80||-1,602.40|
Uses of Funds
|Issuance (Repurchase) of Capital Stock||-125.80||-364.80||-268.50||-288.00||-265.10|
|Issuance (Repayment) of Debt||7.80||164.50||-2,349.90||-1,046.40||315.60|
|Increase (Decrease) Short-Term Debt||0.00||0.00||0.00||0.00||-261.10|
|Payment of Dividends & Other Distributions||-71.50||-76.00||-86.60||-51.00||-39.90|
|Other Financing Activities||-20.40||-220.80||-19.60||96.60||833.50|
|Net Cash from Financing Activities||-209.90||-497.10||-2,724.60||-1,288.80||583.00|
|Effect of Exchange Rate Changes||1.30||5.10||-8.40||-44.70||-15.80|
|Net Change In Cash & Equivalents||-343.70||-93.40||65.70||282.40||-195.10|
|Cash at Beginning of Period||533.70||627.10||561.40||270.10||465.20|
|Cash at End of Period||190.00||533.70||627.10||552.50||270.10|
|Diluted Net EPS||4.39||2.18||9.31||20.74||3.29|