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MGRDAffiliated Managers Group, Inc.
$14.74$393M
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HomeStocksMGRDQuarterly Cash Flow

Affiliated Managers Group, Inc. (MGRD) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Affiliated Managers Group, Inc. (MGRD) quarterly cash flow statement — complete operating, investing & financing history

MGRD Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations303.3M267.3M277.1M230.8M208.9M212.5M265.2M245.2M209.2M254.9M293.9M90.7M
Operating CF Margin %55.66%33.4%52.48%46.8%42.07%40.53%51.36%49.01%41.85%50.72%55.96%17.7%
Operating CF Growth %45.19%25.79%4.49%-5.87%-0.14%-16.63%-9.77%170.34%-10.9%-0.93%1.03%-74.91%
Net Income110.4M377.9M291M135.9M99.2M221.1M185.7M135.1M198.7M244.2M217M125.3M
Depreciation & Amortization51.7M56.4M9M8.8M86.1M11.2M1.1M10.3M10.3M13.8M15.5M15.8M
Stock-Based Compensation054.2M56.3M68.6M23.7M23M22.3M27.5M38.8M28.7M26M32.1M
Deferred Taxes039.7M17.3M18.9M7.9M-28.1M18.7M17.3M23.5M18.4M14.7M15M
Other Non-Cash Items204.5M-317.6M-175.2M2.6M123.4M-57.9M11.5M28.4M90.4M-76.2M-80M26.7M
Working Capital Changes-63.3M56.7M78.7M-4M-131.4M43.2M25.9M26.6M-152.5M26M100.7M-124.2M
Change in Receivables-393.5M231.8M-104.9M34.2M-161.1M32.3M14.2M68.8M-159.5M68M47.4M0
Change in Inventory000000000000
Change in Payables000000000000
Cash from Investing-233M41.6M270.7M-493.7M-35.6M8.5M55.8M240.3M74.5M-213.4M186.8M3.1M
Capital Expenditures-3.8M-1.9M-1.2M-1.4M-1.6M-1.1M-700K-600K-1M-5.8M-2.6M-2.1M
CapEx % of Revenue0.7%0.24%0.23%0.28%0.32%0.21%0.14%0.12%0.2%1.15%0.5%0.41%
Acquisitions------------
Investments3.69B3.58B3.19B3.26B2.75B2.84B2.75B2.86B3.09B3.23B2.96B2.85B
Other Investing013.1M003.9M00-5.7M12.7M-3.1M00
Cash from Financing-277.3M-200.1M-430.2M-201.5M-316.9M-271.8M-188M-413.8M-302.3M-234.3M-258.8M-148.3M
Debt Issued (Net)------------
Equity Issued (Net)-185.1M-353.1M-84.6M-114.1M-204.5M-166.4M-109.9M-348.2M-185.5M-154M-189.2M-60M
Dividends Paid0-200K-300K-200K-300K-400K-300K-400K-300K-300K-400K-400K
Share Repurchases-185.1M-353.1M-84.6M-114.1M-204.5M-166.4M-109.9M-348.2M-185.5M-154M-189.2M-60M
Other Financing-142.6M-96.8M-95.3M-87.2M-112.1M-7.4M-175.4M-65.2M-116.5M-80M-69.2M-87.9M
Net Change in Cash-209.9M109.9M115.1M-455.5M-133.5M-60.7M145.2M72.1M-20.2M-185.6M213.7M-47.3M
Free Cash Flow299.5M265.4M275.9M229.4M207.3M211.4M264.5M244.6M208.2M249.1M291.3M88.6M
FCF Margin %54.96%33.16%52.25%46.51%41.74%40.32%51.22%48.89%41.65%49.56%55.46%17.29%
FCF Growth %44.48%25.54%4.31%-6.21%-0.43%-15.13%-9.2%176.07%-10.61%-2.31%1.18%-75.33%
FCF per Share10.898.438.367.106.365.877.566.935.196.036.712.10
FCF Conversion (FCF/Net Income)2.75x0.77x1.30x2.74x2.89x1.31x2.15x3.23x1.40x1.30x1.35x0.72x
Interest Paid000000000000
Taxes Paid000000000000