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UNMAUnum Group 6.250% JR NT58
$21.48$4.9B
Overview & Verdict
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Valuation & Forecasts
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HomeStocksUNMAQuarterly Cash Flow

Unum Group 6.250% JR NT58 (UNMA) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Unum Group 6.250% JR NT58 (UNMA) quarterly cash flow statement — complete operating, investing & financing history

UNMA Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash from Operations340.8M357.9M-371.8M348M353.6M485.8M390M339.1M298.3M343.5M395.1M313.6M150.6M356.9M277.2M458.8M325.8M388.2M455.1M706.2M
Operating CF Growth %-3.62%-26.33%-195.33%2.62%18.54%41.43%-1.29%8.13%98.07%-3.75%42.53%-31.65%-53.78%-8.06%-39.09%-35.03%301.11%156.98%6.73%11.65%
Operating CF / Revenue %10.16%11.04%-11.07%10.4%11.49%15.17%12.18%10.58%9.38%11%12.87%10.14%4.98%11.94%9.41%15.36%11.04%13.22%15.53%23.6%
Net Income232M174.1M39.7M335.6M189.1M348.7M645.7M389.5M395.2M330.6M202M392.9M358.3M279.6M410.7M370.4M253.5M159.7M328.6M182.9M
Depreciation & Amortization31.8M31.2M31.6M30.2M30M26.2M30.6M29.2M30.1M27.9M28.1M26M26.8M27M26.8M26.7M30M29.8M30.4M30.3M
Stock-Based Compensation000000-64.1M0064.1M00052.7M000000
Deferred Taxes000000000-64.1M000-52.7M000000
Other Non-Cash Items77M243.2M-496.4M-141.7M189.1M124.7M-45.6M-77.6M67.3M6.1M-9.5M-101.9M-64.1M91M-32.3M-106M-66.1M-94.5M124.4M-25.3M
Working Capital Changes0-90.6M53.3M123.9M-54.6M-13.8M-176.6M-2M-194.3M-21.1M174.5M-3.4M-170.4M-40.7M-128M167.7M108.4M293.2M-28.3M518.3M
Cash from Investing82.7M-222.5M-189.3M972.8M-12.1M48.7M-119.7M-291.1M17.7M-227.3M-225.4M-232.7M-40.5M-264.7M-176.9M-321.9M-192.4M-434.8M-399.1M-1.1B
Capital Expenditures-39.6M-37.8M-30.8M-27.9M-35.8M-32M-37.7M-27.7M-28.3M-45.7M-32.8M-27.2M-29.1M-31.4M-26.4M-22.6M-21.8M-27.9M-24.8M-26.7M
Acquisitions00000000000000000000
Purchase of Investments-652.6M-1.08B-2.12B-199.9M-907M-1.09B-758.3M-684.5M-634.6M-781.9M-1.22B-826M-669M-617.6M-746.3M-916.4M-1.06B-1.2B-1.15B-1.12B
Sale/Maturity of Investments186.3M565.8M1.18B1.11B854.2M1.1B560.7M366.8M661M598.2M1.07B616.2M717.9M447.6M602.6M596.5M891.2M960.8M731.7M759.1M
Other Investing588.6M330.9M780.5M85.6M76.5M62.3M115.6M54.3M19.6M2.1M-44.4M4.3M-60.3M-63.3M-6.8M20.6M-1.3M-167.4M43.9M-712.3M
Cash from Financing-389.1M-305.1M-305.8M-363.7M-266.6M-535.1M-239.6M-194.4M-182.9M-136.1M-112.1M-95.7M-106.2M-116.3M-108.4M-92.1M-101.8M-100K-57.4M-49.6M
Dividends Paid-78.2M-77.3M-78.4M-73.4M-77.1M-77.2M-77.8M-69M-72.5M-71.4M-71.4M-65.1M-69.2M-65.8M-66.1M-60.3M-62M-61.4M-61.3M-58.3M
Share Repurchases-398.8M-258.5M-250.9M-300.4M-200.5M-472.9M-200M-178.1M-121.9M-75.9M-75.6M-47.4M-51.2M-64M-42.7M-43.4M-50M-50M00
Stock Issued1.6M800K2.9M1.4M1.4M1.2M1.4M2.1M1.3M1.1M1.4M1.5M1.2M1.3M1M1.1M600K1.1M900K600K
Debt Issuance (Net)01000K0000000-1000K0000-1000K00001000K
Other Financing-310.9M8.9M20.6M8.7M9.6M13.8M36.8M50.6M10.2M12.1M33.5M15.3M13M12.2M15.2M10.5M9.6M110.2M3M-17.2M
Net Change in Cash34.4M-169.7M-866.9M957.1M74.9M-600K30.7M-146.4M133.1M-19.9M57.6M-14.8M3.9M-24.1M-8.1M44.8M31.6M-46.7M-1.4M-438.7M
Exchange Rate Effect00000000000000000000
Cash at Beginning158.2M327.9M1.19B237.7M162.8M163.4M132.7M279.1M146M165.9M108.3M123.1M119.2M143.3M151.4M106.6M75M121.7M123.1M561.8M
Cash at End192.6M158.2M327.9M1.19B237.7M162.8M163.4M132.7M279.1M146M165.9M108.3M123.1M119.2M143.3M151.4M106.6M75M121.7M123.1M
Free Cash Flow301.2M320.1M-402.6M320.1M317.8M453.8M352.3M311.4M270M297.8M362.3M286.4M121.5M325.5M250.8M436.2M304M360.3M430.3M679.5M
FCF Growth %-5.22%-29.46%-214.28%2.79%17.7%52.38%-2.76%8.73%122.22%-8.51%44.46%-34.34%-60.03%-9.66%-41.72%-35.81%257.59%151.41%6.4%14.37%
FCF Margin %8.98%9.87%-11.99%9.57%10.33%14.17%11%9.72%8.49%9.53%11.81%9.26%4.02%10.89%8.51%14.61%10.3%12.27%14.68%22.7%
FCF per Share1.831.9-2.361.841.782.51.891.641.41.521.841.450.611.621.242.151.491.762.13.31