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VSCOVictoria's Secret & Co.
$86.40$6.9B
Overview & Verdict
Overview
Valuation & Forecasts
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HomeStocksVSCOQuarterly Cash Flow

Victoria's Secret & Co. (VSCO) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Victoria's Secret & Co. (VSCO) quarterly cash flow statement — complete operating, investing & financing history

VSCO 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 Operations-137M673M-180M156M-150M674M-248M115M-116M589M-181M89M-108M716M-228M95M-146M473M-11M287M
Operating CF Margin %-8.78%29.65%-12.23%10.69%-11.09%32%-18.41%8.12%-8.54%28.28%-14.31%6.24%-7.68%35.43%-17.3%6.25%-9.84%21.74%-0.76%17.78%
Operating CF Growth %8.67%-0.15%27.42%35.65%-29.31%14.43%-37.02%29.21%-7.41%-17.74%20.61%-6.32%26.03%51.37%-1972.73%-66.9%-243.14%-22.84%-106.43%51.05%
Net Income47.69M183.63M-37M18M3M194M-56M33M-4M181.09M-71M-1M4M172M24M70M76M246M75M151M
Depreciation & Amortization54M53M57M63M62M72M63M64M65M68M71M72M73M66M68M70M70M70M75M78M
Stock-Based Compensation13M0015M14M013M16M16M15M14M13M14M10M12M8M12M9M4M7M
Deferred Taxes11M-51M-1M-2M5M-30M-2M-2M5M-23M-1M-2M10M-25M-1M-7M5M-57M-1M25M
Other Non-Cash Items9.31M149.37M20M00-12M1M-6M1M9.91M7M6M9M011M11M7M84.95M9M8M
Working Capital Changes-272M338M-219M62M-234M450M-267M10M-199M338M-201M1M-218M493M-330M-49M-309M205M-169M25M
Change in Receivables2M5M-25M-12M8M3M-5M-6M0-13M1M-15M14M45M-35M2M10M-17M012M
Change in Inventory-26M308M-320M-14M-86M334M-271M-32M-2M220M-179M-7M2M298M-160M0-98M71M016M
Change in Payables-181M-18M113M117M-98M-23M44M75M-174M111M-16M74M-180M66M-92M63M-200M10M249M11M
Cash from Investing-54M-21M-52M-68M-43M-20M-50M-44M-39M-31M-80M-88M-55M-405M-67M-35M-48M-52M-51M-47M
Capital Expenditures-54M-24M-52M-68M-43M-28M-51M-60M-39M-32M-80M-89M-55M-39M-67M-37M-21M-52M-51M-47M
CapEx % of Revenue3.46%1.06%3.53%4.66%3.18%1.33%3.79%4.23%2.87%1.54%6.32%6.24%3.91%1.93%5.08%2.43%1.42%2.39%3.54%2.91%
Acquisitions000000000001M0-369M00-18M000
Investments--------------------
Other Investing03M0008M1M16M01M0003M-67M2M-9M000
Cash from Financing-121M-384M293M-39M106M-587M289M-7M-10M-413M255M-1M-132M-9M220M-62M-91M-261M-499M321M
Debt Issued (Net)14M-376M299M-31M104M-441M294M-1M-1M-411M259M-1M-1M27M266M-1M-1M-1M382M600M
Equity Issued (Net)-100M2M1M1M-10M-1M-1M-1M-7M-2M-1M0-125M-36M-45M-59M-106M-248M-3M0
Dividends Paid00000000000000000000
Share Repurchases-100M000-10M-1M-1M-1M-7M-2M-1M0-125M-36M-45M-60M-109M-250M-3M0
Other Financing-35M-10M-7M-9M12M-145M-4M-5M-2M0-3M0-6M-1M-1M-1M18M-12M-881M-279M
Net Change in Cash-311M269M61M50M-89M66M-8M64M-165M146M-7M-1M-295M301M-75M-3M-286M159M-562M561M
Free Cash Flow-191M649M-232M88M-193M646M-299M55M-155M557M-261M0-163M677M-295M58M-167M421M-62M240M
FCF Margin %-12.25%28.59%-15.76%6.03%-14.26%30.67%-22.2%3.88%-11.41%26.74%-20.63%--11.58%33.5%-22.38%3.81%-11.25%19.35%-4.3%14.87%
FCF Growth %1.04%0.46%22.41%60%-24.52%15.98%-14.56%-4.91%-17.73%11.53%-100%2.4%60.81%-375.81%-75.83%-301.2%-29.48%-147.69%63.27%
FCF per Share-2.257.56-2.861.07-2.447.77-3.780.69-1.997.06-3.39--2.048.23-3.550.69-1.924.62-0.672.73
FCF Conversion (FCF/Net Income)-2.87x3.66x4.86x9.61x75.00x3.48x4.43x3.59x29.00x3.25x2.55x-89.00x-108.00x4.14x-9.50x1.36x-1.80x1.92x-0.15x1.90x
Interest Paid00000000000000000000
Taxes Paid00000000000000000000