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Steel Dynamics, Inc. (STLD)
NasdaqGS - NasdaqGS Real Time Price. Currency in USD
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130.79
+1.14
(+0.88%)
At close: 04:00PM EDT
130.79
0.00
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After hours:
04:20PM EDT
Summary
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Statistics
Historical Data
Profile
Financials
Analysis
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Sustainability
Show
:
Income Statement
Balance Sheet
Cash Flow
Annual
Quarterly
Cash Flow
All numbers in thousands
Breakdown
ttm
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Cash flows from operating activities
Net Income
2,450,882
2,450,882
3,862,674
3,214,066
550,822
Depreciation & amortization
437,804
437,804
384,202
347,653
325,789
Deferred income taxes
55,665
55,665
37,186
322,007
47,808
Stock based compensation
61,744
61,744
59,240
57,715
55,598
Change in working capital
517,099
517,099
102,078
-1,766,813
-63,374
Accounts receivable
446,765
446,765
-110,560
-944,516
-111,920
Inventory
232,282
232,282
413,262
-1,685,834
-150,596
Accounts Payable
-30,148
-30,148
-289,042
557,735
182,509
Other working capital
1,862,023
1,862,023
3,551,501
1,197,897
-211,023
Other non-cash items
-19,716
-19,716
-1,795
-3,240
30,974
Net cash provided by operating activites
3,519,928
3,519,928
4,460,403
2,204,136
987,032
Cash flows from investing activities
Investments in property, plant and equipment
-1,657,905
-1,657,905
-908,902
-1,006,239
-1,198,055
Acquisitions, net
0
0
-222,480
0
0
Purchases of investments
-1,145,493
-1,145,493
-927,584
0
-149,359
Sales/Maturities of investments
1,054,742
1,054,742
297,950
0
411,533
Other investing activites
-221,593
-221,593
15,837
6,819
2,634
Net cash used for investing activites
-1,970,249
-1,970,249
-1,879,269
-999,420
-993,259
Cash flows from financing activities
Debt repayment
-1,367,553
-1,367,553
-1,507,475
-1,522,002
-2,177,527
Common stock repurchased
-1,452,203
-1,452,203
-1,800,905
-1,060,632
-106,529
Dividends Paid
-271,317
-271,317
-237,163
-212,968
-209,248
Other financing activites
-51,725
-51,725
-116,298
-50,423
-37,100
Net cash used privided by (used for) financing activities
-1,777,134
-1,777,134
-2,196,584
-1,329,469
-7,048
Net change in cash
-227,455
-227,455
384,550
-124,753
-13,275
Cash at beginning of period
1,633,919
1,633,919
1,249,369
1,374,122
1,387,397
Cash at end of period
1,406,464
1,406,464
1,633,919
1,249,369
1,374,122
Free Cash Flow
Operating Cash Flow
3,519,928
3,519,928
4,460,403
2,204,136
987,032
Capital Expenditure
-1,657,905
-1,657,905
-908,902
-1,006,239
-1,198,055
Free Cash Flow
1,862,023
1,862,023
3,551,501
1,197,897
-211,023
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