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Franklin Electric Company (FELE)

Franklin Electric Company (FELE)
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[[ session ]] by (Cboe BZX)
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2025 12-2024 12-2023 12-2022 12-2021
Cash Flows From Operating Activities
Net Income 148,694 181,609 194,734 188,811 154,975
Depreciation Amortization 62,875 56,073 52,260 50,374 44,572
Income taxes - deferred -7,644 -19,648 -1,609 -1,230 126
Accounts receivable 11,417 -17,045 19,150 -44,800 -31,925
Other Working Capital -49,385 3,499 29,472 -173,181 -90,967
Other Operating Activity 72,921 56,865 21,703 81,700 52,982
Operating Cash Flow $238,878 $261,353 $315,710 $101,674 $129,763
Cash Flows From Investing Activities
PPE Investments -42,481 -40,500 -39,921 -41,897 -29,137
Net Acquisitions -114,664 -5,201 -34,831 -1,186 -235,701
Other Investing Activity 20 73 463 9 33
Investing Cash Flow $-157,125 $-45,628 $-74,289 $-43,074 $-264,805
Cash Flows From Financing Activities
Debt Issued 600,208 309,747 443,217 477,558 321,299
Debt Repayment -581,514 -280,512 -558,746 -448,622 -226,583
Common Stock Issued 5,321 7,204 9,193 3,859 15,524
Common Stock Repurchased -165,623 -61,041 -43,332 -40,490 -25,949
Dividend Paid -49,999 -46,876 -41,723 -36,991 -33,398
Other Financing Activity -5,699 -2,591 -802 -3,786 0
Financing Cash Flow $-197,306 $-74,069 $-192,193 $-48,472 $50,893
Exchange Rate Effect -5,325 -6,079 -10,055 -4,874 -6,102
Beginning Cash Position 220,540 84,963 45,790 40,536 130,787
End Cash Position 99,662 220,540 84,963 45,790 40,536
Net Cash Flow $-120,878 $135,577 $39,173 $5,254 $-90,251
Free Cash Flow
Operating Cash Flow 238,878 261,353 315,710 101,674 129,763
Capital Expenditure -45,337 -41,682 -41,415 -41,903 -30,116
Free Cash Flow 193,541 219,671 274,295 59,771 99,647
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