WEIS MARKETS INC

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Net Income (Loss) Attributable to Parent $87.2m $98.4m $62.7m $68.0m $118.9m $108.8m $125.2m $103.8m $109.9m $93.7m
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest $108.8m $125.2m $103.8m $109.9m $93.7m
Depreciation, Depletion and Amortization $66.5m $85.4m $93.6m $93.7m $99.4m $102.8m $104.0m $108.4m $113.9m $124.8m
Amortization of Intangible Assets $10.4m
Deferred Income Tax Expense (Benefit) $5.7m ($32.0m) $3.4m $5.8m $5.7m $12.3m ($852k) $5.0m ($5.3m) $18.8m
Gain (Loss) on Disposition of Intangible Assets $200k $0 $0 ($46k)
Gain (Loss) on Disposition of Property Plant Equipment ($1.4m) $700k ($1.3m) ($782k) ($3.9m) ($1.0m) $2.4m $46k $4.4m $7.8m
Income Tax Expense (Benefit) $37.5m ($19.4m) $19.4m $20.7m $44.8m $39.5m $35.6m $42.9m $40.3m $30.3m
Changes in operating assets and liabilities:
Additional Financial Items
Increase (Decrease) in Inventories $38.1m $2.7m $1.2m ($950k) ($10.8m) $563k $23.7m $2.9m $12.6m ($4.7m)
Accrued capital expenditures $142.1m $95.9m $95.7m $101.5m $131.0m $151.8m $122.2m $104.0m $161.3m $202.4m
Debt and Equity Securities, Realized Gain (Loss) $0 $1.6m ($2.0m) $1.8m $0 $1.3m $275k ($1.0m) ($1.3m)
Debt Securities, Available-for-sale, Realized Gain (Loss) $0 $1.6m ($2.0m) $1.8m $900k $1.3m $275k ($1.0m) $6.0m
Equity Securities, FV-NI, Unrealized Gain (Loss) $0 $2.0m ($1.8m) ($900k) ($1.3m) ($275k) $1.0m $1.3m
General and Administrative Expense $773.8m $850.0m $851.4m $853.6m $937.3m $969.0m $1.0b $1.0b $1.1b $1.1b
Goodwill $52.3m $52.3m $52.3m $52.3m $52.3m $52.3m $52.3m $52.3m $61.3m $65.7m
Nonoperating Income (Expense) ($3.0m) ($3.3m) ($3.4m) $3.8m ($3.7m) ($3.4m) ($4.4m)
Pension Cost (Reversal of Cost) $5.6m $6.8m
Unrealized Gain (Loss) on Investments ($1.1m) ($1.6m) ($135k) ($2.6m) ($2.3m) $5.7m ($2.8m) ($3.0m) ($2.1m)
Net Cash Provided by (Used in) Operating Activities $151.6m $165.8m $148.4m $171.7m $278.0m $227.7m $218.0m $201.6m $187.5m $207.2m
Cash flows from investing activities:
Payments to Acquire Property, Plant, and Equipment $142.1m $95.9m $95.7m $101.5m $131.0m $151.8m $122.2m $104.0m $161.3m $202.4m
Payments to Acquire Businesses, Net of Cash Acquired $63.6m $0 $0
Net Cash Provided by (Used in) Investing Activities ($186.7m) ($97.4m) ($91.0m) ($109.3m) ($174.9m) ($244.7m) ($111.1m) ($138.8m) ($144.8m) ($105.3m)
Cash flows from financing activities:
Proceeds from Issuance of Long-term Debt $64.5m
Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale $1.3m $8.4m $6.5m $6.0m $7.7m $19.7m $79.5m
Repayments of Long-term Debt $29.5m $35.0m $0 $0
Payments for Repurchase of Common Stock $140.0m
Payments of Ordinary Dividends, Common Stock $32.3m $32.3m $32.5m $33.4m $33.4m $33.6m $35.0m $36.6m $36.6m $35.1m
Payments of Dividends $32.3m $32.3m $32.5m $33.4m $33.4m $33.6m $35.0m $36.6m $36.6m $35.1m
Net Cash Provided by (Used in) Financing Activities $32.2m ($61.8m) ($67.5m) ($33.4m) ($33.4m) ($33.6m) ($35.0m) ($36.6m) ($36.6m) ($175.1m)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect ($2.9m) $6.7m ($10.1m) $29.1m $69.7m ($50.6m) $71.9m $26.2m $6.1m ($73.2m)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $86.0m $158.0m $184.2m $190.3m $117.1m
Supplemental disclosure of cash flow information:
Interest Paid, Excluding Capitalized Interest, Operating Activities $973k $383k $65k $34k $32k $40k $41k $45k $43k
Income Taxes Paid, Net $13.0m $6.5m $14.1m $42.3m $24.8m $37.4m $43.8m $43.1m $20.8m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.