COOPER COMPANIES, INC.COO

Market cap
$15.1B
P/E ratio
Oct 31,
2010
Oct 31,
2011
Oct 31,
2012
Oct 31,
2013
Oct 31,
2014
Oct 31,
2015
Oct 31,
2016
Oct 31,
2017
Oct 31,
2018
Oct 31,
2019
Oct 31,
2020
Oct 31,
2021
Oct 31,
2022
Oct 31,
2023
Oct 31,
2024
Net income1131752492972722052753731404672382,945386294392
Depreciation and amortization9498111125138191198188275281---368375
Share-based compensation expense101422293733303743353844546275
Non-cash operating lease expense----------3332324039
Asset Impairment Charges And Other-------------4943
Change in fair value of contingent consideration-----------66-10-32-
Deferred income taxes-2-4-7-17-166-11-73-16-1-2,5025445119
Accounts receivable-2535-055-2256056-8763460117
Inventories35175823837-12315376294010559
Other assets16-0823132351465-4041691789133
Operating lease right-of-use assets and liabilities, net-----------20-27-51-34-42
Accounts payable9514-6110-10253423-165069
Accrued liabilities219-12-134-119198133-95932724
Accrued income taxes0-4-12818-4-91049-1210-27-0-15
Other long-term liabilities----------32-12-22-34-620
Settlement of contingent consideration-------------52--
Net cash provided by operating activities268336315416455391510594669713487739692608709
Purchases of property, plant and equipment74104100178238243153127194292310214242393421
Acquisitions of businesses and assets, net of cash acquired, and other---------5954236--343
Proceeds from sale of interest in a subsidiary------------52--
Net cash used in investing activities-107-162-238-190-1,346-288-419-381-1,517-351-364-450-1,831-449-765
Proceeds from Issuance of Long-Term Debt5641,4171,2621,7672,5621,2011,5771,4142,7481,1373,2051,4281,5112,1243,524
Repayments of long-term debt7371,6811,2541,8141,6661,3721,4601,3651,9121,8623,2361,4165621,9543,507
Proceeds from (Repayments of) Short-Term Debt1221-6421-7185-132-21214525-7-321329-351-12
Repurchase of common stock--711677667-55-156482579--
Proceeds related to share-based compensation awards--55199----30143491556
Payments related to share-based compensation awards-------1621222013171330
Dividends on common stock33333333333333-
Proceeds from Stock Plans----------36788
Settlement of contingent consideration------------3--
Net cash provided (used in) by financing activities-162-173-68-162842-107-1-228844-351-95-3111,194-17439
Effect of exchange rate changes on cash, cash equivalents and restricted cash----------113-13-23
Net (decrease) increase in cash, cash equivalents and restricted cash---------9927-2042-18-13
Interest372611541424318275472849118135
Income taxes---------395163676878
Operating Lease, Payments------------454848
Operating lease ROU assets obtained in exchange for lease obligations------------304355