CINTAS CORPCTAS

Market cap
$71.4B
P/E ratio
53x
May 31,
2011
May 31,
2012
May 31,
2013
May 31,
2014
May 31,
2015
May 31,
2016
May 31,
2017
May 31,
2018
May 31,
2019
May 31,
2020
May 31,
2021
May 31,
2022
May 31,
2023
Net income2472983153744316944818438858761,1111,2361,348
Depreciation151156166168141150172215224236244249257
Amortization4338242314162564136143144150152
Stock-based compensation15202330477989113139115112109104
Gain on equity method investment transaction-----------30-
Net gain on sale of operating assets----------2212-
Long-lived asset impairment---------95--
Deferred income taxes--57-48-47-2159-4119-321642-52-23
Accounts receivable, net49244356153946695-4033100152
Inventories, net792-1111-241813607576-1636
Uniforms and other rental items in service5860441132696490-133611198
Prepaid expenses and other current assets and capitalized contract costs-13231-241610111010329132
Accounts payable29-132530-33-11435123-32353
Accrued compensation and related liabilities1212-131131414-915-26114-43
Accrued liabilities and other--2032543323-1423150-7-941
Income taxes, current-111215-7-1-29261234-49-334
Net cash provided by operating activities341----466--1,0681,2911,3611,5381,598
Capital expenditures183161196146218275273272277230143241331
Purchases of investments78586178661954941811541810465
Proceeds from Sale of Productive Assets---------133215-
Acquisitions of businesses, net of cash acquired172256933151572,1021910541016446
Other, net5-215-1-40-1851177
Net cash used in investing activities-299----128---236-285-137-403-389
(Payments) issuance of commercial paper, net--------50113-112-261-261
Proceeds from issuance of debt1,002-250---1,932-200--1,191-
Repayment of debt5021226810250550-200-1,20050
Proceeds from exercise of stock-based compensation awards-315424028324265911301183
Dividends paid72718093202115142176221268451375450
Repurchase of common stock444392216371552780211271,0164655541,526399
Other, net-510020-6-3-14-1-4-6-16
Net cash used in financing activities-20-----867---873-955-880-1,538-1,173
Effect of exchange rate changes on cash and cash equivalents---------1-25-0-3
Net increase (decrease) in cash and cash equivalents---------4249348-40334