DICK'S SPORTING GOODS, INC.DKS

Market cap
$17.1B
P/E ratio
Jan 29,
2011
Jan 28,
2012
Feb 2,
2013
Feb 1,
2014
Jan 31,
2015
Jan 30,
2016
Jan 28,
2017
Feb 3,
2018
Feb 2,
2019
Feb 1,
2020
Jan 30,
2021
Jan 29,
2022
Jan 28,
2023
Net income-2642913383443302873233202975301,5201,043
Depreciation and amortization110117125155179194234238244270326323365
Amortization of Debt Issuance Costs and Discounts----------22314
Deferred income taxes1825-225-69-4542-5-1-461623
Stock-based compensation25243227262934364243505351
Other, net--1-0-1-1-1-1-5-1----15
Accounts receivable-93410-2640-16-0-2-214
Inventories111881136159136857294378-249344533
Prepaid expenses and other assets29981121229-11-6-41610
Accounts payable-274-1412813460125126941993814
Accrued expenses24-21-6-71656414213810861-74
Income taxes payable / receivable125592-1332726-398-930-2312
Deferred Construction Allowances112729481021661801022838574036
Deferred revenue and other liabilities23101202439192-410582123
Operating lease assets and liabilities----------3610434
Net cash provided by operating activities390--------4051,5531,617922
Capital expenditures159202219286349370422474198217224308364
Proceeds from sale of other assets---1175------1014
Deposits and other investing activities----------04543
Net cash used in investing activities-161---------129-224-344-393
Revolving credit borrowings----1,4021,3382,1602,7431,8752,2641,292--
Revolving credit repayments----1,4021,3382,1602,7431,8752,0391,516--
Proceeds from Convertible Debt----------575--
Repayments of Convertible Debt------------516
Payments for purchase of bond hedges----------161--
Proceeds from issuance of warrants----------105--
Transaction costs for debt issuance----------1715-
Proceeds from Issuance of Unsecured Debt-----------1,497-
Payments on finance lease obligations-1-1-145-9-1-1-1-3-5-57-1-1-1
Proceeds from Stock Options Exercised5333784326213117-6382624
Minimum tax withholding requirements-461388765943344
Cash paid for treasury stock-1199256200357146285323402-1,145458
Cash dividends paid to stockholders-6030764616568738998107603163
(Decrease) increase in bank overdraft--101044-292917-37-791857-15-89
Net cash (used in) provided by financing activities92---------320260-288-1,248
EFFECT OF EXCHANGE RATE CHANGES ON CASH AND CASH EQUIVALENTS----------0-0-0
NET (DECREASE) INCREASE IN CASH AND CASH EQUIVALENTS----------1,589985-719
Accrued property and equipment962441434370301933273630
Cash paid during the fiscal year for interest---------16212369
Income Taxes Paid8585117206187187197186114124203488307
Accrued treasury stock-----------32-