JABIL INCJBL

Market cap
$23.2B
P/E ratio
Aug 31,
2012
Aug 31,
2013
Aug 31,
2014
Aug 31,
2015
Aug 31,
2016
Aug 31,
2017
Aug 31,
2018
Aug 31,
2019
Aug 31,
2020
Aug 31,
2021
Aug 31,
2022
Aug 31,
2023
Aug 31,
2024
Net income39637024228625512788289576989968181,388
Depreciation and amortization353418487529697760774772795876925924696
Restructuring and related charges--43419416-4415-1595
Share Based Compensation Expense And Related Charges-----49916183102819589
Deferred income taxes-12339112363-53-21-291313-8564
Gain from the divestiture of businesses------------942
Other, net----1-8-2014-37-22-13-10-1318
Accounts receivable23-1116293-12231316587136283878-267200
Contract assets-------878105-116214-17132
Inventories53-50-161483-68445499-483771,2761,725-370-1,179
Prepaid expenses and other current assets14283-83-113194-1977-2914490367214587
Other assets355-254303538114329-53-6
Accounts payable, accrued expenses and other liabilities22486-178985-867448159625931,3102,866-853106
Net cash provided by operating activities6341,2144991,2409161,2579341,1931,2571,4331,6511,7341,716
Acquisition of property, plant and equipment4987376249639247161,0371,0059831,1591,3851,030784
Proceeds from Sale of Property, Plant, and Equipment16161611626175350219187366544322123
Cash paid for business and intangible asset acquisitions, net of cash125650-1782423711015314750182990
Proceeds from Divestiture of Businesses--531--------502,108
Other, net----5--1-429-2243366
Net cash provided by (used in) investing activities-606-1,37461-1,121-1,180-579-798-872-921-851-858-7231,351
Proceeds from Other Debt9,2335,7646,1765,9676,9047,4349,67711,98612,7771,7243,7674,0471,992
Payments toward debt agreements8,7485,5876,4005,9886,4467,4799,20612,01312,5441,6133,8904,2042,103
Payments to acquire treasury stock71129260861483074503502154286964872,500
Dividends paid to stockholders65676863626058525050484542
Proceeds, Issuance of Shares, Share-Based Payment Arrangement, Including Option Exercised26181618212225273039455158
Treasury stock minimum tax withholding related to vesting of restricted stock---8111223122322443668
Other, net----3-4-2-13-1-40-63-22-6-5
Net cash used in financing activities317-23-577-163254-405-47-416-65-413-888-680-2,668
Effect of exchange rate changes on cash and cash equivalents---------4146-5-2
Net increase (decrease) in cash and cash equivalents--------230173-89326397
Interest paid, net of capitalized interest95103119119128131167186183124150211167
Income Taxes Paid, Net139129118144141188180168164211209319502