KELLY SERVICES INCKELYB

Market cap
$752M
P/E ratio
20.7x
Jan 1,
2012
Dec 30,
2012
Dec 29,
2013
Dec 28,
2014
Jan 3,
2016
Jan 1,
2017
Dec 31,
2017
Dec 30,
2018
Dec 29,
2019
Jan 3,
2021
Jan 2,
2022
Jan 1,
2023
Dec 31,
2023
Net Income (Loss)64505924541217223112-72156-6236
Goodwill, Impairment Loss---------148-41-
Asset impairment charge------------2
Deferred income taxes-275-31-27-127-6-47-18-5722-72-25
Goodwill, Impairment Loss---------148-41-
Loss on disposal------------19-
Deferred income taxes-275-31-27-127-6-47-18-5722-72-25
Depreciation and amortization31-222022222123263224303334
Loss on disposal------------19-
Operating lease asset amortization----------211916
Depreciation and amortization31-222022222123263224303334
Provision for credit losses and sales allowances4-12541163413222
Operating lease asset amortization----------211916
Stock-based compensation5-5456898645810
Provision for credit losses and sales allowances4-12541163413222
(Gain) loss on investment in Persol Holdings----------122-67-
Stock-based compensation5-5456898645810
Loss on currency translation from liquidation of subsidiary------------20-
Gain on sale of equity securities-------------2
Gain on foreign currency remeasurement-----------6-
Unrealized loss on forward contract-------------4
Gain on insurance settlement----------19--
(Gain) loss on investment in Persol Holdings----------122-67-
Gain on sale of assets--------1232-6-
Loss on currency translation from liquidation of subsidiary------------20-
Equity in net earnings of PersolKelly Pte. Ltd.-----135-4151-
Gain on foreign currency remeasurement-----------6-
Other, net31-1254310-1-6-3-2
Gain on insurance settlement----------19--
Gain on sale of assets--------1232-6-
Equity in net earnings of PersolKelly Pte. Ltd.-----135-4151-
Other, net31-1254310-1-6-3-2
Changes in operating assets and liabilities, net of acquisitions5526-59974640294226-120101412
Net cash from (used in) operating activities1961115-702437716110218685-7677
Capital expenditures15222022171325262016111215
Proceeds from sale of assets--------1456-10-
Acquisition of companies, net of cash received7-----37-8639213143-
Cash disposed from sale of Russia, net of proceeds-----------6-
Proceeds from Sale of Equity Securities, FV-NI----------5197-
Proceeds from sale of equity method investment-----------120-
Proceeds from Life Insurance Policy-------832122-
Proceeds from insurance settlement----------19--
Proceeds from sale of Brazil, net of cash disposed-----23---1---
Proceeds from (Repayments of) Related Party Debt------1-7-466--
Proceeds from equity securities------------2
Proceeds from equity securities------------2
Other investing activities-0-1-000-00-1-0-1-11
Other investing activities-0-1-000-00-1-0-1-11
Net cash (used in) from investing activities-21-28-21-27-1810-61-30-9410-181168-14
Net change in short-term borrowings79-32-3664-35-5610-8-0-2-01-1
Financing lease payments--------12211
Dividend payments4888811121212341111
Payments of tax withholding for stock awards------2731112
Treasury Stock-----------8-
Common Stock-----------27-
Common Stock-----------27-
Treasury Stock------------42
Contingent consideration payments----------233
Other financing activities-10-000-0-0--1-0-0-0-0
Net cash used in financing activities6-39-4457-42-67-3-26-16-8-8-51-60
Effect of exchange rates on cash, cash equivalents and restricted cash--------2-19-522
Net change in cash, cash equivalents and restricted cash-------3-9197-109435