MSC INDUSTRIAL DIRECT CO INCMSM

Market cap
$4.6B
P/E ratio
Sep 1,
2012
Aug 31,
2013
Aug 30,
2014
Aug 29,
2015
Sep 3,
2016
Sep 2,
2017
Sep 1,
2018
Aug 31,
2019
Aug 29,
2020
Aug 28,
2021
Sep 3,
2022
Sep 2,
2023
Net income-------289252218340343
Depreciation and amortization354965707263636569697075
Non-cash operating lease cost--------23191721
Stock-based compensation151617141414151617181919
Disposal Of Property Plant And Equipment-----------1-
Sale Of Property----------10-
Loss on disposal of property, plant and equipment----------10-1
Inventory write-down---------30--
Restructuring Costs and Asset Impairment Charges---------16--
Inventory write-down---------30--
Non-cash changes in fair value of estimated contingent consideration----------1-0
Restructuring Costs and Asset Impairment Charges---------16--
Provision for credit losses4357777111181010
Non-cash changes in fair value of estimated contingent consideration----------1-0
Deferred Income Taxes and Tax Credits3612151513-20148-14117
Provision for credit losses4357777111181010
Deferred Income Taxes and Tax Credits3612151513-20148-14117
Accounts receivable30164129-3725027-3773124-248
Inventories45-233059-61163333-16107815
Prepaid expenses and other current assets726-16758121077
Operating lease liabilities-----------17-21
Other assets-12-21-0-1-12-3121
Accounts payable and accrued liabilities412184512312-6842010
Total adjustments-258736181701510401457-94356
Accounts receivable30164129-3725027-3773124-248
Inventories45-233059-61163333-16107815
Prepaid expenses and other current assets726-16758121077
Operating lease liabilities-----------17-21
Other assets-12-21-0-1-12-3121
Accounts payable and accrued liabilities412184512312-6842010
Total adjustments-258736181701510401457-94356
Net cash provided by operating activities234325----340328397224246700
Net cash provided by operating activities234325----340328397224246700
Expenditures for property, plant and equipment488971518847455247546192
Cash used in business acquisitions, net of cash acquired33549-1--4287122225820
Net proceeds from sale of property----------25-
Net cash used in investing activities-81-638-----132-36-49-76-94-113
Repurchases of Class A Common Stock484191333844982853712796
Payments of regular cash dividends---99106102125146167167167177
Payments of special cash dividends---185----278195--
Proceeds from Stock Plans344444454444
Proceeds from Stock Options Exercised22222011727241614303529
Proceeds from Lines of Credit-3701353363055462423821,012584374333
Payments under credit facilities---------399365548
Proceeds from Noncontrolling Interests-------100--
Proceeds from other long-term debt--------1005--
Payments under Shelf Facility Agreements and Private Placement Debt--------2020-125
Payments on finance lease and financing obligations112211-282322
Other, net--11---011-011
Net cash used in financing activities-81200-----178-306-255-234-148-580
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations-----------10
Net increase (decrease) in cash and cash equivalents--------1493-8537
Income Taxes Paid146130129123128122101796973117107
Cash paid for interest-----12131715141722
Net income-------289252218340343
Depreciation and amortization354965707263636569697075
Non-cash operating lease cost--------23191721
Stock-based compensation151617141414151617181919
Disposal Of Property Plant And Equipment-----------1-
Sale Of Property----------10-
Loss on disposal of property, plant and equipment----------10-1
Inventory write-down---------30--
Restructuring Costs and Asset Impairment Charges---------16--
Inventory write-down---------30--
Non-cash changes in fair value of estimated contingent consideration----------1-0
Restructuring Costs and Asset Impairment Charges---------16--
Provision for credit losses4357777111181010
Non-cash changes in fair value of estimated contingent consideration----------1-0
Deferred Income Taxes and Tax Credits3612151513-20148-14117
Provision for credit losses4357777111181010
Deferred Income Taxes and Tax Credits3612151513-20148-14117
Accounts receivable30164129-3725027-3773124-248
Inventories45-233059-61163333-16107815
Prepaid expenses and other current assets726-16758121077
Operating lease liabilities-----------17-21
Other assets-12-21-0-1-12-3121
Accounts payable and accrued liabilities412184512312-6842010
Total adjustments-258736181701510401457-94356
Accounts receivable30164129-3725027-3773124-248
Inventories45-233059-61163333-16107815
Prepaid expenses and other current assets726-16758121077
Operating lease liabilities-----------17-21
Other assets-12-21-0-1-12-3121
Accounts payable and accrued liabilities412184512312-6842010
Total adjustments-258736181701510401457-94356
Net cash provided by operating activities234325----340328397224246700
Net cash provided by operating activities234325----340328397224246700
Expenditures for property, plant and equipment488971518847455247546192
Cash used in business acquisitions, net of cash acquired33549-1--4287122225820
Net proceeds from sale of property----------25-
Net cash used in investing activities-81-638-----132-36-49-76-94-113
Repurchases of Class A Common Stock484191333844982853712796
Payments of regular cash dividends---99106102125146167167167177
Payments of special cash dividends---185----278195--
Proceeds from Stock Plans344444454444
Proceeds from Stock Options Exercised22222011727241614303529
Proceeds from Lines of Credit-3701353363055462423821,012584374333
Payments under credit facilities---------399365548
Proceeds from Noncontrolling Interests-------100--
Proceeds from other long-term debt--------1005--
Payments under Shelf Facility Agreements and Private Placement Debt--------2020-125
Payments on finance lease and financing obligations112211-282322
Other, net--11---011-011
Net cash used in financing activities-81200-----178-306-255-234-148-580
Effect of foreign exchange rate changes on cash and cash equivalents-----------10
Net increase (decrease) in cash and cash equivalents--------1493-8537
Income Taxes Paid146130129123128122101796973117107
Cash paid for interest-----12131715141722