OneMain Holdings, Inc.OMFCash flow

Market cap
$720.14M
P/E ratio
2013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Stock-based compensation146615221721131723313630
Cash from operations 6754007311,3261,5552,0462,3622,2122,2472,3872,5192,699
Cash from investing -2,1231,820-2,638-2-2,192-2,397-3,429-751-2,143-2,119-2,862-3,266
Payments for dividends ------4088061,274480487498
Repurchases of common stock-------453683036535
Repayments of term debt6,4354,6921,9608,3204,4475,4713,9616,7923,9215,1493,3283,687
Cash from financing 326-1,7721,968-1,685975441,521-370-1,810-326932161