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KBR, Inc.

KBR Stock Analysis

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Breakdown
2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
Net Income
-1.198b226.000M-51.000m442.000M310.000M209.000M-51.000m26.000M192.000M-265.000m
Depreciation & Amortization
72.000M39.000M45.000M48.000M63.000M104.000M115.000M146.000M137.000M141.000M
Change in Working Capital
247.000M-176.000m73.000M-134.000m-160.000m-104.000m159.000M-169.000m-65.000m-70.000m
Operating Cash Flow
170.000M47.000M61.000M193.000M165.000M256.000M367.000M278.000M396.000M331.000M
Capital Expenditure
-53.000m-10.000m-11.000m-8.000m-17.000m-20.000m-20.000m-37.000m-71.000m-80.000m
Free Cash Flow
117.000M37.000M50.000M185.000M148.000M236.000M347.000M241.000M325.000M251.000M
Debt Repayment
-11.000m-11.000m-59.000m-189.000m-820.000m-70.000m-281.000m-44.000m-122.000m-415.000m
Dividends Paid
-47.000m-47.000m-46.000m-45.000m-44.000m-46.000m-54.000m-61.000m-66.000m-72.000m
Common Stock Issued
4.000M1.000M700.000M0.0002.000M5.000M4.000M12.000M5.000M5.000M
Common Stock Repurchased
-106.000m-62.000m-4.000m-53.000m-3.000m-4.000m-51.000m-82.000m-203.000m-138.000m
Net Change in Cash
-136.000m-87.000m-347.000m-97.000m300.000M-27.000m-276.000m-66.000m19.000M-85.000m