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KBR KBR Inc

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  • 52.080
  • -0.440-0.84%
Close May 2 16:00 ET
  • 52.080
  • 0.0000.00%
Post 16:05 ET
6.76BMarket Cap18.67P/E (TTM)

KBR Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jan 3, 2025
(Q4)Jan 3, 2025
(Q3)Sep 27, 2024
(Q2)Jun 28, 2024
(Q1)Mar 29, 2024
(FY)Dec 29, 2023
(Q4)Dec 29, 2023
(Q3)Sep 29, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
462M
40M
502.50%161M
-32.81%170M
160.00%91M
-16.41%331M
38.33%83M
-132.79%-40M
102.40%253M
-60.67%35M
Net income from continuing operations
--381M
--78M
666.67%102M
130.57%107M
9.30%94M
-235.94%-261M
-77.89%21M
-124.66%-18M
-472.34%-350M
222.86%86M
Operating gains losses
---114M
---17M
34.38%-21M
-73.91%-40M
-56.52%-36M
-337.78%-107M
19.44%-29M
-540.00%-32M
28.13%-23M
-119.49%-23M
Depreciation and amortization
--156M
--44M
20.59%41M
2.94%35M
0.00%36M
2.92%141M
-2.63%37M
3.03%34M
3.03%34M
9.09%36M
Deferred tax
--1M
---22M
0.00%5M
40.00%7M
-21.43%11M
-62.16%14M
16.67%-10M
-68.75%5M
-70.59%5M
-12.50%14M
Other non cash items
---21M
--7M
42.42%-19M
-100.45%-2M
0.00%-7M
3,181.25%493M
2,000.00%84M
-450.00%-33M
3,841.67%449M
-250.00%-7M
Change In working capital
---104M
---90M
270.59%29M
-94.40%7M
47.37%-50M
64.62%-23M
33.33%-36M
-466.67%-17M
346.43%125M
-163.89%-95M
-Change in receivables
---97M
---62M
10.53%21M
--0
59.12%-56M
-97.18%12M
210.26%43M
-78.41%19M
1,187.50%87M
-135.68%-137M
-Change in payables and accrued expense
--142M
--16M
157.78%26M
533.33%57M
-41.89%43M
92.50%-27M
-201.56%-65M
-9.76%-45M
-85.00%9M
116.70%74M
-Change in other working capital
---149M
---44M
-300.00%-18M
-272.41%-50M
-15.63%-37M
93.85%-8M
82.28%-14M
118.00%9M
220.83%29M
-239.13%-32M
Cash from discontinued investing activities
Operating cash flow
--462M
--40M
502.50%161M
-32.81%170M
160.00%91M
-16.41%331M
38.33%83M
-132.79%-40M
102.40%253M
-60.67%35M
Investing cash flow
Cash flow from continuing investing activities
-776M
-25M
-3,350.00%-759M
95.24%-3M
-73.81%11M
-289.19%-70M
44.90%-27M
73.49%-22M
-140.13%-63M
250.00%42M
Net PPE purchase and sale
---77M
---23M
13.64%-19M
47.37%-10M
-31.58%-25M
-12.68%-80M
37.50%-20M
-10.00%-22M
-46.15%-19M
-216.67%-19M
Net business purchase and sale
---702M
--1M
---739M
--7M
-52.46%29M
-52.00%60M
---1M
--0
--0
6,200.00%61M
Net investment purchase and sale
---5M
--0
---5M
----
----
36.07%-39M
--0
--0
----
----
Net other investing changes
--8M
---3M
--4M
--0
--7M
-125.00%-11M
64.71%-6M
--0
----
----
Cash from discontinued investing activities
Investing cash flow
---776M
---25M
-3,350.00%-759M
95.24%-3M
-73.81%11M
-289.19%-70M
44.90%-27M
73.49%-22M
-140.13%-63M
250.00%42M
Financing cash flow
Cash flow from continuing financing activities
374M
-101M
610.48%633M
6.94%-67M
-68.52%-91M
10.03%-359M
0.00%-109M
-65.33%-124M
55.83%-72M
-3.85%-54M
Net issuance payments of debt
--745M
---28M
781.82%675M
5,500.00%56M
1,150.00%42M
-257.76%-415M
-4,371.43%-313M
-2,375.00%-99M
100.99%1M
0.00%-4M
Net common stock issuance
---218M
---51M
---9M
-27.63%-97M
0.00%-61M
32.02%-138M
98.81%-1M
--0
-90.00%-76M
-110.34%-61M
Cash dividends paid
---79M
---20M
-11.11%-20M
-10.53%-21M
-12.50%-18M
-9.09%-72M
-11.76%-19M
-5.88%-18M
-11.76%-19M
-6.67%-16M
Proceeds from stock option exercised by employees
---33M
--0
--0
--0
---33M
---217M
---116M
--0
---101M
--0
Net other financing activities
---41M
---2M
-85.71%-13M
-104.07%-5M
-177.78%-21M
3,550.00%483M
34,100.00%340M
-75.00%-7M
2,560.00%123M
775.00%27M
Cash from discontinued financing activities
Financing cash flow
--374M
---101M
610.48%633M
6.94%-67M
-68.52%-91M
10.03%-359M
0.00%-109M
-65.33%-124M
55.83%-72M
-3.85%-54M
Net cash flow
Beginning cash position
--304M
--462M
-23.19%414M
-24.52%314M
-21.85%304M
5.14%389M
-24.51%348M
4.46%539M
0.97%416M
5.14%389M
Current changes in cash
--60M
---86M
118.82%35M
-15.25%100M
-52.17%11M
-388.24%-98M
45.92%-53M
-416.67%-186M
-0.84%118M
-53.06%23M
Effect of exchange rate changes
---14M
---26M
360.00%13M
--0
-125.00%-1M
186.67%13M
-65.38%9M
73.68%-5M
133.33%5M
157.14%4M
End cash Position
--350M
--350M
32.76%462M
-23.19%414M
-24.52%314M
-21.85%304M
-21.85%304M
-24.51%348M
4.46%539M
0.97%416M
Free cash flow
--385M
--17M
329.03%142M
-31.62%160M
312.50%66M
-22.77%251M
125.00%63M
-160.78%-62M
108.93%234M
-80.72%16M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
--
--
--
--
--
(FY)Jan 3, 2025(Q4)Jan 3, 2025(Q3)Sep 27, 2024(Q2)Jun 28, 2024(Q1)Mar 29, 2024(FY)Dec 29, 2023(Q4)Dec 29, 2023(Q3)Sep 29, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 462M40M502.50%161M-32.81%170M160.00%91M-16.41%331M38.33%83M-132.79%-40M102.40%253M-60.67%35M
Net income from continuing operations --381M--78M666.67%102M130.57%107M9.30%94M-235.94%-261M-77.89%21M-124.66%-18M-472.34%-350M222.86%86M
Operating gains losses ---114M---17M34.38%-21M-73.91%-40M-56.52%-36M-337.78%-107M19.44%-29M-540.00%-32M28.13%-23M-119.49%-23M
Depreciation and amortization --156M--44M20.59%41M2.94%35M0.00%36M2.92%141M-2.63%37M3.03%34M3.03%34M9.09%36M
Deferred tax --1M---22M0.00%5M40.00%7M-21.43%11M-62.16%14M16.67%-10M-68.75%5M-70.59%5M-12.50%14M
Other non cash items ---21M--7M42.42%-19M-100.45%-2M0.00%-7M3,181.25%493M2,000.00%84M-450.00%-33M3,841.67%449M-250.00%-7M
Change In working capital ---104M---90M270.59%29M-94.40%7M47.37%-50M64.62%-23M33.33%-36M-466.67%-17M346.43%125M-163.89%-95M
-Change in receivables ---97M---62M10.53%21M--059.12%-56M-97.18%12M210.26%43M-78.41%19M1,187.50%87M-135.68%-137M
-Change in payables and accrued expense --142M--16M157.78%26M533.33%57M-41.89%43M92.50%-27M-201.56%-65M-9.76%-45M-85.00%9M116.70%74M
-Change in other working capital ---149M---44M-300.00%-18M-272.41%-50M-15.63%-37M93.85%-8M82.28%-14M118.00%9M220.83%29M-239.13%-32M
Cash from discontinued investing activities
Operating cash flow --462M--40M502.50%161M-32.81%170M160.00%91M-16.41%331M38.33%83M-132.79%-40M102.40%253M-60.67%35M
Investing cash flow
Cash flow from continuing investing activities -776M-25M-3,350.00%-759M95.24%-3M-73.81%11M-289.19%-70M44.90%-27M73.49%-22M-140.13%-63M250.00%42M
Net PPE purchase and sale ---77M---23M13.64%-19M47.37%-10M-31.58%-25M-12.68%-80M37.50%-20M-10.00%-22M-46.15%-19M-216.67%-19M
Net business purchase and sale ---702M--1M---739M--7M-52.46%29M-52.00%60M---1M--0--06,200.00%61M
Net investment purchase and sale ---5M--0---5M--------36.07%-39M--0--0--------
Net other investing changes --8M---3M--4M--0--7M-125.00%-11M64.71%-6M--0--------
Cash from discontinued investing activities
Investing cash flow ---776M---25M-3,350.00%-759M95.24%-3M-73.81%11M-289.19%-70M44.90%-27M73.49%-22M-140.13%-63M250.00%42M
Financing cash flow
Cash flow from continuing financing activities 374M-101M610.48%633M6.94%-67M-68.52%-91M10.03%-359M0.00%-109M-65.33%-124M55.83%-72M-3.85%-54M
Net issuance payments of debt --745M---28M781.82%675M5,500.00%56M1,150.00%42M-257.76%-415M-4,371.43%-313M-2,375.00%-99M100.99%1M0.00%-4M
Net common stock issuance ---218M---51M---9M-27.63%-97M0.00%-61M32.02%-138M98.81%-1M--0-90.00%-76M-110.34%-61M
Cash dividends paid ---79M---20M-11.11%-20M-10.53%-21M-12.50%-18M-9.09%-72M-11.76%-19M-5.88%-18M-11.76%-19M-6.67%-16M
Proceeds from stock option exercised by employees ---33M--0--0--0---33M---217M---116M--0---101M--0
Net other financing activities ---41M---2M-85.71%-13M-104.07%-5M-177.78%-21M3,550.00%483M34,100.00%340M-75.00%-7M2,560.00%123M775.00%27M
Cash from discontinued financing activities
Financing cash flow --374M---101M610.48%633M6.94%-67M-68.52%-91M10.03%-359M0.00%-109M-65.33%-124M55.83%-72M-3.85%-54M
Net cash flow
Beginning cash position --304M--462M-23.19%414M-24.52%314M-21.85%304M5.14%389M-24.51%348M4.46%539M0.97%416M5.14%389M
Current changes in cash --60M---86M118.82%35M-15.25%100M-52.17%11M-388.24%-98M45.92%-53M-416.67%-186M-0.84%118M-53.06%23M
Effect of exchange rate changes ---14M---26M360.00%13M--0-125.00%-1M186.67%13M-65.38%9M73.68%-5M133.33%5M157.14%4M
End cash Position --350M--350M32.76%462M-23.19%414M-24.52%314M-21.85%304M-21.85%304M-24.51%348M4.46%539M0.97%416M
Free cash flow --385M--17M329.03%142M-31.62%160M312.50%66M-22.77%251M125.00%63M-160.78%-62M108.93%234M-80.72%16M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

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