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WDFC WD-40

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  • 231.640
  • +4.300+1.89%
Close May 2 16:00 ET
  • 231.640
  • 0.0000.00%
Post 18:42 ET
3.14BMarket Cap36.94P/E (TTM)

WD-40 Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 28, 2025
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-55.62%7.98M
-44.53%14.93M
-6.46%92.03M
-36.42%27.21M
-42.47%19.93M
71.04%17.98M
157.89%26.92M
3,678.46%98.39M
947.15%42.8M
869.66%34.65M
Net income from continuing operations
92.14%29.85M
8.25%18.93M
5.53%69.64M
1.26%16.78M
5.01%19.84M
-5.99%15.54M
24.90%17.48M
-1.98%65.99M
12.10%16.58M
30.49%18.9M
Operating gains losses
-166.14%-338K
-240.53%-371K
97.71%-41K
75.00%-8K
-639.13%-170K
66.40%-127K
119.43%264K
-347.51%-1.79M
-105.12%-32K
-106.93%-23K
Depreciation and amortization
-17.96%1.99M
-8.23%2.08M
16.01%9.46M
2.62%2.27M
20.63%2.5M
23.07%2.42M
19.25%2.26M
-1.72%8.15M
2.69%2.21M
0.83%2.08M
Deferred tax
-14,219.77%-12.14M
-16.48%522K
7.81%-1.16M
-93.05%-1.7M
-13.16%-172K
117.37%86K
130.63%625K
-310.40%-1.25M
-303.71%-878K
24.75%-152K
Other non cash items
63.67%419K
629.82%416K
352.22%1.22M
884.48%571K
443.55%337K
--256K
--57K
-8.47%270K
--58K
--62K
Change In working capital
-507.73%-14.71M
-402.45%-9.39M
-76.26%4.63M
-67.58%7.73M
-129.37%-3.78M
75.92%-2.42M
143.21%3.1M
123.74%19.49M
197.44%23.83M
188.36%12.89M
-Change in receivables
118.37%1.83M
-110.15%-293K
-190.28%-15.5M
-92.57%273K
-1,390.80%-8.7M
20.57%-9.96M
1.37%2.89M
28.27%-5.34M
819.37%3.68M
-91.83%674K
-Change in inventory
-281.64%-5.86M
-165.59%-2.65M
-66.88%6.41M
-128.54%-2.72M
-86.63%1.87M
-68.10%3.23M
128.33%4.04M
136.36%19.37M
190.93%9.54M
162.76%13.99M
-Change in payables and accrued expense
-123.59%-1.75M
-17.37%-6.68M
177.80%13.2M
12.20%11.63M
93.89%-172K
455.74%7.44M
-703.24%-5.7M
159.96%4.75M
280.66%10.37M
-615.93%-2.82M
-Change in other current assets
-229.60%-7.89M
-946.76%-1.18M
11.79%-1.44M
-14.47%-1.26M
428.06%2.07M
56.48%-2.4M
-96.96%139K
87.28%-1.64M
85.65%-1.1M
144.29%392K
-Change in other current liabilities
-44.72%-1.04M
-19.15%1.41M
-13.34%1.99M
-114.08%-190K
76.26%1.16M
-1,061.29%-720K
398.28%1.74M
527.80%2.29M
5,965.22%1.35M
425.25%657K
-Change in other working capital
250.00%12K
275.00%14K
-171.43%-35K
-50.00%-9K
-100.00%-10K
-123.53%-8K
-130.77%-8K
253.13%49K
80.00%-6K
-66.67%-5K
Cash from discontinued investing activities
Operating cash flow
-55.62%7.98M
-44.53%14.93M
-6.46%92.03M
-36.42%27.21M
-42.47%19.93M
71.04%17.98M
157.89%26.92M
3,678.46%98.39M
947.15%42.8M
869.66%34.65M
Investing cash flow
Cash flow from continuing investing activities
-15.02%-1.23M
15.50%-567K
-56.61%-9.74M
68.45%-632K
-689.70%-7.36M
45.89%-1.07M
48.38%-671K
19.18%-6.22M
-110.18%-2M
70.57%-932K
Net PPE purchase and sale
-15.02%-1.23M
15.50%-567K
43.15%-3.53M
68.45%-632K
-24.36%-1.16M
45.89%-1.07M
48.38%-671K
19.18%-6.22M
-110.18%-2M
70.57%-932K
Net business purchase and sale
----
----
---6.2M
--0
----
----
----
--0
--0
----
Cash from discontinued investing activities
Investing cash flow
-15.02%-1.23M
15.50%-567K
-56.61%-9.74M
68.45%-632K
-689.70%-7.36M
45.89%-1.07M
48.38%-671K
19.18%-6.22M
-110.18%-2M
70.57%-932K
Financing cash flow
Cash flow from continuing financing activities
23.01%-8.54M
83.28%-4.1M
1.31%-83.94M
16.87%-25.79M
33.13%-22.56M
-39.42%-11.09M
-98.53%-24.5M
-123.75%-85.05M
-691.16%-31.02M
-3,300.20%-33.73M
Net issuance payments of debt
32.14%7.32M
242.10%14.37M
10.18%-26.2M
16.07%-13.81M
62.10%-7.82M
12.04%5.54M
-441.19%-10.11M
-177.60%-29.17M
-172.11%-16.46M
-247.96%-20.62M
Net common stock issuance
-5.71%-3.07M
-50.25%-3.63M
22.43%-8.09M
--0
-54.77%-2.78M
-85.15%-2.91M
40.72%-2.41M
64.21%-10.43M
55.66%-3M
57.56%-1.79M
Cash dividends paid
-6.71%-12.78M
-5.85%-11.96M
-5.88%-47.2M
-5.78%-11.96M
-5.75%-11.97M
-5.76%-11.98M
-6.23%-11.3M
-6.18%-44.58M
-5.96%-11.31M
-5.78%-11.32M
Net other financing activities
--0
-325.22%-2.88M
-183.28%-2.44M
92.72%-19K
--0
---1.74M
-13.00%-678K
80.70%-861K
-97.73%-261K
--0
Cash from discontinued financing activities
Financing cash flow
23.01%-8.54M
83.28%-4.1M
1.31%-83.94M
16.87%-25.79M
33.13%-22.56M
-39.42%-11.09M
-98.53%-24.5M
-123.75%-85.05M
-691.16%-31.02M
-3,300.20%-33.73M
Net cash flow
Beginning cash position
9.14%54.91M
-3.00%46.7M
27.22%48.14M
17.96%45.3M
45.93%55.44M
36.43%50.32M
27.22%48.14M
-55.98%37.84M
-5.87%38.4M
-12.30%37.99M
Current changes in cash
-130.79%-1.79M
488.98%10.27M
-122.97%-1.64M
-91.95%787K
-62,300.00%-9.98M
908.15%5.82M
154.38%1.74M
116.54%7.13M
1,390.75%9.77M
97.27%-16K
Effect of exchange rate changes
81.48%-128K
-575.87%-2.05M
-93.92%193K
2,074.19%612K
-137.24%-159K
-229.64%-691K
-80.79%431K
163.21%3.17M
98.59%-31K
122.04%427K
End cash Position
-4.42%53M
9.14%54.91M
-3.00%46.7M
-3.00%46.7M
17.96%45.3M
45.93%55.44M
36.43%50.32M
27.22%48.14M
27.22%48.14M
-5.87%38.4M
Free cash flow
-60.34%6.61M
-45.51%14.24M
-4.03%87.83M
-35.03%26.36M
-44.39%18.67M
98.52%16.67M
191.01%26.13M
1,705.90%91.52M
750.27%40.58M
10,455.66%33.57M
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
--
--
--
--
Unqualified Opinion
--
--
(Q2)Feb 28, 2025(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -55.62%7.98M-44.53%14.93M-6.46%92.03M-36.42%27.21M-42.47%19.93M71.04%17.98M157.89%26.92M3,678.46%98.39M947.15%42.8M869.66%34.65M
Net income from continuing operations 92.14%29.85M8.25%18.93M5.53%69.64M1.26%16.78M5.01%19.84M-5.99%15.54M24.90%17.48M-1.98%65.99M12.10%16.58M30.49%18.9M
Operating gains losses -166.14%-338K-240.53%-371K97.71%-41K75.00%-8K-639.13%-170K66.40%-127K119.43%264K-347.51%-1.79M-105.12%-32K-106.93%-23K
Depreciation and amortization -17.96%1.99M-8.23%2.08M16.01%9.46M2.62%2.27M20.63%2.5M23.07%2.42M19.25%2.26M-1.72%8.15M2.69%2.21M0.83%2.08M
Deferred tax -14,219.77%-12.14M-16.48%522K7.81%-1.16M-93.05%-1.7M-13.16%-172K117.37%86K130.63%625K-310.40%-1.25M-303.71%-878K24.75%-152K
Other non cash items 63.67%419K629.82%416K352.22%1.22M884.48%571K443.55%337K--256K--57K-8.47%270K--58K--62K
Change In working capital -507.73%-14.71M-402.45%-9.39M-76.26%4.63M-67.58%7.73M-129.37%-3.78M75.92%-2.42M143.21%3.1M123.74%19.49M197.44%23.83M188.36%12.89M
-Change in receivables 118.37%1.83M-110.15%-293K-190.28%-15.5M-92.57%273K-1,390.80%-8.7M20.57%-9.96M1.37%2.89M28.27%-5.34M819.37%3.68M-91.83%674K
-Change in inventory -281.64%-5.86M-165.59%-2.65M-66.88%6.41M-128.54%-2.72M-86.63%1.87M-68.10%3.23M128.33%4.04M136.36%19.37M190.93%9.54M162.76%13.99M
-Change in payables and accrued expense -123.59%-1.75M-17.37%-6.68M177.80%13.2M12.20%11.63M93.89%-172K455.74%7.44M-703.24%-5.7M159.96%4.75M280.66%10.37M-615.93%-2.82M
-Change in other current assets -229.60%-7.89M-946.76%-1.18M11.79%-1.44M-14.47%-1.26M428.06%2.07M56.48%-2.4M-96.96%139K87.28%-1.64M85.65%-1.1M144.29%392K
-Change in other current liabilities -44.72%-1.04M-19.15%1.41M-13.34%1.99M-114.08%-190K76.26%1.16M-1,061.29%-720K398.28%1.74M527.80%2.29M5,965.22%1.35M425.25%657K
-Change in other working capital 250.00%12K275.00%14K-171.43%-35K-50.00%-9K-100.00%-10K-123.53%-8K-130.77%-8K253.13%49K80.00%-6K-66.67%-5K
Cash from discontinued investing activities
Operating cash flow -55.62%7.98M-44.53%14.93M-6.46%92.03M-36.42%27.21M-42.47%19.93M71.04%17.98M157.89%26.92M3,678.46%98.39M947.15%42.8M869.66%34.65M
Investing cash flow
Cash flow from continuing investing activities -15.02%-1.23M15.50%-567K-56.61%-9.74M68.45%-632K-689.70%-7.36M45.89%-1.07M48.38%-671K19.18%-6.22M-110.18%-2M70.57%-932K
Net PPE purchase and sale -15.02%-1.23M15.50%-567K43.15%-3.53M68.45%-632K-24.36%-1.16M45.89%-1.07M48.38%-671K19.18%-6.22M-110.18%-2M70.57%-932K
Net business purchase and sale -----------6.2M--0--------------0--0----
Cash from discontinued investing activities
Investing cash flow -15.02%-1.23M15.50%-567K-56.61%-9.74M68.45%-632K-689.70%-7.36M45.89%-1.07M48.38%-671K19.18%-6.22M-110.18%-2M70.57%-932K
Financing cash flow
Cash flow from continuing financing activities 23.01%-8.54M83.28%-4.1M1.31%-83.94M16.87%-25.79M33.13%-22.56M-39.42%-11.09M-98.53%-24.5M-123.75%-85.05M-691.16%-31.02M-3,300.20%-33.73M
Net issuance payments of debt 32.14%7.32M242.10%14.37M10.18%-26.2M16.07%-13.81M62.10%-7.82M12.04%5.54M-441.19%-10.11M-177.60%-29.17M-172.11%-16.46M-247.96%-20.62M
Net common stock issuance -5.71%-3.07M-50.25%-3.63M22.43%-8.09M--0-54.77%-2.78M-85.15%-2.91M40.72%-2.41M64.21%-10.43M55.66%-3M57.56%-1.79M
Cash dividends paid -6.71%-12.78M-5.85%-11.96M-5.88%-47.2M-5.78%-11.96M-5.75%-11.97M-5.76%-11.98M-6.23%-11.3M-6.18%-44.58M-5.96%-11.31M-5.78%-11.32M
Net other financing activities --0-325.22%-2.88M-183.28%-2.44M92.72%-19K--0---1.74M-13.00%-678K80.70%-861K-97.73%-261K--0
Cash from discontinued financing activities
Financing cash flow 23.01%-8.54M83.28%-4.1M1.31%-83.94M16.87%-25.79M33.13%-22.56M-39.42%-11.09M-98.53%-24.5M-123.75%-85.05M-691.16%-31.02M-3,300.20%-33.73M
Net cash flow
Beginning cash position 9.14%54.91M-3.00%46.7M27.22%48.14M17.96%45.3M45.93%55.44M36.43%50.32M27.22%48.14M-55.98%37.84M-5.87%38.4M-12.30%37.99M
Current changes in cash -130.79%-1.79M488.98%10.27M-122.97%-1.64M-91.95%787K-62,300.00%-9.98M908.15%5.82M154.38%1.74M116.54%7.13M1,390.75%9.77M97.27%-16K
Effect of exchange rate changes 81.48%-128K-575.87%-2.05M-93.92%193K2,074.19%612K-137.24%-159K-229.64%-691K-80.79%431K163.21%3.17M98.59%-31K122.04%427K
End cash Position -4.42%53M9.14%54.91M-3.00%46.7M-3.00%46.7M17.96%45.3M45.93%55.44M36.43%50.32M27.22%48.14M27.22%48.14M-5.87%38.4M
Free cash flow -60.34%6.61M-45.51%14.24M-4.03%87.83M-35.03%26.36M-44.39%18.67M98.52%16.67M191.01%26.13M1,705.90%91.52M750.27%40.58M10,455.66%33.57M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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