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JSMNavient Corporation SR NT 6% 121543
$17.92$4.9B
Overview & Verdict
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Valuation & Forecasts
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HomeStocksJSMQuarterly Cash Flow

Navient Corporation SR NT 6% 121543 (JSM) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Navient Corporation SR NT 6% 121543 (JSM) quarterly cash flow statement — complete operating, investing & financing history

JSM Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash from Operations-47M174M70M126M71M8M-10M279M182M310M122M99M145M207M68M139M-109M168M201M154M
Operating CF Margin %-6.76%23.32%8.96%16.2%8.85%-61.54%-1.05%119.74%66.18%177.14%34.86%9.02%13.54%16.03%7.72%20.09%-30.36%12.66%30.45%23.3%
Operating CF Growth %-166.2%2075%800%-54.84%-60.99%-97.42%-108.2%181.82%25.52%49.76%79.41%-28.78%233.03%23.21%-66.17%-9.74%-160.89%-1.75%-9.05%8.45%
Net Income17M-5M-86M13M-2M24M-2M36M73M228M79M66M111M105M105M180M255M-11M173M185M
Depreciation & Amortization4M1M01M1M2M139M2M3M2M3M2M3M-3M10M3M4M5M4M5M
Stock-Based Compensation3M5M4M4M8M6M5M7M5M3M4M8M9M3M4M3M9M4M5M3M
Deferred Taxes0000000000049M3M93M59M33M0-2.62B02.62B
Other Non-Cash Items-71M124M164M129M27M32M187M47M-39M1M19M29M2M142M-107M-69M-313M-58M-70M-9M
Working Capital Changes049M-12M-21M37M-56M-339M187M140M76M17M-6M20M-40M56M22M-64M228M89M-30M
Change in Receivables0124M-72M20M52M7M-276M167M109M21M-2M-57M-12M-96M-63M-36M48M-41M55M-47M
Change in Inventory00000000000000000000
Change in Payables0-4M4M000-12M0000000000000
Cash from Investing691M747M559M745M661M907M1.96B3.27B2.33B2.02B1.66B1.83B1.85B3.77B2.86B2.21B1.75B1.56B894M1.33B
Capital Expenditures00000000000000000000
CapEx % of Revenue--------------------
Acquisitions--------------------
Investments00000000000000000000
Other Investing691M747M559M745M661M907M1.96B3.27B2.33B2.02B1.66B1.83B1.85B3.77B2.86B2.21B1.75B1.58B894M1.33B
Cash from Financing-617M-689M-834M-849M-780M-1.6B-3.16B-2.49B-2.36B-2.34B-2.25B-1.44B-4.02B-3.08B-2.45B-2.12B-2.01B-1.46B-1.55B-1.83B
Debt Issued (Net)--------------------
Equity Issued (Net)000-24M-35M81M-33M-38M-43M-70M-75M-80M-85M-85M-95M-105M-115M-150M-150M-200M
Dividends Paid-15M-15M-16M-16M-16M-17M-18M-17M-18M-19M-19M-19M-21M-22M-22M-23M-24M-25M-26M-27M
Share Repurchases-23M-26M-26M-24M-35M-65M-33M-38M-43M-70M-75M-80M-85M-85M-95M-105M-115M-150M-150M-200M
Other Financing-602M-674M-818M-121M-9M-6.83B22M276M155M-463M122M1.46B132M378M267M104M434M-346M452M-309M
Net Change in Cash27M232M-205M22M-48M-690M-1.21B1.06B155M-8M-467M490M-2.03B895M476M222M-364M267M-451M-340M
Free Cash Flow-47M174M70M126M71M8M-10M279M182M310M122M99M145M207M68M139M-109M168M201M154M
FCF Margin %-6.76%23.32%8.96%16.2%8.85%-61.54%-1.05%119.74%66.18%177.14%34.86%9.02%13.54%16.03%7.72%20.09%-30.36%12.66%30.45%23.3%
FCF Growth %-166.2%2075%800%-54.84%-60.99%-97.42%-108.2%181.82%25.52%49.76%79.41%-28.78%233.03%23.21%-66.17%-9.74%-160.89%-1.75%-9.05%8.45%
FCF per Share-0.491.780.711.260.700.07-0.092.491.602.701.010.791.121.540.480.95-0.711.071.200.87
FCF Conversion (FCF/Net Income)-2.76x-34.80x-0.81x9.00x-35.50x0.33x5.00x7.75x2.49x-11.07x1.54x1.50x1.31x1.97x0.65x0.77x-0.43x-15.27x1.16x0.83x
Interest Paid00000000000000000000
Taxes Paid00000000000000000000