Paychex, Inc.

PAYX · NASDAQ
Analyze with AI
5/31/2025
5/31/2024
5/31/2023
5/31/2022
Operating Activities
Net Income$1,657,300$1,690,400$1,557,300$1,392,800
Dep. & Amort.$209,500$176,500$176,600$191,800
Deferred Tax-$15,800-$29,800-$44,000$2,300
Stock-Based Comp.$111,800$61,100$62,600$52,800
Change in WC-$280,700-$280,400-$317,900-$368,400
Other Non-Cash$269,000$279,900$264,800$234,200
Operating Cash Flow$1,951,100$1,897,700$1,699,400$1,505,500
Investing Activities
PP&E Inv.-$191,800-$191,500-$143,000-$132,600
Net Acquisitions-$3,287,400-$208,300-$2,700-$24,900
Inv. Purchases-$14,302,900-$6,868,500-$14,585,300-$17,807,700
Inv. Sales/Matur.$14,292,500$7,161,200$14,943,200$16,554,900
Other Inv. Act.-$187,100-$153,800$6,300-$10,600
Investing Cash Flow-$3,676,700-$260,900$218,500-$1,420,900
Financing Activities
Debt Repay.$4,133,100$9,000$2,000$1,300
Stock Issued$3,800$0$0$0
Stock Repurch.-$104,500-$169,200$0-$145,200
Dividends Paid-$1,448,500-$1,315,300-$1,175,000-$999,600
Other Fin. Act.-$21,000-$399,200$461,600$164,200
Financing Cash Flow$2,562,900-$1,874,700-$711,400-$979,300
Forex Effect$0$0$0$0
Net Chg. in Cash$837,300-$237,900$1,206,500-$894,700
Supplemental Information
Beg. Cash$1,897,000$2,134,900$928,400$1,823,100
End Cash$2,734,300$1,897,000$2,134,900$928,400
Free Cash Flow$1,759,300$1,736,300$1,556,400$1,372,900