Wolverine World Wide Cash Flow Statement 2009-2024 | WWW

Fifteen years of historical annual cash flow statements for Wolverine World Wide (WWW).

Annual Data | Millions of US $ except per share data

Metric Name
Net Income/Loss
Total Depreciation And Amortization - Cash Flow
Other Non-Cash Items
Total Non-Cash Items
Change In Accounts Receivable
Change In Inventories
Change In Accounts Payable
Change In Assets/Liabilities
Total Change In Assets/Liabilities
Cash Flow From Operating Activities
Net Change In Property, Plant, And Equipment
Net Change In Intangible Assets
Net Acquisitions/Divestitures
Net Change In Short-term Investments
Net Change In Long-Term Investments
Net Change In Investments - Total
Investing Activities - Other
Cash Flow From Investing Activities
Net Long-Term Debt
Net Current Debt
Debt Issuance/Retirement Net - Total
Net Common Equity Issued/Repurchased
Net Total Equity Issued/Repurchased
Total Common And Preferred Stock Dividends Paid
Financial Activities - Other
Cash Flow From Financial Activities
Net Cash Flow
Stock-Based Compensation
Common Stock Dividends Paid
202320222021202020192018201720162015201420132012201120102009
$-39.20$-189.10$67.00$-138.60$129$200$-0.70$87.50$123$134$101$80.80$123$104$61.91
$35.10$34.60$33.20$32.80$32.70$31.50$37.20$43.50$48.70$53.30$56.20$27.70$15.90$16.20$17.62
$-42.10$250$75.00$227$58.30$3.60$52.90$67.30$41.90$40.50$47.60$6.90$14.50$12.01$20.94
$-7.00$285$108$260$91.00$35.10$90.10$111$90.60$93.80$104$34.60$30.40$28.21$38.56
$2.80$84.50$-49.20$64.80$30.70$-95.00$-2.70$32.30$5.80$76.50$-41.30$15.10$-24.80$-32.47$9.82
$287$-428.90$-77.20$107$-23.80$-44.50$45.40$110$-68.80$2.90$35.10$-29.40$-25.10$-49.08$44.50
$-65.60$62.60$23.00$-18.90$0$40.60$11.20$-50.40$52.90$16.20$-26.50$5.90$-7.10$21.67$-7.33
$-53.40$5.00$13.40$35.30$-7.80$-37.10$13.30$5.10$13.00$-8.70$30.20$-15.40$-18.00$6.95$8.33
$168$-274.40$-88.40$188$2.70$-137.90$113$98.00$1.70$86.90$-2.50$-23.80$-74.90$-64.82$68.14
$122$-178.90$86.80$309$223$97.50$203$296$216$315$202$91.60$78.80$67.87$169
$-14.60$-36.50$-17.60$-10.30$-34.40$-21.70$-32.40$-55.30$-46.40$-30.00$-38.90$-14.90$-19.30$-14.61$-11.67
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$189$90.00$-417.40$-5.50$-15.10$2.20$38.60$7.80$0$0$0$-1,225.90$0$0$-7.95
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$0$-2.80$0$-3.50$-8.50$0$-2.10$-0.50$0$-1.10$-2.50$-2.90$0$0$0
$0$-2.80$0$-3.50$-8.50$0$-2.10$-0.50$0$-1.10$-2.50$-2.90$0$0$0
$-2.70$3.90$-2.30$25.40$-3.50$-2.70$-5.10$9.60$-3.60$-3.70$-3.30$-2.40$-3.30$-2.42$-2.68
$172$54.60$-437.30$6.10$-61.50$-22.20$-1.00$-38.40$-50.00$-34.80$-44.70$-1,246.10$-22.60$-17.04$-22.30
$-118.30$-10.00$20.00$288$-7.50$-338.20$-37.50$6.20$-80.90$-249.80$-100.00$1,250$-0.50$-0.54$-0.01
$-120.00$200$225$-360.00$235$125$-2.60$3.10$0$0$0$-11.00$11.00$0$-59.50
$-238.30$190$245$-72.50$228$-213.70$-40.10$9.30$-80.90$-249.80$-100.00$1,239$10.50$-0.54$-59.51
$0.10$-79.90$-22.50$-11.20$-307.00$-150.70$-30.10$-50.20$-87.00$-3.20$7.80$-2.50$-53.40$-38.56$1.30
$0.10$-79.90$-22.50$-11.20$-307.00$-150.70$-30.10$-50.20$-87.00$-3.20$7.80$-2.50$-53.40$-38.56$1.30
$-32.60$-32.80$-33.50$-33.60$-33.60$-28.60$-23.00$-23.50$-24.40$-24.00$-23.70$-23.60$-22.70$-21.41$-21.50
$24.50$29.80$-19.70$-36.70$-11.50$-11.50$-4.80$-15.10$5.00$6.60$3.10$-29.00$3.30$1.36$0.46
$-246.30$107$169$-154.00$-124.60$-404.50$-98.00$-79.50$-187.30$-270.40$-112.80$1,183$-62.30$-59.15$-79.24
$49.10$-26.20$-185.70$167$37.50$-337.90$111$176$-29.70$9.60$42.80$31.40$-10.40$-10.04$70.94
$15.20$33.40$38.10$28.90$24.50$31.20$25.40$22.80$18.70$25.10$28.20$15.00$14.10$11.54$8.94
$-32.60$-32.80$-33.50$-33.60$-33.60$-28.60$-23.00$-23.50$-24.40$-24.00$-23.70$-23.60$-22.70$-21.41$-21.50