Stifel Financial Corp. β Cash Flow Charts
18 years of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ+28.1% +$245M
$1.12B
Free Cash Flowβ+54.2% +$371M
$1.05B
Investing Cash Flowβ+76.8% +$5.35B
$-1.61B
Financing Cash Flowβ-98.4% -$5.70B
$91M
Capexβ-67.0% -$126M
$62M
Acquisitionsβ+3113.4% +$586M
$605M
Stock Buybacksβ+41.8% +$72M
$245M
Debt Repaid
$63M