Stifel Financial Corp. β Cash Flow Charts
65 quarters of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ-9.8% -$41M
$382M
Free Cash Flowβ-9.2% -$37M
$369M
Investing Cash Flowβ-136.2% -$649M
$-173M
Financing Cash Flowβ+182.1% +$846M
$1.31B
Capexβ-22.6% -$4M
$13M
Acquisitions
$3M
Stock Buybacksβ-17.6% -$8M
$38M
Dividends Paid
$7M
Debt Issuedβ-9.3% -$20M
$198M
Debt Repaid
$0