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5-day change | 1st Jan Change | ||
| 13.33 USD | +1.14% |
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-0.07% | -32.81% |
| 07-09 | Goldman Sachs Downgrades Mattel to Sell From Neutral, Cuts Price Target to $12 From $15 | MT |
| 06-29 | Mattel, Inc. Powers Up San Diego Comic-Con 2026 With Collectibles Available July 23, 2026 | CI |
| Fiscal Period: December | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|---|---|---|---|---|
Net Income | 903M | 394M | 214M | 542M | 398M | |||||
Depreciation & Amortization - CF | 146M | 145M | 139M | 137M | 136M | |||||
Amortization of Goodwill and Intangible Assets - (CF) | 38.04M | 37.6M | 37.89M | 31.31M | 31.51M | |||||
Depreciation & Amortization, Total | 184M | 182M | 177M | 168M | 168M | |||||
Amortization of Deferred Charges, Total - (CF) | - | - | 51.84M | 77.99M | 50.25M | |||||
(Gain) Loss From Sale Of Asset | -23.82M | -26.9M | 1.02M | -138K | - | |||||
Asset Writedown & Restructuring Costs | 9.69M | - | - | - | - | |||||
(Income) Loss On Equity Investments - (CF) | -11.84M | -25.43M | -18.42M | -24.94M | -27.87M | |||||
Stock-Based Compensation (CF) | 60.08M | 69.07M | 83.33M | 79.43M | 79.72M | |||||
Provision and Write-off of Bad Debts | 1.2M | 18.28M | -1.5M | 2.94M | - | |||||
Net Cash From Discontinued Operations | - | - | - | - | - | |||||
Other Operating Activities, Total | -342M | 180M | 240M | 24.92M | 18.96M | |||||
Change In Accounts Receivable | -85.6M | 198M | -198M | 21.37M | -60.49M | |||||
Change In Inventories | -331M | -204M | 261M | -24.52M | -56.63M | |||||
Change In Accounts Payable | 207M | -320M | 136M | 49.59M | 65.43M | |||||
Change in Other Net Operating Assets | -86.22M | -22M | -77.05M | -116M | -41.67M | |||||
Cash from Operations | 485M | 443M | 870M | 801M | 593M | |||||
Capital Expenditure | -151M | -187M | -160M | -203M | -182M | |||||
Sale of Property, Plant, and Equipment | 43.65M | 38.15M | 6.85M | 2.07M | - | |||||
Cash Acquisitions | - | - | - | - | - | |||||
Other Investing Activities, Total | 2.61M | 4.13M | 11.04M | 11.5M | 27.06M | |||||
Cash from Investing | -105M | -144M | -142M | -189M | -155M | |||||
Short Term Debt Issued, Total | - | - | - | - | - | |||||
Long-Term Debt Issued, Total | 1.18B | - | - | - | 592M | |||||
Total Debt Issued | 1.18B | - | - | - | 592M | |||||
Short Term Debt Repaid, Total | -969K | - | - | - | - | |||||
Long-Term Debt Repaid, Total | -1.58B | -250M | - | - | -600M | |||||
Total Debt Repaid | -1.58B | -250M | - | - | -600M | |||||
Issuance of Common Stock | - | 27.75M | 26.74M | 6.34M | 9.8M | |||||
Repurchase of Common Stock | - | -30.44M | -238M | -420M | -617M | |||||
Common Dividends Paid | - | - | - | - | - | |||||
Common & Preferred Stock Dividends Paid | - | - | - | - | - | |||||
Other Financing Activities, Total | -10.02M | -7.95M | -15.18M | -36.03M | -5.89M | |||||
Cash from Financing | -402M | -261M | -227M | -449M | -621M | |||||
Foreign Exchange Rate Adjustments | -9.11M | -8.1M | -678K | -35.63M | 37.26M | |||||
Net Change in Cash | -30.82M | 29.87M | 500M | 127M | -145M | |||||
Supplemental Items | ||||||||||
Cash Interest Paid | 210M | 129M | 118M | 114M | 116M | |||||
Cash Income Tax Paid (Refund) | 93.13M | 89.62M | 93.64M | 100M | 108M | |||||
Levered Free Cash Flow | 243M | 184M | 703M | 605M | 394M | |||||
Unlevered Free Cash Flow | 402M | 267M | 780M | 679M | 468M | |||||
Change In Net Working Capital | 159M | 237M | -260M | -97.72M | 14.88M | |||||
Net Debt Issued / Repaid | -392M | -250M | - | - | -7.62M |
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