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OXM Oxford Industries

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  • 83.175
  • -1.795-2.11%
Trading Jan 23 12:54 ET
1.31BMarket Cap84.02P/E (TTM)

Oxford Industries Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 2, 2024
(Q2)Aug 3, 2024
(Q1)May 4, 2024
(FY)Jan 29, 2024
(Q4)Jan 29, 2024
(Q3)Oct 28, 2023
(Q2)Jul 29, 2023
(Q1)Apr 29, 2023
(FY)Jan 28, 2023
(Q4)Jan 28, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-207.78%-18.21M
-11.13%88.82M
-37.36%32.92M
94.48%244.28M
90.28%74.89M
486.33%16.9M
46.65%99.94M
133.79%52.56M
-36.56%125.61M
-3.83%39.36M
Net income from continuing operations
-136.51%-3.94M
-21.01%40.64M
-34.45%38.37M
-63.37%60.7M
-287.43%-60.07M
-45.17%10.78M
-9.11%51.45M
1.97%58.54M
26.21%165.74M
26.14%32.05M
Operating gains losses
----
----
----
-192.67%-1.76M
--0
--0
--0
---1.76M
95.79%-600K
----
Depreciation and amortization
7.40%17.21M
8.26%16.55M
9.02%16.54M
34.58%64.07M
24.23%17.59M
26.78%16.02M
43.92%15.29M
48.89%15.17M
19.19%47.61M
32.43%14.16M
Deferred tax
-37.58%3.12M
75.02%-801K
30.11%6.06M
-1,179.59%-23.89M
-2,050.11%-30.34M
316.07%5M
-244.73%-3.21M
740.58%4.66M
-146.05%-1.87M
-250.27%-1.41M
Other non cash items
-1.03%96K
1.04%97K
-64.71%96K
65.41%569K
20.93%104K
12.79%97K
11.63%96K
216.28%272K
-77.55%344K
-82.38%86K
Change In working capital
-110.35%-38.97M
-13.30%27.8M
-16.72%-32.2M
116.31%15.92M
428.00%29.97M
54.27%-18.52M
4,275.00%32.06M
41.56%-27.59M
-481.75%-97.61M
-539.91%-9.14M
-Change in receivables
-11,288.17%-10.59M
-5.03%24.67M
34.85%-24.46M
-800.06%-15.1M
-117.57%-3.44M
98.43%-93K
9.81%25.97M
3.70%-37.54M
5.09%-1.68M
54.27%19.56M
-Change in inventory
-500.66%-14.63M
-74.26%4.62M
-62.11%15.15M
179.16%62.51M
101.91%909K
127.11%3.65M
240.17%17.96M
891.20%39.99M
-1,568.32%-78.97M
-75.34%-47.63M
-Change in prepaid assets
51.35%-4.23M
-2,542.34%-7.24M
538.96%4.05M
61.46%-4.93M
147.64%3.41M
-247.48%-8.7M
93.73%-274K
108.84%634K
-1,339.03%-12.79M
-404.34%-7.15M
-Change in other current assets
----
----
----
-277.19%-25.22M
----
----
----
----
-62.08%14.23M
----
-Change in other current liabilities
22.95%-11.56M
136.14%4.27M
44.47%-15.37M
92.78%-1.33M
993.17%53.14M
32.85%-15M
-165.95%-11.8M
-891.05%-27.67M
-25.37%-18.41M
119.41%4.86M
-Change in other working capital
26.49%2.04M
621.36%1.49M
-286.99%-11.58M
----
----
134.28%1.61M
107.35%206K
-680.78%-2.99M
----
----
Cash from discontinued investing activities
Operating cash flow
-207.78%-18.21M
-11.13%88.82M
-37.36%32.92M
94.48%244.28M
90.28%74.89M
486.33%16.9M
46.65%99.94M
133.79%52.56M
-36.56%125.61M
-3.83%39.36M
Investing cash flow
Cash flow from continuing investing activities
-72.06%-39.72M
-145.63%-42.01M
21.89%-12.13M
44.66%-83.98M
-28.17%-28.26M
80.75%-23.09M
43.95%-17.1M
-174.97%-15.53M
16.43%-151.75M
-15.88%-22.05M
Net PPE purchase and sale
-67.73%-38.72M
-182.30%-41.63M
18.18%-11.89M
-54.22%-71.97M
-36.72%-19.6M
-83.44%-23.09M
-40.91%-14.75M
-56.65%-14.54M
-169.63%-46.67M
-283.24%-14.34M
Net business purchase and sale
--0
96.77%-75K
75.93%-240K
95.46%-11.98M
-108,287.50%-8.66M
--0
---2.32M
---997K
---263.65M
100.05%8K
Net investment purchase and sale
----
----
----
--0
----
----
----
----
199.91%164.85M
100.10%15K
Net other investing changes
---1M
----
----
99.47%-33K
--0
--0
----
----
-953.67%-6.28M
-382.64%-7.73M
Cash from discontinued investing activities
Investing cash flow
-72.06%-39.72M
-145.63%-42.01M
21.89%-12.13M
44.66%-83.98M
-28.17%-28.26M
80.75%-23.09M
43.95%-17.1M
-174.97%-15.53M
16.43%-151.75M
-15.88%-22.05M
Financing cash flow
Cash flow from continuing financing activities
618.25%46.44M
57.52%-36.01M
42.65%-20.71M
-1,298.21%-161.17M
-89.40%-46.76M
-94.01%6.47M
-122.30%-84.77M
36.27%-36.11M
69.80%-11.53M
-64.14%-24.69M
Net issuance payments of debt
225.76%57.82M
59.35%-18.63M
56.79%-10.67M
-175.38%-89.71M
-222.75%-36.92M
-86.39%17.75M
---45.84M
---24.7M
--119.01M
---11.44M
Net common stock issuance
45.43%-5.77M
102.74%507K
-14.78%513K
79.87%-18.13M
856.07%10.34M
23.02%-10.58M
36.91%-18.5M
101.32%602K
-1,204.11%-90.08M
82.79%-1.37M
Cash dividends paid
0.48%-10.59M
-8.56%-11.39M
-1.91%-10.55M
-18.26%-41.73M
-17.52%-10.24M
-21.74%-10.64M
-19.11%-10.49M
-14.76%-10.35M
-28.15%-35.29M
-22.94%-8.72M
Proceeds from stock option exercised by employees
----
----
----
-213.99%-9.94M
----
----
----
----
-6.13%-3.17M
----
Net other financing activities
---1.21M
----
----
17.36%-1.66M
--0
--0
--0
17.36%-1.66M
-168.36%-2.01M
--0
Cash from discontinued financing activities
Financing cash flow
618.25%46.44M
57.52%-36.01M
42.65%-20.71M
-1,298.21%-161.17M
-89.40%-46.76M
-94.01%6.47M
-122.30%-84.77M
36.27%-36.11M
69.80%-11.53M
-64.14%-24.69M
Net cash flow
Beginning cash position
136.47%18.42M
-21.16%7.66M
-13.85%7.6M
-80.33%8.83M
-47.39%7.88M
-75.09%7.79M
-69.46%9.71M
-80.33%8.83M
-32.05%44.86M
-60.56%14.98M
Current changes in cash
-4,251.26%-11.5M
659.65%10.79M
-91.31%79K
97.69%-869K
98.28%-127K
101.70%277K
-286.37%-1.93M
106.75%909K
-73.24%-37.66M
-207.64%-7.38M
Effect of exchange rate changes
155.85%105K
-533.33%-26K
-13.04%-26K
-121.64%-353K
-112.04%-148K
-954.55%-188K
119.35%6K
-105.60%-23K
177.85%1.63M
4,289.29%1.23M
End cash Position
-10.81%7.03M
136.47%18.42M
-21.16%7.66M
-13.85%7.6M
-13.85%7.6M
-47.39%7.88M
-75.09%7.79M
-69.46%9.71M
-80.33%8.83M
-80.33%8.83M
Free cash flow
-820.07%-56.93M
-44.62%47.18M
-41.42%21.03M
115.58%170.19M
120.98%55.28M
63.51%-6.19M
47.70%85.2M
171.93%35.9M
-52.48%78.94M
-26.76%25.02M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)Nov 2, 2024 (Q2)Aug 3, 2024 (Q1)May 4, 2024 (FY)Jan 29, 2024 (Q4)Jan 29, 2024 (Q3)Oct 28, 2023 (Q2)Jul 29, 2023 (Q1)Apr 29, 2023 (FY)Jan 28, 2023 (Q4)Jan 28, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -207.78%-18.21M -11.13%88.82M -37.36%32.92M 94.48%244.28M 90.28%74.89M 486.33%16.9M 46.65%99.94M 133.79%52.56M -36.56%125.61M -3.83%39.36M
Net income from continuing operations -136.51%-3.94M -21.01%40.64M -34.45%38.37M -63.37%60.7M -287.43%-60.07M -45.17%10.78M -9.11%51.45M 1.97%58.54M 26.21%165.74M 26.14%32.05M
Operating gains losses ---- ---- ---- -192.67%-1.76M --0 --0 --0 ---1.76M 95.79%-600K ----
Depreciation and amortization 7.40%17.21M 8.26%16.55M 9.02%16.54M 34.58%64.07M 24.23%17.59M 26.78%16.02M 43.92%15.29M 48.89%15.17M 19.19%47.61M 32.43%14.16M
Deferred tax -37.58%3.12M 75.02%-801K 30.11%6.06M -1,179.59%-23.89M -2,050.11%-30.34M 316.07%5M -244.73%-3.21M 740.58%4.66M -146.05%-1.87M -250.27%-1.41M
Other non cash items -1.03%96K 1.04%97K -64.71%96K 65.41%569K 20.93%104K 12.79%97K 11.63%96K 216.28%272K -77.55%344K -82.38%86K
Change In working capital -110.35%-38.97M -13.30%27.8M -16.72%-32.2M 116.31%15.92M 428.00%29.97M 54.27%-18.52M 4,275.00%32.06M 41.56%-27.59M -481.75%-97.61M -539.91%-9.14M
-Change in receivables -11,288.17%-10.59M -5.03%24.67M 34.85%-24.46M -800.06%-15.1M -117.57%-3.44M 98.43%-93K 9.81%25.97M 3.70%-37.54M 5.09%-1.68M 54.27%19.56M
-Change in inventory -500.66%-14.63M -74.26%4.62M -62.11%15.15M 179.16%62.51M 101.91%909K 127.11%3.65M 240.17%17.96M 891.20%39.99M -1,568.32%-78.97M -75.34%-47.63M
-Change in prepaid assets 51.35%-4.23M -2,542.34%-7.24M 538.96%4.05M 61.46%-4.93M 147.64%3.41M -247.48%-8.7M 93.73%-274K 108.84%634K -1,339.03%-12.79M -404.34%-7.15M
-Change in other current assets ---- ---- ---- -277.19%-25.22M ---- ---- ---- ---- -62.08%14.23M ----
-Change in other current liabilities 22.95%-11.56M 136.14%4.27M 44.47%-15.37M 92.78%-1.33M 993.17%53.14M 32.85%-15M -165.95%-11.8M -891.05%-27.67M -25.37%-18.41M 119.41%4.86M
-Change in other working capital 26.49%2.04M 621.36%1.49M -286.99%-11.58M ---- ---- 134.28%1.61M 107.35%206K -680.78%-2.99M ---- ----
Cash from discontinued investing activities
Operating cash flow -207.78%-18.21M -11.13%88.82M -37.36%32.92M 94.48%244.28M 90.28%74.89M 486.33%16.9M 46.65%99.94M 133.79%52.56M -36.56%125.61M -3.83%39.36M
Investing cash flow
Cash flow from continuing investing activities -72.06%-39.72M -145.63%-42.01M 21.89%-12.13M 44.66%-83.98M -28.17%-28.26M 80.75%-23.09M 43.95%-17.1M -174.97%-15.53M 16.43%-151.75M -15.88%-22.05M
Net PPE purchase and sale -67.73%-38.72M -182.30%-41.63M 18.18%-11.89M -54.22%-71.97M -36.72%-19.6M -83.44%-23.09M -40.91%-14.75M -56.65%-14.54M -169.63%-46.67M -283.24%-14.34M
Net business purchase and sale --0 96.77%-75K 75.93%-240K 95.46%-11.98M -108,287.50%-8.66M --0 ---2.32M ---997K ---263.65M 100.05%8K
Net investment purchase and sale ---- ---- ---- --0 ---- ---- ---- ---- 199.91%164.85M 100.10%15K
Net other investing changes ---1M ---- ---- 99.47%-33K --0 --0 ---- ---- -953.67%-6.28M -382.64%-7.73M
Cash from discontinued investing activities
Investing cash flow -72.06%-39.72M -145.63%-42.01M 21.89%-12.13M 44.66%-83.98M -28.17%-28.26M 80.75%-23.09M 43.95%-17.1M -174.97%-15.53M 16.43%-151.75M -15.88%-22.05M
Financing cash flow
Cash flow from continuing financing activities 618.25%46.44M 57.52%-36.01M 42.65%-20.71M -1,298.21%-161.17M -89.40%-46.76M -94.01%6.47M -122.30%-84.77M 36.27%-36.11M 69.80%-11.53M -64.14%-24.69M
Net issuance payments of debt 225.76%57.82M 59.35%-18.63M 56.79%-10.67M -175.38%-89.71M -222.75%-36.92M -86.39%17.75M ---45.84M ---24.7M --119.01M ---11.44M
Net common stock issuance 45.43%-5.77M 102.74%507K -14.78%513K 79.87%-18.13M 856.07%10.34M 23.02%-10.58M 36.91%-18.5M 101.32%602K -1,204.11%-90.08M 82.79%-1.37M
Cash dividends paid 0.48%-10.59M -8.56%-11.39M -1.91%-10.55M -18.26%-41.73M -17.52%-10.24M -21.74%-10.64M -19.11%-10.49M -14.76%-10.35M -28.15%-35.29M -22.94%-8.72M
Proceeds from stock option exercised by employees ---- ---- ---- -213.99%-9.94M ---- ---- ---- ---- -6.13%-3.17M ----
Net other financing activities ---1.21M ---- ---- 17.36%-1.66M --0 --0 --0 17.36%-1.66M -168.36%-2.01M --0
Cash from discontinued financing activities
Financing cash flow 618.25%46.44M 57.52%-36.01M 42.65%-20.71M -1,298.21%-161.17M -89.40%-46.76M -94.01%6.47M -122.30%-84.77M 36.27%-36.11M 69.80%-11.53M -64.14%-24.69M
Net cash flow
Beginning cash position 136.47%18.42M -21.16%7.66M -13.85%7.6M -80.33%8.83M -47.39%7.88M -75.09%7.79M -69.46%9.71M -80.33%8.83M -32.05%44.86M -60.56%14.98M
Current changes in cash -4,251.26%-11.5M 659.65%10.79M -91.31%79K 97.69%-869K 98.28%-127K 101.70%277K -286.37%-1.93M 106.75%909K -73.24%-37.66M -207.64%-7.38M
Effect of exchange rate changes 155.85%105K -533.33%-26K -13.04%-26K -121.64%-353K -112.04%-148K -954.55%-188K 119.35%6K -105.60%-23K 177.85%1.63M 4,289.29%1.23M
End cash Position -10.81%7.03M 136.47%18.42M -21.16%7.66M -13.85%7.6M -13.85%7.6M -47.39%7.88M -75.09%7.79M -69.46%9.71M -80.33%8.83M -80.33%8.83M
Free cash flow -820.07%-56.93M -44.62%47.18M -41.42%21.03M 115.58%170.19M 120.98%55.28M 63.51%-6.19M 47.70%85.2M 171.93%35.9M -52.48%78.94M -26.76%25.02M
Currency Unit USD USD USD USD USD USD USD USD USD USD
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP

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