US Stock MarketDetailed Quotes

Henry Schein (HSIC)

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  • 77.210
  • -0.210-0.27%
Close Apr 16 16:00 ET
  • 77.210
  • 0.0000.00%
Post 17:04 ET
8.86BMarket Cap23.61P/E (TTM)

Henry Schein (HSIC) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 27, 2025
(Q4)Dec 27, 2025
(Q3)Sep 27, 2025
(Q2)Jun 28, 2025
(Q1)Mar 29, 2025
(FY)Dec 28, 2024
(Q4)Dec 28, 2024
(Q3)Sep 28, 2024
(Q2)Jun 29, 2024
(Q1)Mar 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-16.04%712M
86.76%381M
15.23%174M
-59.46%120M
-81.22%37M
69.60%848M
737.50%204M
-34.63%151M
8.03%296M
629.63%197M
Net income from continuing operations
5.28%419M
7.29%103M
10.10%109M
-10.48%94M
15.31%113M
-8.72%398M
464.71%96M
-30.77%99M
-29.05%105M
-23.44%98M
Operating gains losses
7.69%-12M
-100.00%-2M
0.00%-3M
33.33%-4M
0.00%-3M
7.14%-13M
75.00%-1M
0.00%-3M
-100.00%-6M
25.00%-3M
Depreciation and amortization
4.85%281M
10.64%52M
8.11%80M
2.70%76M
0.00%73M
20.72%268M
11.90%47M
7.25%74M
25.42%74M
40.38%73M
Deferred tax
116.07%9M
116.67%3M
163.64%14M
85.00%-3M
-225.00%-5M
-460.00%-56M
-63.64%-18M
-2,300.00%-22M
-566.67%-20M
33.33%4M
Other non cash items
-1,080.00%-49M
-163.16%-12M
18.18%-9M
-200.00%-2M
-420.00%-26M
-79.17%5M
-13.64%19M
-1,200.00%-11M
140.00%2M
-183.33%-5M
Change In working capital
-134.29%-48M
2,371.43%173M
-1,650.00%-35M
-150.83%-61M
-933.33%-125M
148.28%140M
104.05%7M
0.00%-2M
114.29%120M
108.77%15M
-Change in receivables
-139.37%-124M
-41.73%74M
-19.51%-98M
-132.50%-26M
-138.95%-74M
196.33%315M
149.80%127M
8.89%-82M
110.53%80M
1,050.00%190M
-Change in inventory
-61.02%-95M
27.84%-70M
105.80%4M
-145.45%-15M
-118.92%-14M
-125.54%-59M
-290.20%-97M
-505.88%-69M
-67.00%33M
17.46%74M
-Change in payables and accrued expense
232.52%216M
759.38%211M
-38.51%99M
1,000.00%18M
61.38%-112M
-191.07%-163M
-128.07%-32M
28.80%161M
96.15%-2M
-19.34%-290M
-Change in other current assets
-195.74%-45M
-566.67%-42M
-233.33%-40M
-522.22%-38M
82.93%75M
134.06%47M
110.84%9M
77.78%-12M
130.00%9M
41.38%41M
Cash from discontinued investing activities
Operating cash flow
-16.04%712M
86.76%381M
15.23%174M
-59.46%120M
-81.22%37M
69.60%848M
737.50%204M
-34.63%151M
8.03%296M
629.63%197M
Investing cash flow
Cash flow from continuing investing activities
6.98%-400M
-153.45%-147M
38.46%-56M
53.11%-98M
-37.50%-99M
62.11%-430M
82.26%-58M
80.56%-91M
30.56%-209M
-84.62%-72M
Capital expenditure reported
-33.33%-52M
-55.56%-14M
-20.00%-12M
-27.27%-14M
-33.33%-12M
2.50%-39M
10.00%-9M
0.00%-10M
0.00%-11M
0.00%-9M
Net PPE purchase and sale
6.08%-139M
-19.44%-43M
2.94%-33M
13.51%-32M
24.39%-31M
-0.68%-148M
7.69%-36M
15.00%-34M
0.00%-37M
-32.26%-41M
Net business purchase and sale
13.48%-199M
-1,142.86%-87M
73.81%-11M
68.94%-50M
-155.00%-51M
75.92%-230M
97.56%-7M
89.93%-42M
35.60%-161M
-1,900.00%-20M
Net investment purchase and sale
--0
----
----
----
----
--0
----
----
----
----
Net other investing changes
23.08%-10M
50.00%-3M
--0
---2M
-150.00%-5M
13.33%-13M
53.85%-6M
-400.00%-5M
--0
-200.00%-2M
Cash from discontinued investing activities
Investing cash flow
6.98%-400M
-153.45%-147M
38.46%-56M
53.11%-98M
-37.50%-99M
62.11%-430M
82.26%-58M
80.56%-91M
30.56%-209M
-84.62%-72M
Financing cash flow
Cash flow from continuing financing activities
63.14%-188M
-0.98%-206M
-207.32%-126M
137.72%43M
166.89%101M
-172.75%-510M
-151.78%-204M
-116.53%-41M
-400.00%-114M
-819.05%-151M
Net issuance payments of debt
192.59%553M
108.93%10M
-50.68%72M
-3.20%121M
1,066.67%350M
-82.05%189M
-124.89%-112M
-57.43%146M
27.55%125M
-81.48%30M
Net common stock issuance
-55.84%-600M
-166.67%-200M
-50.37%-203M
64.00%-36M
-114.67%-161M
-54.00%-385M
-50.00%-75M
-170.00%-135M
-100.00%-100M
25.00%-75M
Proceeds from stock option exercised by employees
-66.67%2M
-66.67%1M
----
----
0.00%1M
500.00%6M
--3M
--1M
--1M
0.00%1M
Net other financing activities
55.31%-143M
15.00%-17M
105.66%3M
80.00%-28M
5.61%-101M
-210.68%-320M
-233.33%-20M
-17.78%-53M
-1,300.00%-140M
-154.76%-107M
Cash from discontinued financing activities
Financing cash flow
63.14%-188M
-0.98%-206M
-209.76%-127M
149.12%56M
158.94%89M
-172.75%-510M
-151.78%-204M
-116.53%-41M
-400.00%-114M
-819.05%-151M
Net cash flow
Beginning cash position
-28.65%122M
7.94%136M
5.07%145M
-20.13%127M
-28.65%122M
46.15%171M
-24.10%126M
0.73%138M
26.19%159M
46.15%171M
Current changes in cash
234.78%124M
148.28%28M
-147.37%-9M
388.89%78M
203.85%27M
-239.39%-92M
-265.71%-58M
72.73%19M
-345.45%-27M
-388.89%-26M
Effect of exchange rate changes
-309.30%-90M
-114.81%-8M
--0
-1,100.00%-60M
-257.14%-22M
458.33%43M
280.00%54M
-272.22%-31M
--6M
--14M
End cash Position
27.87%156M
27.87%156M
7.94%136M
5.07%145M
-20.13%127M
-28.65%122M
-28.65%122M
-24.10%126M
0.73%138M
26.19%159M
Free cash flow
-21.18%521M
103.77%324M
20.56%129M
-70.16%74M
-104.08%-6M
111.18%661M
296.30%159M
-40.88%107M
9.73%248M
1,230.77%147M
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
(FY)Dec 27, 2025(Q4)Dec 27, 2025(Q3)Sep 27, 2025(Q2)Jun 28, 2025(Q1)Mar 29, 2025(FY)Dec 28, 2024(Q4)Dec 28, 2024(Q3)Sep 28, 2024(Q2)Jun 29, 2024(Q1)Mar 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -16.04%712M86.76%381M15.23%174M-59.46%120M-81.22%37M69.60%848M737.50%204M-34.63%151M8.03%296M629.63%197M
Net income from continuing operations 5.28%419M7.29%103M10.10%109M-10.48%94M15.31%113M-8.72%398M464.71%96M-30.77%99M-29.05%105M-23.44%98M
Operating gains losses 7.69%-12M-100.00%-2M0.00%-3M33.33%-4M0.00%-3M7.14%-13M75.00%-1M0.00%-3M-100.00%-6M25.00%-3M
Depreciation and amortization 4.85%281M10.64%52M8.11%80M2.70%76M0.00%73M20.72%268M11.90%47M7.25%74M25.42%74M40.38%73M
Deferred tax 116.07%9M116.67%3M163.64%14M85.00%-3M-225.00%-5M-460.00%-56M-63.64%-18M-2,300.00%-22M-566.67%-20M33.33%4M
Other non cash items -1,080.00%-49M-163.16%-12M18.18%-9M-200.00%-2M-420.00%-26M-79.17%5M-13.64%19M-1,200.00%-11M140.00%2M-183.33%-5M
Change In working capital -134.29%-48M2,371.43%173M-1,650.00%-35M-150.83%-61M-933.33%-125M148.28%140M104.05%7M0.00%-2M114.29%120M108.77%15M
-Change in receivables -139.37%-124M-41.73%74M-19.51%-98M-132.50%-26M-138.95%-74M196.33%315M149.80%127M8.89%-82M110.53%80M1,050.00%190M
-Change in inventory -61.02%-95M27.84%-70M105.80%4M-145.45%-15M-118.92%-14M-125.54%-59M-290.20%-97M-505.88%-69M-67.00%33M17.46%74M
-Change in payables and accrued expense 232.52%216M759.38%211M-38.51%99M1,000.00%18M61.38%-112M-191.07%-163M-128.07%-32M28.80%161M96.15%-2M-19.34%-290M
-Change in other current assets -195.74%-45M-566.67%-42M-233.33%-40M-522.22%-38M82.93%75M134.06%47M110.84%9M77.78%-12M130.00%9M41.38%41M
Cash from discontinued investing activities
Operating cash flow -16.04%712M86.76%381M15.23%174M-59.46%120M-81.22%37M69.60%848M737.50%204M-34.63%151M8.03%296M629.63%197M
Investing cash flow
Cash flow from continuing investing activities 6.98%-400M-153.45%-147M38.46%-56M53.11%-98M-37.50%-99M62.11%-430M82.26%-58M80.56%-91M30.56%-209M-84.62%-72M
Capital expenditure reported -33.33%-52M-55.56%-14M-20.00%-12M-27.27%-14M-33.33%-12M2.50%-39M10.00%-9M0.00%-10M0.00%-11M0.00%-9M
Net PPE purchase and sale 6.08%-139M-19.44%-43M2.94%-33M13.51%-32M24.39%-31M-0.68%-148M7.69%-36M15.00%-34M0.00%-37M-32.26%-41M
Net business purchase and sale 13.48%-199M-1,142.86%-87M73.81%-11M68.94%-50M-155.00%-51M75.92%-230M97.56%-7M89.93%-42M35.60%-161M-1,900.00%-20M
Net investment purchase and sale --0------------------0----------------
Net other investing changes 23.08%-10M50.00%-3M--0---2M-150.00%-5M13.33%-13M53.85%-6M-400.00%-5M--0-200.00%-2M
Cash from discontinued investing activities
Investing cash flow 6.98%-400M-153.45%-147M38.46%-56M53.11%-98M-37.50%-99M62.11%-430M82.26%-58M80.56%-91M30.56%-209M-84.62%-72M
Financing cash flow
Cash flow from continuing financing activities 63.14%-188M-0.98%-206M-207.32%-126M137.72%43M166.89%101M-172.75%-510M-151.78%-204M-116.53%-41M-400.00%-114M-819.05%-151M
Net issuance payments of debt 192.59%553M108.93%10M-50.68%72M-3.20%121M1,066.67%350M-82.05%189M-124.89%-112M-57.43%146M27.55%125M-81.48%30M
Net common stock issuance -55.84%-600M-166.67%-200M-50.37%-203M64.00%-36M-114.67%-161M-54.00%-385M-50.00%-75M-170.00%-135M-100.00%-100M25.00%-75M
Proceeds from stock option exercised by employees -66.67%2M-66.67%1M--------0.00%1M500.00%6M--3M--1M--1M0.00%1M
Net other financing activities 55.31%-143M15.00%-17M105.66%3M80.00%-28M5.61%-101M-210.68%-320M-233.33%-20M-17.78%-53M-1,300.00%-140M-154.76%-107M
Cash from discontinued financing activities
Financing cash flow 63.14%-188M-0.98%-206M-209.76%-127M149.12%56M158.94%89M-172.75%-510M-151.78%-204M-116.53%-41M-400.00%-114M-819.05%-151M
Net cash flow
Beginning cash position -28.65%122M7.94%136M5.07%145M-20.13%127M-28.65%122M46.15%171M-24.10%126M0.73%138M26.19%159M46.15%171M
Current changes in cash 234.78%124M148.28%28M-147.37%-9M388.89%78M203.85%27M-239.39%-92M-265.71%-58M72.73%19M-345.45%-27M-388.89%-26M
Effect of exchange rate changes -309.30%-90M-114.81%-8M--0-1,100.00%-60M-257.14%-22M458.33%43M280.00%54M-272.22%-31M--6M--14M
End cash Position 27.87%156M27.87%156M7.94%136M5.07%145M-20.13%127M-28.65%122M-28.65%122M-24.10%126M0.73%138M26.19%159M
Free cash flow -21.18%521M103.77%324M20.56%129M-70.16%74M-104.08%-6M111.18%661M296.30%159M-40.88%107M9.73%248M1,230.77%147M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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