Fiscal year is June-May.
All values USD Millions.
2022 2021 2020 2019 2018 5-year trend
INCOME STATEMENT
Sales/Revenue 46,792 44,493 37,420 39,122 36,363
Sales Growth 5.17% 18.90% -4.35% 7.59%
Gross Income 21,584 19,905 15,894 17,426 16,012
Gross Income Growth 8.44% 25.24% -8.79% 8.83% -
Gross Profit Margin 46.13% - - - -
Interest Expense 292 289 144 124 117
Interest Expense Growth 1.04% 100.69% 16.13% 5.98% -
Pretax Income 6,651 6,661 2,887 4,801 4,325
Pretax Income Growth -0.15% 130.72% -39.87% 11.01% -
Pretax Margin 14.21% - - - -
Net Income 6,046 5,727 2,539 4,029 1,933
Net Income Growth 5.57% 125.56% -36.98% 108.43% -
Net Margin 12.92% - - - -
CASH FLOW STATEMENT
Net Income before Extraordinaries 6,046 5,727 2,539 4,029 1,933
Net Income Growth 5.57% 125.56% -36.98% 108.43% -
Funds from Operations 6,848 6,612 3,730 5,341 3,473
Net Operating Cash Flow 5,188 6,657 2,485 5,903 4,955
Net Operating Cash Flow Growth -22.07% 167.89% -57.90% 19.13% -
Net Operating Cash Flow / Sales 11.09% 14.96% 6.64% 15.09% 13.63%
Capital Expenditures (758) (695) (1,086) (1,119) (1,028)
Capital Expenditures / Sales -1.62% -1.56% -2.90% -2.86% -2.83%
Free Cash Flow 4,430 5,962 1,399 4,784 3,927
Free Cash Flow Growth -25.70% 326.16% -70.76% 21.82% -
Free Cash Flow Yield 1.35% - - - -
Cash Dividends Paid - Total (1,837) (1,638) (1,452) (1,332) (1,243)
BALANCE SHEET
Cash & Short Term Investments 12,997 13,476 8,787 4,663 5,245
ST Debt & Current Portion LT Debt 930 469 696 15 342
Long-Term Debt 11,697 12,344 12,319 3,464 3,468
Total Accounts Receivable 4,667 4,463 2,749 4,272 3,498
Accounts Receivable Turnover 10.03 9.97 13.61 9.16 10.40
Accounts Payable 3,358 2,836 2,248 2,612 2,279
Total Current Assets 28,213 26,291 20,556 16,525 15,134
Total Current Liabilities 10,730 9,674 8,284 7,866 6,040
Current Ratio 2.63 2.72 2.48 2.10 2.51
Quick Ratio 1.84 2.01 1.59 1.39 1.63
Cash Ratio 1.21 1.39 1.06 0.59 0.87
Net Property, Plant & Equipment 7,717 8,017 7,963 4,744 4,454
Total Assets 40,321 37,740 31,342 23,717 22,536
Assets - Total - Growth 6.84% 20.41% 32.15% 5.24% -
Asset Turnover 1.20 - - - -
Return On Average Assets 15.49% - - - -
Total Liabilities 25,040 24,973 23,287 14,677 12,724
Total Liabilities / Total Assets 62.10% 66.17% 74.30% 61.88% 56.46%
Retained Earnings 3,476 3,179 (191) 1,643 3,517
Common Equity / Total Assets 37.90% 33.83% 25.70% 38.12% 43.54%
Total Shareholders' Equity 15,281 12,767 8,055 9,040 9,812
Total Shareholders' Equity / Total Assets 37.90% 33.83% 25.70% 38.12% 43.54%
Total Equity 15,281 12,767 8,055 9,040 9,812
Liabilities & Shareholders' Equity 40,321 37,740 31,342 23,717 22,536
Average Growth Rates Nike Inc. Cl B
Past Five Years
Ending 05/31/2022 (Fiscal Year)
Revenue
+5.74%
Net Income
+42.56%
Earnings Per Share
-
Capital Spending
-5.25%
Gross Margin
+46.18%
Cash Flow
+2.56%
KEY STOCK DATA
P/E Ratio (TTM)
32.66(12/21/22)
EPS (TTM)
$3.54
Market Cap
$161.49 B
Shares Outstanding
1.26 B
Public Float
1.24 B
Yield
1.17%(12/21/22)
Latest Dividend
$0.340000004(12/28/22)
Ex-Dividend Date
12/02/22
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SHORT INTEREST (11/30/22)
Shares Sold Short
16.19 M
Change from Last
0.70%
Percent of Float
1.30%