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H&R Block Inc (HRB)

H&R Block Inc (HRB)

23.72 +0.11 +0.47%
20:59:58 - Closed. Currency in USD
After Hours 23.72 0.00 0.00% 21:02:31 - Real-time Data
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For the three months ended 31 July 2019, H & R Block Inc revenues increased 4% to $150.4M. Net loss applicable to common stockholders excluding extraordinary items decreased 2% to $145.9M. Revenues reflect Service revenues increase of 4% to $132.2M. Lower net loss reflects Interest income increase of 78% to $8M (income), Other, net increase from $48K to $1.1M (income), Interest expense on borrowings decrease of 1% to $21.1M (expense).

Income Statement

Total Revenue Net Income
Jul 31, 2019 Apr 30, 2019 Jan 31, 2019 Oct 31, 2018
150.36 2332.44 468.38 148.87
-79.03 1468.92 47.36 -101.94
-195.17 1151.27 -138.1 -215.26
-150.25 877.91 -126.45 -176.28
Period Ending:
Total Revenue
Gross Profit
Operating Income
Net Income
Gross marginTTM 43.07%
Operating marginTTM 19.44%
Net Profit marginTTM 14.46%
Return on InvestmentTTM 20.3%

Balance Sheet

Total Assets Total Liabilities
Jul 31, 2019 Apr 30, 2019 Jan 31, 2019 Oct 31, 2018
3110 3299.95 2568.81 2233.3
2819.2 2758.42 2782.4 2264.62
290.8 541.53 -213.59 -31.32
Period Ending:
Total Assets
Total Liabilities
Total Equity
Quick RatioMRQ -
Current RatioMRQ 1.29
LT Debt to EquityMRQ 513.5%
Total Debt to EquityMRQ 513.5%

Cash Flow

Cash Net Change in Cash
Jul 31, 2019 3 Months Apr 30, 2019 12 Months Jan 31, 2019 9 Months Oct 31, 2018 6 Months
-483.83 606.54 -1347.46 -627.69
-358.81 -155.13 -119.26 -83.2
-100.19 -403.69 110.38 -226.27
-942.27 44.05 -1358.55 -940.37
Period Ending:
Cash From Operating Activities
Cash From Investing Activities
Cash From Financing Activities
Net Change in Cash
Cash Flow/ShareTTM 2.99
Revenue/ShareTTM 15.1
Operating Cash Flow -66.01%

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