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FDX - FedEx Corp

188


$354.66

$2.31 (0.656%)
At market close

$354.09

-$0.57 (-0.160%)
After Hours 3/17/26, 9:38 PM
Stock Unlock LogoScore

3.44/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Cash Flow Summary
Metrics
4
KPIs
View as %
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FedEx Corp

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Net Common Stock Issued
--
43.23%
-$414.75M
-$456.50M
-$482.00M
2025-08-31
-$264.00M
2025-11-30
-$264.00M
2025-11-30
Investments In Property, Plant & Equipment
--
24.07%
-$962.50M
-$877.00M
-$1.47B
2025-05-31
-$623.00M
2025-08-31
-$757.00M
2025-11-30
Debt Repayments
--
47.62%
$60.00M
-$32.00M
-$68.00M
2025-05-31
$372.00M
2025-08-31
-$22.00M
2025-11-30
Cash From Operating Activities
-4%
-3.03%
$2.05B
$1.98B
$1.72B
2025-08-31
$2.52B
2025-05-31
$1.95B
2025-11-30
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-11-302025-08-312025-05-312025-02-282024-11-30
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2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-31
Cash From Operating Activities
1,951,000
1,716,000
2,519,000
2,012,000
42,069,000
2989197
2080850
6369399
9807173
951530
1370306
3111771
8454595
7321041
5356655
830270
6882040
36847
Net Income
956,000
824,000
1,648,000
909,000
42,069,000
538617
3721586
8021692
7387754
4579904
7382083
252677
9600762
7433163
4977021
9151739
2938109
8887080
Stock Based Compensation
43,000
56,000
38,000
32,000
42,069,000
3779960
2644329
4132119
7579855
7968705
9342001
7708647
1124161
6788475
8974558
6353315
9355039
8402387
Depreciation & Amortization
1,068,000
1,092,000
1,057,000
1,066,000
42,069,000
3923082
3359184
8718984
8613687
565962
2483197
8218469
5313672
5197379
2977768
1751219
8473321
1295021
Deferred Income Taxes
719,000
718,000
803,000
764,000
42,069,000
8557358
7935176
9574511
9956979
6786887
4054054
4972943
9544068
9606034
3713366
2517603
5062728
5864770
Change In Working Capital
-1,184,000
-1,110,000
-48,000
-880,000
42,069,000
9375508
9312994
9601215
395056
7071851
5651346
8444661
4912457
8631482
4425275
5587088
9296538
6805197
Cash Interest Paid
223,000
195,000
232,000
206,000
42,069,000
3498752
7526309
2435569
3132669
7608099
8843136
3718510
813390
2404518
4710895
1312322
2056019
8136326
Cash Taxes Paid
1,068,000
85,000
53,000
294,000
42,069,000
5119545
1857888
5318123
7499818
5572131
1274023
8133247
3785731
6192021
9263990
2654420
682609
9862245
Other Non Cash Items
392,000
192,000
-941,000
153,000
42,069,000
1557168
23083
4647998
4223660
3657931
1833839
5552576
4720097
8915863
324160
9583331
7302845
2345392
Cash From Investing Activities
-861,000
-619,000
-1,432,000
-1,054,000
42,069,000
8895835
5052496
2027166
5631942
4619372
6409883
7162813
9558551
6773917
1954499
2331296
9855823
9130567
Investments In Property, Plant & Equipment
-757,000
-623,000
-1,473,000
-997,000
42,069,000
6424549
3483440
6268801
2400790
3568200
6918659
8967681
4163207
2161397
9233256
1907849
3264745
5691795
Other Investing Activities
-104,000
4,000
41,000
-57,000
42,069,000
2331718
4657381
9576390
5355084
3766080
4570072
4894481
8331477
3611255
6263854
2993230
1213507
5899993
Cash From Financing Activities
-632,000
-460,000
-847,000
-863,000
42,069,000
7786276
4390642
6861356
6433997
6273838
8824185
3975653
29113
9119537
3220474
3415569
6365884
9253351
Debt Repayments
-22,000
372,000
-68,000
-42,000
42,069,000
8208362
9313857
1904935
5328797
8609457
1799031
9101811
3331928
8168547
741092
6927374
6038608
2382189
Net Common Stock Issued
-264,000
-482,000
-448,000
-465,000
42,069,000
7500116
2796786
3646507
7405551
4136109
6168692
6843938
8680651
293705
4977000
4845105
3967217
21994
Dividends Paid
342,000
345,000
331,000
332,000
42,069,000
457857
6136650
8101812
3125077
6211016
4034939
3481641
2209332
2896136
1721547
3115987
6026895
1505051
Net Change In Cash
404,000
664,000
367,000
106,000
42,069,000
4346134
4158732
1444657
7767051
5608423
2669848
8474022
4975662
331271
9801922
8054777
9497183
4446870
Free Cash Flow
1,194,000
1,093,000
1,046,000
1,015,000
42,069,000
9948933
9066088
8310430
6528541
7448110
344608
1043811
7704763
2628340
6033079
9497482
1685612
2985677
Cash From Operating Activities
1,951,000
1,716,000
2,519,000
2,012,000
42,069,000
9470190
9857786
5572971
1161769
1761477
8515981
9564568
777297
6773723
622633
621212
1550715
7278048
Investments In Property, Plant & Equipment
-757,000
-623,000
-1,473,000
-997,000
42,069,000
4536298
5198774
7428515
5529757
7007802
4499765
1472756
3852489
4712871
5470904
1835730
9872815
9416989
FCF excluding SBC
1,151,000
1,037,000
1,008,000
983,000
42,069,000
2305354
5287920
2357882
55651
2016477
2699365
4813814
7351523
6539836
7548312
8941850
4686321
970164
SBC as % of FCF
3.60%
5.12%
3.63%
3.15%
42K%
6071990
3791279
8443710
4308487
7459015
9497733
272922
9345809
7502248
2159253
8576822
5239939
5087582