(STRA)

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About

Business overview of (STRA)

Historical Stock Splits

Execution DateSplit Amount
No Historical Stock Splits

Cash Flow Statement

October 1, 2023 to September 30, 2024
MetricValue
Net Cash Flow, Continuing$21.52 Million
Net Cash Flow From Financing Activities$-128.59 Million
Exchange Gains/Losses$4.66 Million
Net Cash Flow From Investing Activities$-33.26 Million
Net Cash Flow From Investing Activities, Continuing$-33.26 Million
Net Cash Flow From Financing Activities, Continuing$-128.59 Million
Net Cash Flow From Operating Activities, Continuing$183.37 Million
Net Cash Flow$26.18 Million
Net Cash Flow From Operating Activities$183.37 Million

Income Statement

October 1, 2023 to September 30, 2024
MetricValue
Depreciation and Amortization$45.47 Million
Income/Loss From Equity Method Investments$-2.60 Million
Income/Loss Before Equity Method Investments$181.36 Million
Preferred Stock Dividends And Other Adjustments$0.00
Net Income/Loss$126.48 Million
Income/Loss From Continuing Operations After Tax$126.48 Million
Costs And Expenses$1.04 Billion
Operating Expenses$1.04 Billion
Basic Average Shares$23.41 Million
Income/Loss From Continuing Operations Before Tax$178.76 Million
Benefits Costs and Expenses$1.03 Billion
Revenues$1.21 Billion
Operating Income/Loss$173.83 Million
Net Income/Loss Attributable To Parent$126.48 Million
Income Tax Expense/Benefit$52.28 Million
Income Tax Expense/Benefit, Deferred$-2.65 Million
Net Income/Loss Available To Common Stockholders, Basic$126.48 Million
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic$0.00
Net Income/Loss Attributable To Noncontrolling Interest$0.00
Diluted Average Shares$24.14 Million
Basic Earnings Per Share$5.40
Diluted Earnings Per Share$5.25
Other Operating Expenses$991.88 Million

Balance Sheet

October 1, 2023 to September 30, 2024
MetricValue
Liabilities$470.73 Million
Non-current Prepaid Expenses$15.63 Million
Liabilities And Equity$2.19 Billion
Equity Attributable To Parent$1.72 Billion
Other Current Assets$356.98 Million
Fixed Assets$116.20 Million
Other Non-current Assets$1.42 Billion
Current Liabilities$285.84 Million
Current Assets$383.51 Million
Equity Attributable To Noncontrolling Interest$0.00
Prepaid Expenses$26.53 Million
Assets$2.19 Billion
Equity$1.72 Billion
Noncurrent Liabilities$184.89 Million
Noncurrent Assets$1.80 Billion
Intangible Assets$251.95 Million

Historical Dividends

Current dividend: $0.6 Per Share Quarterly
Announcement DatePayment DateRecord DateAmountFrequency
Nov 7, 2024Dec 9, 2024Dec 2, 2024$0.6Quarterly
Jul 31, 2024Sep 16, 2024Sep 6, 2024$0.6Quarterly
Apr 25, 2024Jun 3, 2024May 24, 2024$0.6Quarterly
Feb 29, 2024Mar 18, 2024Mar 11, 2024$0.6Quarterly
Nov 2, 2023Dec 4, 2023Nov 27, 2023$0.6Quarterly
Jul 27, 2023Sep 11, 2023Sep 1, 2023$0.6Quarterly
Apr 27, 2023Jun 5, 2023May 26, 2023$0.6Quarterly
Feb 22, 2023Mar 13, 2023Mar 6, 2023$0.6Quarterly
Nov 3, 2022Dec 5, 2022Nov 28, 2022$0.6Quarterly
Jul 27, 2022Sep 12, 2022Sep 2, 2022$0.6Quarterly
Apr 28, 2022Jun 6, 2022May 27, 2022$0.6Quarterly
Feb 25, 2022Mar 14, 2022Mar 7, 2022$0.6Quarterly
Nov 4, 2021Dec 6, 2021Nov 29, 2021$0.6Quarterly
Apr 29, 2021Jun 7, 2021May 28, 2021$0.6Quarterly
Feb 26, 2021Mar 15, 2021Mar 8, 2021$0.6Quarterly
Nov 5, 2020Dec 7, 2020Nov 30, 2020$0.6Quarterly
Jul 29, 2020Sep 14, 2020Sep 4, 2020$0.6Quarterly
Apr 29, 2020Jun 8, 2020Jun 1, 2020$0.6Quarterly
Feb 28, 2020Mar 16, 2020Mar 9, 2020$0.6Quarterly
Nov 7, 2019Dec 9, 2019Nov 25, 2019$0.6Quarterly
Jul 31, 2019Sep 16, 2019Sep 3, 2019$0.5Quarterly
May 1, 2019Jun 10, 2019May 28, 2019$0.5Quarterly
Mar 1, 2019Mar 18, 2019Mar 11, 2019$0.5Quarterly
Nov 8, 2018Dec 17, 2018Dec 3, 2018$0.5Quarterly
Aug 1, 2018Sep 7, 2018Aug 31, 2018$0.5Quarterly
May 2, 2018Jun 18, 2018Jun 4, 2018$0.25Quarterly
Mar 1, 2018Mar 19, 2018Mar 12, 2018$0.25Quarterly
Oct 30, 2017Dec 18, 2017Dec 4, 2017$0.25Quarterly
Jul 26, 2017Sep 18, 2017Sep 5, 2017$0.25Quarterly
May 3, 2017Jun 19, 2017Jun 5, 2017$0.25Quarterly
Feb 16, 2017Mar 20, 2017Mar 6, 2017$0.25Quarterly
Nov 7, 2012Dec 10, 2012Nov 26, 2012$1Quarterly

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