(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 From Financing Activities$-128.59 Million
Net Cash Flow From Investing Activities$-33.26 Million
Net Cash Flow From Financing Activities, Continuing$-128.59 Million
Net Cash Flow From Investing Activities, Continuing$-33.26 Million
Net Cash Flow From Operating Activities, Continuing$183.37 Million
Net Cash Flow, Continuing$21.52 Million
Exchange Gains/Losses$4.66 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
Benefits Costs and Expenses$1.03 Billion
Basic Average Shares$70.24 Million
Diluted Earnings Per Share$5.25
Net Income/Loss Attributable To Parent$126.48 Million
Net Income/Loss$126.48 Million
Income Tax Expense/Benefit$52.28 Million
Preferred Stock Dividends And Other Adjustments$0.00
Other Operating Expenses$991.88 Million
Income/Loss From Equity Method Investments$-2.60 Million
Depreciation and Amortization$45.47 Million
Basic Earnings Per Share$5.40
Net Income/Loss Attributable To Noncontrolling Interest$0.00
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic$0.00
Diluted Average Shares$72.42 Million
Income/Loss From Continuing Operations After Tax$126.48 Million
Income/Loss From Continuing Operations Before Tax$178.76 Million
Operating Income/Loss$173.83 Million
Income Tax Expense/Benefit, Deferred$-2.65 Million
Income/Loss Before Equity Method Investments$181.36 Million
Operating Expenses$1.04 Billion
Revenues$1.21 Billion
Net Income/Loss Available To Common Stockholders, Basic$126.48 Million
Costs And Expenses$1.04 Billion

Balance Sheet

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