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Golub Capital BDC Cash Flow Statement

NASDAQ: GBDCFinanceFinance: Consumer ServicesUSD

12.10-0.11 (-0.90%)

At close: Oct 9, 4:00 PM ET · Delayed 15 min

Golub Capital BDC free cash flow

In fiscal 2025, Golub Capital BDC generated -$113.6 million of operating cash flow. That left free cash flow of -$113.6 million. Free cash flow was down 133.0% from the prior year's $343.9 million.

Golub Capital BDC returned $408.8 million to shareholders: $368.2 million in dividends and $40.6 million in share repurchases.

Summary generated from market data by MetaCap's automated system. Methodology

Golub Capital BDC cash flow statement (annual)

Golub Capital BDC annual cash flow statement
Fiscal year (USD)FY 20252025-09-30FY 20242024-09-30FY 20232023-09-30FY 20222022-09-30FY 20212021-09-30FY 20202020-09-30
Net Income376.65M273.79M258.63M153.44M340.28M54.87M
Net Income growth (YoY)+37.57%+5.86%+68.56%-54.91%+520.13%—
Change in Working Capital-3.61M-5.93M-1.25M-405.00K2.31M-22.91M
Operating Cash Flow-113.59M343.91M195.37M-416.46M-306.05M187.68M
Dividends Paid-368.21M-338.19M-191.47M-155.21M-139.12M-136.43M
Share Repurchases-40.63M-4.81M-16.86M00-45.53M
Debt Issued4.80B2.93B652.58M1.29B3.36B1.05B
Debt Repaid-4.51B-2.69B-627.09M-741.21M-2.82B-1.26B
Financing Cash Flow-131.59M-124.24M-235.55M353.13M366.85M-87.81M
Net Change in Cash-245.18M219.68M-40.18M-63.33M60.80M99.88M
Free Cash Flow-113.59M343.91M195.37M-416.46M-306.05M187.68M

This table shows 6 annual periods of Golub Capital BDC's cash flow statement, from FY 2025 back to FY 2020, across 10 line items including net income, change in working capital, operating cash flow. Values in USD; B = billions, M = millions. Fiscal periods follow GBDC's reporting calendar. What is a cash flow statement?

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