Lennar Corporation logo

Lennar Corporation

LEN | NYSE
Chart Builder DCF Calculator
$82.44
+$4.36 (+5.58%)
Sep 22, 2026, 12:56 PM ET · Market open
TTM
Period Ending
Q2 2026
May 30, 2026
Q1 2026
Feb 27, 2026
Q4 2025
Nov 29, 2025
Q3 2025
Aug 30, 2025
Q2 2025
May 30, 2025
Q1 2025
Feb 27, 2025
Q4 2024
Nov 29, 2024
Q3 2024
Aug 30, 2024
Q2 2024
May 30, 2024
Q1 2024
Feb 28, 2024
Q4 2023
Nov 29, 2023
Q3 2023
Aug 30, 2023
Q2 2023
May 30, 2023
Q1 2023
Feb 27, 2023
Q4 2022
Nov 29, 2022
Q3 2022
Aug 30, 2022
Q2 2022
May 30, 2022
Q1 2022
Feb 27, 2022
Q4 2021
Nov 29, 2021
Q3 2021
Aug 30, 2021
Q2 2021
May 30, 2021
Q1 2021
Feb 27, 2021
Net Income
1.64B 1.81B 2.11B 2.71B 3.3B 3.78B 3.97B 4.24B 4.16B 4.08B 3.95B 3.93B 4.28B 4.74B 4.65B 4.5B 4.43B 3.95B 4.46B 4.15B 3.41B 3.09B
Depreciation & Amortization
137.86M 136.37M 134.31M 129.74M 124.94M 119.72M 115.53M 114.14M 121.87M 117M 110.16M 110.3M 91.6M 87.29M 87.08M 78.03M 80.73M 83.72M 85.95M 91.63M 94.83M 96.46M
Stock-Based Compensation
139.28M 141.79M 163.49M 160.95M 167.35M 173.08M 176.68M 175.2M 156.18M 161.84M 160.72M 168.99M 194.31M 189.19M 184.09M 183.95M 170.5M 167.26M 134.62M 128.72M 132.63M 124.09M
Other Working Capital
-996.4M -788.91M -1.61B -2.35B -2.11B -2.39B -1.96B -2.15B -1.62B -1.64B -1.28B -621.68M -591.05M -602.75M -216.25M -128.87M -235.29M -182.45M -281.82M 270.43M 502.12M 472.14M
Other Non-Cash Items
219.47M 150.26M 120.32M 178.12M 73.92M 13.06M 80.47M 132.96M 346.44M 99.45M 124.33M 141.21M 246.93M 582.29M 914.02M 892.33M 250.76M 207.75M -685.08M -813.26M -322.28M -383.77M
Deferred Income Tax
102.36M 98.03M 77.3M 38.39M 61.96M 71.92M 60.43M 133.72M 100.4M 351.86M 257.94M -7.08M 30.2M -274.56M -246.65M -112.62M -27.47M 22.68M 191.63M 255.44M 148.98M 149.99M
Change in Working Capital
-1.25B -2.16B -2.39B -3.79B -3.32B -2.41B -2B -773.02M -738.94M -236.61M 574.12M 962.22M 3.85M -1B -2.32B -3.77B -3.04B -2.36B -1.65B -1.21B 130.07M 1.11B
Operating Cash Flow
987.99M 177.35M 216.81M -568.17M 409.69M 1.75B 2.4B 4.02B 4.15B 4.57B 5.18B 5.3B 4.85B 4.32B 3.27B 1.77B 1.87B 2.08B 2.53B 2.61B 3.6B 4.19B
Capital Expenditures
-166.22M -162.58M -188.63M -144.79M -131.03M -154.62M -171.5M -176.33M -180.26M -167.3M -99.8M -83.29M -77.62M -56.86M -57.21M -52.75M -51.68M -61.71M -65.17M -69.86M -71.38M -64.09M
Cash Acquisitions
-115.08M -177.36M -254.49M -338.15M -344.76M -385.1M -425.56M -360.42M -340.52M -261.35M -201.04M -203.2M -294.34M -365.77M -447.4M -437.27M -374.29M -290.64M -375.84M -409.05M -440.48M -616.74M
Purchase of Investments
-291.77M -291.77M -257.17M -3.46M -5.91M -5.91M -4.52M 25.16M 26.62M 19.62M 21.68M -455.4M -469.4M -469.9M -541.17M -100.26M -163.23M -199.43M -352.27M -342.04M -283.72M -261.55M
Sales Maturities Of Investments
284.95M 283.67M 327.36M 208.01M 78.45M 79.67M 7.22M 5.15M 5.14M 12.69M 13.14M 20.66M 8.54M 5.62M 26.08M 25.44M 38.59M 33.05M 30.95M 30M 48.86M 62.47M
Other Investing Acitivies
289.63M 526.86M 594.5M 328.29M 558.35M 332.81M 291.8M 267.59M 117.84M 107.8M 89.04M 609.43M 688.71M 742.25M 891.4M 459.44M 430.82M 487M 657.26M 647.05M 590.48M 493.18M
Investing Cash Flow
1.5M 178.82M 221.57M 49.9M 155.11M -133.15M -302.56M -238.84M -371.19M -288.54M -176.98M -111.8M -144.11M -144.67M -128.3M -105.39M -119.78M -31.73M -105.09M -143.91M -156.24M -386.74M
Debt Repayment
1.67B 1.52B 1.57B 1.6B 556.63M -794.63M -830.24M -704.53M -1.37B -804.5M -1.2B -1.07B -957.68M -656.65M -214.01M -1.12B -868.92M -1.08B -1.08B -1.52B -2.21B -2.32B
Common Stock Repurchased
-1.25B -1.3B -1.81B -2.34B -2.35B -2.44B -2.26B -2.07B -1.92B -1.52B -1.18B -962.24M -599.06M -715.97M -1.04B -1.9B -2.16B -1.94B -1.43B -455.04M -199.08M -95.02M
Dividend Paid
-502.26M -512.79M -520.96M -529.01M -535.74M -541.08M -548.82M -519.37M -490.6M -462.06M -430.56M -433.68M -435.35M -435.81M -438.04M -405.51M -374.42M -342.06M -309.78M -311.92M -273.22M -233.65M
Other Financial Acitivies
-216.47M -252.37M -837.88M -775.41M -680.4M -515.22M -46.03M -297.82M -392.02M -507.14M -436.78M -155.95M 46.9M 305.56M 414.08M 493.47M 428.43M 330.28M 414.24M 404.94M 361.87M 362.37M
Financial Cash Flow
-294.73M -549.37M -1.6B -2.04B -3.01B -4.29B -3.68B -3.59B -4.17B -3.29B -3.25B -2.62B -1.95B -1.5B -1.28B -2.93B -2.98B -3.03B -2.4B -1.88B -2.32B -2.29B
Net Cash Flow
693.15M -194.82M -1.16B -2.55B -2.44B -2.67B -1.58B 187.11M -394.46M 987.31M 1.76B 2.57B 2.76B 2.67B 1.86B -1.26B -1.23B -989.62M 22.95M 579.91M 1.13B 1.52B
Free Cash Flow
821.77M 14.77M 28.18M -712.96M 278.66M 1.59B 2.23B 3.84B 3.97B 4.4B 5.08B 5.22B 4.77B 4.26B 3.21B 1.72B 1.82B 2.01B 2.47B 2.54B 3.53B 4.13B
Adj. Free Cash Flow
682.49M -127.01M -135.31M -873.9M 111.31M 1.42B 2.06B 3.67B 3.81B 4.24B 4.92B 5.05B 4.58B 4.07B 3.02B 1.54B 1.65B 1.85B 2.33B 2.41B 3.39B 4.01B
Maintenance CapEx
-166.22M -162.58M -182.45M -138.61M -112.6M -123.33M -131.71M -122.74M -138.93M -138.83M -81.03M -48.63M -26.28M -439.32K n/a n/a n/a n/a n/a -29.9M -46.66M -54.48M
Growth CapEx
n/a n/a -6.18M -6.18M -18.43M -31.29M -39.79M -53.58M -41.33M -28.47M -18.77M -34.66M -51.33M -56.42M -57.21M -52.75M -51.68M -61.71M -65.17M -39.96M -24.73M -9.61M
Owner Earnings
821.77M 14.77M 34.36M -706.78M 297.09M 1.62B 2.27B 3.9B 4.01B 4.43B 5.1B 5.26B 4.83B 4.32B 3.27B 1.77B 1.87B 2.08B 2.53B 2.58B 3.55B 4.14B

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