HEICO Corporation (HEI-A) — Cash Flow Reinvestment Rate

Latest as of January 2026: 0.15x

HEICO Corporation (HEI-A) has a Cash Flow Reinvestment Rate of 0.15x as of January 2026, reinvesting $27.50 Million (capex $13.50 Million plus investments $-14.00 Million) from operating cash flow of $178.60 Million. See free cash flow generation of HEICO Corporation to measure how efficiently the company converts operating cash flow to free cash.

Reinvestment Rate

0.15x
(Capex + Investments) / Operating CF

Total Reinvested

$27.50 Million
Capex + Investments

Operating Cash Flow

$178.60 Million
USD

Capital Expenditures

$13.50 Million
USD

HEICO Corporation Cash Flow Reinvestment Rate (1989–2025)

Historical reinvestment intensity for HEICO Corporation across 37 annual periods. For the full cash flow conversion analysis, see HEICO Corporation (HEI-A) cash conversion ratio.

Annual Cash Flow Reinvestment Rate for HEICO Corporation (1989–2025)

Year-by-year capital reinvestment analysis for HEICO Corporation. See HEICO Corporation free cash flow to debt ratio to measure the company's free cash flow as a share of total liabilities.

Year Reinvestment Rate Total Reinvested (USD) Operating CF Capex YoY Change
2025 0.11x $105.84 Million $934.27 Million $72.89 Million ▼ -78.3%
2024 0.52x $351.46 Million $672.37 Million $58.26 Million ▼ -90.7%
2023 5.65x $2.53 Billion $448.74 Million $49.43 Million ▲ +517.5%
2022 0.91x $427.81 Million $467.86 Million $31.98 Million ▲ +84.9%
2021 0.49x $219.64 Million $444.08 Million $36.18 Million ▼ -8.8%
2020 0.54x $221.98 Million $409.12 Million $22.94 Million ▼ -23.3%
2019 0.71x $309.58 Million $437.38 Million $28.94 Million ▲ +49.6%
2018 0.47x $155.38 Million $328.49 Million $41.87 Million ▼ -72.4%
2017 1.71x $470.81 Million $274.88 Million $26.00 Million ▲ +29.9%
2016 1.32x $328.48 Million $249.18 Million $30.86 Million ▲ +1148.7%
2015 0.11x $18.25 Million $172.86 Million $18.25 Million ▲ +22.7%
2014 0.09x $16.41 Million $190.69 Million $16.41 Million ▼ -38.1%
2013 0.14x $18.33 Million $131.84 Million $18.33 Million ▲ +26.2%
2012 0.11x $15.26 Million $138.59 Million $15.26 Million ▲ +46.3%
2011 0.08x $9.45 Million $125.52 Million $9.45 Million ▼ -13.8%
2010 0.09x $8.88 Million $101.72 Million $8.88 Million ▼ -35.5%
2009 0.14x $10.25 Million $75.82 Million $10.25 Million ▼ -26.5%
2008 0.18x $13.46 Million $73.16 Million $13.46 Million ▼ -18.0%
2007 0.22x $12.89 Million $57.45 Million $12.89 Million ▲ +5.6%
2006 0.21x $9.96 Million $46.91 Million $9.96 Million ▼ -8.1%
2005 0.23x $8.27 Million $35.81 Million $8.27 Million ▲ +77.4%
2004 0.13x $5.74 Million $44.05 Million $5.74 Million ▼ -3.7%
2003 0.14x $3.77 Million $27.88 Million $3.77 Million ▼ -46.2%
2002 0.25x $5.85 Million $23.29 Million $5.85 Million ▼ -40.0%
2001 0.42x $6.93 Million $16.53 Million $6.93 Million ▼ -41.3%
2000 0.71x $8.66 Million $12.13 Million $8.66 Million ▼ -95.2%
1999 14.89x $119.10 Million $8.00 Million $119.10 Million ▲ +173.0%
1998 5.45x $51.80 Million $9.50 Million $51.80 Million ▲ +157.5%
1997 2.12x $3.60 Million $1.70 Million $3.60 Million ▲ +12.5%
1996 1.88x $3.20 Million $1.70 Million $3.20 Million ▲ +1570.6%
1995 0.11x $800.00K $7.10 Million $800.00K ▼ -63.4%
1994 0.31x $1.20 Million $3.90 Million $1.20 Million ▼ -13.8%
1993 0.36x $1.00 Million $2.80 Million $1.00 Million ▼ -59.2%
1992 0.88x $700.00K $800.00K $700.00K ▲ +1066.7%
1991 0.08x $600.00K $8.00 Million $600.00K ▼ -89.8%
1990 0.73x $1.10 Million $1.50 Million $1.10 Million ▲ +176.4%
1989 0.27x $1.30 Million $4.90 Million $1.30 Million —
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow