H&R Block Inc (HRB) — Cash Flow Reinvestment Rate

Latest as of June 2025: 0.06x

H&R Block Inc (HRB) has a Cash Flow Reinvestment Rate of 0.06x as of June 2025, reinvesting $15.77 Million (capex $10.25 Million plus investments $5.52 Million) from operating cash flow of $251.56 Million. Explore how much does H&R Block Inc reinvest in capital to see what proportion of operating cash flow is directed to capital expenditures.

Reinvestment Rate

0.06x
(Capex + Investments) / Operating CF

Total Reinvested

$15.77 Million
Capex + Investments

Operating Cash Flow

$251.56 Million
USD

Capital Expenditures

$10.25 Million
USD

H&R Block Inc Cash Flow Reinvestment Rate (1989–2025)

Historical reinvestment intensity for H&R Block Inc across 36 annual periods. Also explore H&R Block Inc assets under control for the complete picture of this company's asset base.

Annual Cash Flow Reinvestment Rate for H&R Block Inc (1989–2025)

Year-by-year capital reinvestment analysis for H&R Block Inc. For live market cap and broader valuation context, see H&R Block Inc (HRB) total market value.

Year Reinvestment Rate Total Reinvested (USD) Operating CF Capex YoY Change
2025 0.28x $187.41 Million $680.88 Million $82.03 Million ▲ +25.9%
2024 0.22x $157.54 Million $720.86 Million $63.68 Million ▲ +5.0%
2023 0.21x $171.09 Million $821.84 Million $69.70 Million ▲ +21.5%
2022 0.17x $138.50 Million $808.54 Million $61.95 Million ▲ +9.1%
2021 0.16x $98.31 Million $625.93 Million $52.79 Million ▼ -96.9%
2020 5.07x $551.92 Million $108.96 Million $81.69 Million ▲ +3117.4%
2019 0.16x $95.49 Million $606.54 Million $95.49 Million ▲ +35.7%
2018 0.12x $98.58 Million $850.00 Million $98.58 Million ▼ -28.5%
2017 0.16x $89.25 Million $550.09 Million $89.25 Million ▼ -13.6%
2016 0.19x $99.92 Million $532.39 Million $99.92 Million ▼ -4.5%
2015 0.20x $123.16 Million $626.61 Million $123.16 Million ▲ +8.2%
2014 0.18x $147.01 Million $809.58 Million $147.01 Million ▼ -20.3%
2013 0.23x $113.24 Million $497.11 Million $113.24 Million ▲ +0.0%
2012 0.23x $82.46 Million $362.05 Million $82.46 Million ▲ +85.4%
2011 0.12x $62.96 Million $512.50 Million $62.96 Million ▼ -20.3%
2010 0.15x $90.52 Million $587.47 Million $90.52 Million ▲ +61.3%
2009 0.10x $97.88 Million $1.02 Billion $97.88 Million ▼ -80.5%
2008 0.49x $105.91 Million $215.79 Million $105.91 Million ▲ +14.7%
2006 0.43x $250.51 Million $585.69 Million $250.51 Million ▲ +4.9%
2005 0.41x $209.46 Million $513.79 Million $209.46 Million ▲ +196.2%
2004 0.14x $127.57 Million $926.81 Million $127.57 Million ▼ -37.0%
2003 0.22x $150.90 Million $690.83 Million $150.90 Million ▲ +44.9%
2002 0.15x $111.78 Million $741.45 Million $111.78 Million ▼ -50.5%
2001 0.30x $90.03 Million $295.51 Million $90.03 Million ▲ +36.2%
2000 0.22x $113.03 Million $505.28 Million $113.03 Million ▼ -37.3%
1999 0.36x $78.82 Million $220.78 Million $78.82 Million ▲ +41.1%
1998 0.25x $46.80 Million $185.00 Million $46.80 Million ▼ -88.0%
1997 2.11x $164.50 Million $77.97 Million $164.50 Million ▲ +686.3%
1996 0.27x $36.97 Million $137.80 Million $36.97 Million ▼ -72.9%
1995 0.99x $123.34 Million $124.36 Million $123.34 Million ▲ +241.0%
1994 0.29x $83.70 Million $287.80 Million $83.70 Million ▲ +39.3%
1993 0.21x $71.90 Million $344.50 Million $71.90 Million ▲ +28.9%
1992 0.16x $55.80 Million $344.60 Million $55.80 Million ▼ -17.9%
1991 0.20x $38.30 Million $194.30 Million $38.30 Million ▼ -18.5%
1990 0.24x $28.40 Million $117.40 Million $28.40 Million ▼ -65.8%
1989 0.71x $26.60 Million $37.60 Million $26.60 Million
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow