The Buckle Key Executives

This section highlights The Buckle's key executives, including their titles and compensation details.

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The Buckle Earnings

This section highlights The Buckle's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: May 22, 2025
Time: Before Market
Est. EPS: $0.66
Status: Unconfirmed

Last Earnings Results

Date: March 14, 2025
EPS: $1.53
Est. EPS: $1.39
Revenue: $379.20M

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q4 2024 2025-03-14 $1.39 $1.53
Read Transcript Q3 2024 2024-11-22 $0.84 $0.88
Read Transcript Q2 2024 2024-08-23 $0.80 $0.78
Read Transcript Q1 2024 2024-05-24 $0.74 $0.69
Read Transcript Q4 2023 2024-03-15 $1.44 $1.59
Read Transcript Q3 2023 2023-11-17 $0.95 $1.04
Read Transcript Q1 2023 2023-05-26 $0.92 $0.86

The Buckle, Inc. (BKE)

The Buckle, Inc. operates as a retailer of casual apparel, footwear, and accessories for young men and women in the United States. It markets a selection of brand name casual apparel, including denims, other casual bottoms, tops, sportswear, outerwear, accessories, and footwear, as well as private label merchandise primarily comprising BKE, Buckle Black, Salvage, Red by BKE, Daytrip, Gimmicks, Gilded Intent, FITZ + EDDI, Willow & Root, Outpost Makers, Departwest, Reclaim, BKE Vintage, Nova Industries, J.B. Holt, and Veece. The company also provides services, such as hemming, gift-packaging, layaways, guest loyalty program, the Buckle private label credit card, and personalized stylist services, as well as special order system that allows stores to obtain requested merchandise from other company stores or its online order fulfillment center. As of March 11, 2022, it operated 440 retail stores in 42 states under the Buckle and The Buckle names. The Buckle, Inc. also sells its products through its website, buckle.com. The company was formerly known as Mills Clothing, Inc. and changed its name to The Buckle, Inc. in April 1991. The Buckle, Inc. was incorporated in 1948 and is headquartered in Kearney, Nebraska.

Consumer Cyclical Apparel - Retail

$39.97

Stock Price

$2.03B

Market Cap

-

Employees

Kearney, NE

Location

Financial Statements

Access annual & quarterly financial statements for The Buckle, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown February 01, 2025 February 03, 2024 January 28, 2023 January 29, 2022 January 30, 2021
Revenue $1.22B $1.26B $1.35B $1.29B $901.28M
Cost of Revenue $624.90M $642.04M $669.18M $641.60M $500.61M
Gross Profit $592.79M $619.07M $676.00M $653.01M $400.67M
Gross Profit Ratio 48.68% 49.10% 50.25% 50.40% 44.46%
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $58.25M $56.99M $53.98M $51.09M $41.49M
Selling and Marketing Expenses $293.18M $291.02M $293.89M $266.42M $191.16M
Selling General and Administrative Expenses $351.42M $348.01M $347.87M $317.51M $232.65M
Other Expenses $- $- $6.92M $2.26M $2.92M
Operating Expenses $351.42M $348.01M $347.87M $317.51M $232.65M
Cost and Expenses $976.33M $990.04M $1.02B $959.11M $733.26M
Interest Income $- $- $6.92M $2.26M $2.92M
Interest Expense $- $- $- $- $-
Depreciation and Amortization $22.13M $20.83M $18.86M $18.69M $20.86M
EBITDA $263.50M $291.89M $346.99M $354.19M $188.88M
EBITDA Ratio 21.64% 23.15% 24.39% 25.92% 18.64%
Operating Income $241.36M $271.06M $328.13M $335.50M $168.02M
Operating Income Ratio 19.82% 21.49% 24.39% 25.92% 18.64%
Total Other Income Expenses Net $16.41M $18.16M $6.92M $2.26M $2.92M
Income Before Tax $257.78M $289.21M $335.06M $337.75M $170.95M
Income Before Tax Ratio 21.17% 22.93% 24.91% 26.09% 18.97%
Income Tax Expense $62.31M $69.30M $80.43M $82.94M $40.81M
Net Income $195.47M $219.92M $254.63M $254.82M $130.14M
Net Income Ratio 16.05% 17.44% 18.93% 19.68% 14.44%
EPS $3.89 $4.44 $5.17 $5.20 $2.67
EPS Diluted $3.89 $4.40 $5.13 $5.16 $2.66
Weighted Average Shares Outstanding 50.25M 49.58M 49.27M 48.99M 48.76M
Weighted Average Shares Outstanding Diluted 50.31M 49.95M 49.63M 49.38M 49.01M
SEC Filing Source Source Source Source Source


Breakdown February 01, 2025 November 02, 2024 August 03, 2024 May 04, 2024 February 03, 2024 October 28, 2023 July 29, 2023 April 29, 2023 January 28, 2023 October 29, 2022 July 30, 2022 April 30, 2022 January 29, 2022 October 30, 2021 July 31, 2021 May 01, 2021 January 30, 2021 October 31, 2020 August 01, 2020 May 02, 2020
Revenue $379.20M $293.62M $282.39M $262.48M $382.38M $303.46M $292.43M $282.83M $401.81M $332.34M $301.98M $309.06M $380.93M $319.43M $295.12M $299.12M $318.83M $251.00M $216.03M $115.41M
Cost of Revenue $179.71M $153.55M $149.86M $141.78M $182.20M $156.24M $154.02M $149.58M $188.73M $166.94M $156.61M $156.90M $178.56M $158.37M $153.10M $151.57M $155.32M $134.06M $122.64M $88.59M
Gross Profit $199.49M $140.07M $132.53M $120.70M $200.18M $147.22M $138.41M $133.26M $213.07M $165.40M $145.37M $152.16M $202.37M $161.07M $142.02M $147.55M $163.51M $116.95M $93.38M $26.82M
Gross Profit Ratio 52.61% 47.71% 46.90% 46.00% 52.40% 48.50% 47.30% 47.10% 53.00% 49.80% 48.10% 49.20% 53.10% 50.40% 48.10% 49.30% 51.28% 46.59% 43.23% 23.24%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $16.54M $13.60M $13.53M $14.57M $17.74M $12.91M $12.91M $13.43M $18.62M $11.83M $11.67M $11.86M $17.17M $11.08M $11.08M $11.75M $12.46M $9.93M $9.59M $9.50M
Selling and Marketing Expenses $86.72M $71.99M $70.74M $63.73M $85.94M $70.24M $68.74M $66.10M $84.52M $74.15M $67.98M $67.25M $75.60M $67.77M $63.06M $60.00M $66.50M $52.89M $38.26M $33.50M
Selling General and Administrative Expenses $103.26M $85.59M $84.27M $78.30M $103.68M $83.15M $81.65M $79.53M $103.14M $85.98M $79.66M $79.10M $92.77M $78.85M $74.14M $71.75M $78.97M $62.82M $47.85M $43.01M
Other Expenses $- $- $- $3.75M $6.83M $4.49M $3.69M $3.14M $- $- $703.00K $125.00K $1.79M $192.00K $222.00K $51.00K $927.00K $1.02M $404.00K $574.00K
Operating Expenses $103.26M $85.59M $84.27M $78.30M $103.68M $83.15M $81.65M $79.53M $103.14M $85.98M $79.66M $79.10M $92.77M $78.85M $74.14M $71.75M $78.97M $62.82M $47.85M $43.01M
Cost and Expenses $282.97M $239.13M $234.13M $220.08M $285.88M $239.39M $235.67M $229.10M $291.87M $252.92M $236.26M $236.00M $271.33M $237.22M $227.24M $223.32M $234.29M $196.88M $170.49M $131.59M
Interest Income $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Interest Expense $- $- $- $- $3.14M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Depreciation and Amortization $5.51M $- $5.67M $5.42M $5.98M $4.94M $5.06M $4.85M $5.26M $4.41M $4.69M $4.49M $4.66M $4.33M $4.89M $4.81M $5.17M $4.68M $5.53M $5.48M
EBITDA $101.73M $54.48M $53.93M $47.82M $102.48M $69.01M $61.82M $58.58M $115.20M $83.83M $70.41M $77.55M $114.26M $86.55M $72.77M $80.61M $89.72M $58.81M $51.06M $-10.70M
EBITDA Ratio 26.83% 18.56% 19.10% 18.22% 26.80% 21.11% 19.41% 19.00% 28.67% 25.22% 23.32% 23.64% 28.77% 25.74% 23.00% 25.34% 26.52% 21.56% 21.08% -14.02%
Operating Income $96.22M $54.48M $48.26M $42.40M $96.50M $64.06M $56.76M $53.73M $109.94M $79.42M $65.71M $73.06M $109.60M $82.22M $67.88M $75.80M $84.55M $54.13M $45.53M $-16.18M
Operating Income Ratio 25.38% 18.56% 17.09% 16.15% 25.24% 21.11% 19.41% 19.00% 27.36% 23.90% 21.76% 23.64% 28.77% 25.74% 23.00% 25.34% 26.52% 21.56% 21.08% -14.02%
Total Other Income Expenses Net $4.90M $4.02M $3.73M $3.75M $6.83M $4.49M $3.69M $3.14M $4.21M $1.88M $703.00K $125.00K $1.79M $192.00K $222.00K $51.00K $927.00K $1.02M $404.00K $574.00K
Income Before Tax $101.13M $58.51M $51.99M $46.15M $103.34M $68.56M $60.45M $56.87M $114.15M $81.31M $66.42M $73.18M $111.39M $82.41M $68.10M $75.85M $85.47M $55.15M $45.94M $-15.61M
Income Before Tax Ratio 26.67% 19.93% 18.41% 17.58% 27.02% 22.59% 20.67% 20.11% 28.41% 24.46% 21.99% 23.68% 29.24% 25.80% 23.08% 25.36% 26.81% 21.97% 21.26% -13.52%
Income Tax Expense $23.93M $14.33M $12.74M $11.31M $23.76M $16.79M $14.81M $13.93M $26.31M $19.92M $16.27M $17.93M $27.48M $20.19M $16.68M $18.58M $19.87M $13.51M $11.25M $-3.82M
Net Income $77.20M $44.17M $39.26M $34.84M $79.58M $51.76M $45.64M $42.94M $87.84M $61.39M $50.14M $55.25M $83.92M $62.22M $51.42M $57.27M $65.61M $41.63M $34.68M $-11.78M
Net Income Ratio 20.36% 15.04% 13.90% 13.27% 20.81% 17.06% 15.61% 15.18% 21.86% 18.47% 16.61% 17.88% 22.03% 19.48% 17.42% 19.15% 20.58% 16.59% 16.05% -10.21%
EPS $1.53 $0.89 $0.79 $0.70 $1.60 $1.05 $0.92 $0.87 $1.78 $1.25 $1.02 $1.12 $1.71 $1.27 $1.05 $1.17 $1.34 $0.85 $0.71 $-0.24
EPS Diluted $1.53 $0.88 $0.78 $0.69 $1.59 $1.04 $0.92 $0.86 $1.76 $1.24 $1.01 $1.12 $1.69 $1.26 $1.04 $1.16 $1.33 $0.85 $0.71 $-0.24
Weighted Average Shares Outstanding 50.46M 49.85M 49.85M 49.85M 49.79M 49.51M 49.51M 49.51M 49.44M 49.21M 49.21M 49.21M 49.14M 48.95M 48.95M 48.95M 48.87M 48.71M 48.71M 48.73M
Weighted Average Shares Outstanding Diluted 50.55M 50.30M 50.22M 50.17M 50.15M 49.94M 49.88M 49.86M 49.86M 49.60M 49.53M 49.53M 49.53M 49.36M 49.34M 49.31M 49.23M 48.99M 48.91M 48.92M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown February 01, 2025 February 03, 2024 January 28, 2023 January 29, 2022 January 30, 2021
Cash and Cash Equivalents $266.93M $268.21M $252.08M $253.97M $318.79M
Short Term Investments $23.80M $22.21M $21.00M $12.93M $3.36M
Cash and Short Term Investments $290.73M $290.42M $273.07M $266.90M $322.15M
Net Receivables $6.76M $8.70M $12.65M $12.09M $2.82M
Inventory $120.79M $126.29M $125.13M $102.09M $101.06M
Other Current Assets $20.93M $18.85M $12.48M $10.13M $22.38M
Total Current Assets $439.21M $444.26M $423.34M $391.21M $437.22M
Property Plant Equipment Net $435.55M $409.65M $383.82M $359.42M $379.77M
Goodwill $- $- $- $- $-
Intangible Assets $- $- $- $- $-
Goodwill and Intangible Assets $- $- $-8.35M $-9.49M $-9.11M
Long Term Investments $- $24.99M $20.62M $19.35M $18.32M
Tax Assets $- $- $8.35M $9.49M $9.11M
Other Non-Current Assets $38.42M $10.91M $9.80M $10.91M $10.50M
Total Non-Current Assets $473.96M $445.55M $414.24M $389.68M $408.59M
Other Assets $- $- $- $- $-
Total Assets $913.17M $889.81M $837.58M $780.88M $845.81M
Account Payables $45.98M $45.96M $44.84M $59.95M $43.40M
Short Term Debt $78.94M $85.27M $178.37M $176.55M $163.52M
Tax Payables $- $4.67M $- $1.53M $10.75M
Deferred Revenue $- $- $16.78M $16.47M $66.92M
Other Current Liabilities $89.01M $85.56M $2.83M $10.52M $-11.31M
Total Current Liabilities $213.93M $221.46M $226.04M $248.54M $206.36M
Long Term Debt $247.32M $230.14M $214.60M $200.07M $224.51M
Deferred Revenue Non-Current $- $- $- $- $-
Deferred Tax Liabilities Non-Current $- $- $1.14M $- $-
Other Non-Current Liabilities $28.12M $24.99M $20.62M $19.35M $18.32M
Total Non-Current Liabilities $275.44M $255.13M $235.22M $219.42M $242.83M
Other Liabilities $- $- $- $- $-
Total Liabilities $489.37M $476.59M $461.26M $467.96M $449.19M
Preferred Stock $- $- $1 $- $-
Common Stock $508.00K $504.00K $501.00K $497.00K $494.00K
Retained Earnings $217.48M $220.03M $196.85M $145.10M $238.08M
Accumulated Other Comprehensive Income Loss $-0 $- $0 $-0 $-
Other Total Stockholders Equity $205.82M $192.69M $178.96M $167.33M $158.06M
Total Stockholders Equity $423.80M $413.22M $376.31M $312.92M $396.63M
Total Equity $423.80M $413.22M $376.31M $312.92M $396.63M
Total Liabilities and Stockholders Equity $913.17M $889.81M $837.58M $780.88M $845.81M
Minority Interest $- $- $- $- $-
Total Liabilities and Total Equity $913.17M $889.81M $837.58M $780.88M $845.81M
Total Investments $23.80M $47.20M $41.62M $32.28M $21.68M
Total Debt $326.26M $315.41M $303.79M $288.34M $306.27M
Net Debt $59.33M $47.19M $51.71M $34.37M $-12.52M


Balance Sheet Charts

Breakdown February 01, 2025 November 02, 2024 August 03, 2024 May 04, 2024 February 03, 2024 October 28, 2023 July 29, 2023 April 29, 2023 January 28, 2023 October 29, 2022 July 30, 2022 April 30, 2022 January 29, 2022 October 30, 2021 July 31, 2021 May 01, 2021 January 30, 2021 October 31, 2020 August 01, 2020 May 02, 2020
Cash and Cash Equivalents $266.93M $301.96M $287.27M $267.43M $268.21M $311.66M $275.58M $254.43M $252.08M $302.18M $266.73M $250.07M $253.97M $468.73M $406.71M $393.15M $318.79M $331.92M $265.71M $185.04M
Short Term Investments $23.80M $23.48M $21.86M $23.05M $22.21M $23.45M $23.71M $23.07M $21.00M $22.90M $17.39M $12.89M $12.93M $11.30M $8.59M $697.00K $3.36M $7.41M $12.64M $17.66M
Cash and Short Term Investments $290.73M $325.44M $309.12M $290.48M $290.42M $335.10M $299.30M $277.50M $273.07M $325.08M $284.12M $262.97M $266.90M $480.04M $415.31M $393.85M $322.15M $339.33M $278.35M $202.70M
Net Receivables $6.76M $7.90M $7.70M $6.14M $8.70M $10.34M $9.68M $6.36M $12.65M $16.07M $13.02M $4.41M $12.09M $5.63M $6.67M $1.67M $2.82M $1.76M $2.39M $1.77M
Inventory $120.79M $149.35M $131.42M $130.66M $126.29M $152.29M $136.07M $137.74M $125.13M $152.34M $128.50M $121.17M $102.09M $100.59M $95.28M $89.02M $101.06M $118.71M $116.48M $121.67M
Other Current Assets $20.93M $22.24M $20.96M $19.55M $18.85M $11.21M $10.18M $12.32M $12.48M $24.74M $18.89M $19.66M $10.13M $23.54M $40.59M $41.23M $22.38M $43.50M $40.78M $26.88M
Total Current Assets $439.21M $504.93M $469.20M $446.83M $444.26M $508.94M $455.23M $433.92M $423.34M $505.86M $435.08M $408.21M $391.21M $598.03M $537.54M $505.15M $437.22M $481.55M $417.61M $339.58M
Property Plant Equipment Net $435.55M $430.72M $431.53M $420.72M $409.65M $377.49M $371.24M $381.78M $383.82M $345.76M $341.07M $349.07M $359.42M $363.47M $363.86M $380.84M $379.77M $389.49M $411.89M $436.66M
Goodwill $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Intangible Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Goodwill and Intangible Assets $- $- $- $- $- $- $- $- $- $- $- $- $-9.49M $- $- $- $- $- $- $-
Long Term Investments $- $27.26M $26.98M $26.76M $26.45M $22.51M $23.62M $22.51M $20.62M $19.58M $20.64M $20.14M $19.35M $20.02M $19.56M $19.09M $18.32M $16.73M $16.54M $15.92M
Tax Assets $- $- $- $- $9.44M $- $- $- $- $- $- $- $9.49M $- $- $- $- $- $- $-
Other Non-Current Assets $38.42M $13.36M $12.56M $11.76M $15.00K $12.27M $11.47M $10.66M $9.80M $12.95M $12.28M $11.62M $10.91M $12.31M $11.72M $11.13M $10.50M $10.10M $9.78M $9.49M
Total Non-Current Assets $473.96M $471.34M $471.07M $459.24M $445.55M $412.27M $406.32M $414.94M $414.24M $378.29M $373.99M $380.82M $389.68M $395.80M $395.14M $411.06M $408.59M $416.33M $438.21M $462.07M
Other Assets $- $- $- $- $- $- $- $- $- $- $1 $- $- $- $- $- $- $- $- $-
Total Assets $913.17M $976.27M $940.27M $906.07M $889.81M $921.21M $861.55M $848.86M $837.58M $884.15M $809.06M $789.03M $780.88M $993.83M $932.68M $916.21M $845.81M $897.88M $855.82M $801.65M
Account Payables $45.98M $67.70M $62.82M $54.81M $45.96M $63.32M $54.26M $57.77M $44.84M $74.03M $63.04M $61.25M $59.95M $63.52M $67.81M $53.63M $43.40M $57.63M $48.14M $19.21M
Short Term Debt $78.94M $76.96M $159.17M $167.29M $170.53M $157.77M $161.33M $169.24M $89.19M $157.70M $161.65M $169.13M $88.27M $168.73M $164.51M $169.26M $81.76M $157.72M $162.85M $168.82M
Tax Payables $- $2.52M $- $15.21M $4.67M $536.00K $- $8.52M $- $- $- $13.65M $1.53M $4.00K $- $29.74M $10.75M $7.99M $- $72.00K
Deferred Revenue $- $- $-53.46M $14.37M $16.67M $61.66M $48.89M $14.32M $- $11.78M $12.41M $13.61M $83.85M $80.27M $64.60M $83.57M $66.92M $54.70M $30.97M $13.51M
Other Current Liabilities $89.01M $65.59M $-15.77M $-32.03M $296.00K $-5.46M $-18.81M $-28.73M $92.02M $8.38M $-8.41M $-20.31M $98.79M $7.04M $-6.22M $-18.58M $70.45M $-20.06M $-37.85M $-63.17M
Total Current Liabilities $213.93M $212.77M $206.22M $205.28M $221.46M $216.16M $196.78M $206.80M $226.04M $240.10M $216.28M $223.71M $248.54M $239.29M $226.10M $234.04M $206.36M $203.28M $173.15M $138.44M
Long Term Debt $247.32M $247.85M $248.42M $240.21M $230.14M $208.52M $204.62M $214.37M $214.60M $188.86M $183.64M $191.59M $200.07M $208.71M $209.47M $222.98M $224.51M $235.46M $251.83M $270.05M
Deferred Revenue Non-Current $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Deferred Tax Liabilities Non-Current $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Non-Current Liabilities $28.12M $27.26M $26.98M $26.76M $24.99M $22.51M $23.62M $22.51M $20.62M $19.58M $20.16M $20.14M $19.35M $20.02M $19.56M $19.09M $18.32M $16.73M $16.54M $15.20M
Total Non-Current Liabilities $275.44M $275.11M $275.41M $266.98M $255.13M $231.03M $228.24M $236.88M $235.22M $208.44M $203.81M $211.73M $219.42M $228.73M $229.03M $242.07M $242.83M $252.19M $268.37M $285.26M
Other Liabilities $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $489.37M $487.88M $481.63M $472.25M $476.59M $447.19M $425.01M $443.69M $461.26M $448.54M $420.09M $435.44M $467.96M $468.03M $455.13M $476.11M $449.19M $455.48M $441.52M $423.70M
Preferred Stock $- $- $- $- $- $- $- $- $- $- $- $1 $- $0 $1 $1 $- $- $- $-
Common Stock $508.00K $508.00K $508.00K $508.00K $504.00K $504.00K $504.00K $505.00K $501.00K $501.00K $501.00K $501.00K $497.00K $498.00K $498.00K $498.00K $494.00K $494.00K $494.00K $494.00K
Retained Earnings $217.48M $284.99M $258.58M $237.10M $220.03M $284.22M $250.11M $222.12M $196.85M $259.29M $215.43M $182.82M $145.10M $359.69M $313.91M $278.92M $238.08M $286.13M $259.30M $224.61M
Accumulated Other Comprehensive Income Loss $-0 $- $0 $0 $- $- $- $-0 $- $- $0 $0 $-0 $-0 $0 $0 $-350.94M $-349.41M $-345.82M $-341.07M
Other Total Stockholders Equity $205.82M $202.90M $199.55M $196.21M $192.69M $189.30M $185.92M $182.54M $178.96M $175.82M $173.05M $170.27M $167.33M $165.61M $163.15M $160.68M $158.06M $155.78M $154.52M $152.84M
Total Stockholders Equity $423.80M $488.39M $458.64M $433.81M $413.22M $474.02M $436.54M $405.17M $376.31M $435.61M $388.98M $353.59M $312.92M $525.80M $477.55M $440.10M $396.63M $442.40M $414.31M $377.95M
Total Equity $423.80M $488.39M $458.64M $433.81M $413.22M $474.02M $436.54M $405.17M $376.31M $435.61M $388.98M $353.59M $312.92M $525.80M $477.55M $440.10M $396.63M $442.40M $414.31M $377.95M
Total Liabilities and Stockholders Equity $913.17M $976.27M $940.27M $906.07M $889.81M $921.21M $861.55M $848.86M $837.58M $884.15M $809.06M $789.03M $780.88M $993.83M $932.68M $916.21M $845.81M $897.88M $855.82M $801.65M
Minority Interest $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $913.17M $976.27M $940.27M $906.07M $889.81M $921.21M $861.55M $848.86M $837.58M $884.15M $809.06M $789.03M $780.88M $993.83M $932.68M $916.21M $845.81M $897.88M $855.82M $801.65M
Total Investments $23.80M $50.74M $48.84M $49.81M $48.66M $45.95M $47.33M $45.58M $41.62M $42.48M $38.03M $33.03M $32.28M $31.33M $28.15M $19.78M $21.68M $24.14M $29.17M $33.58M
Total Debt $326.26M $324.81M $328.01M $323.86M $315.41M $287.40M $285.28M $298.99M $303.79M $78.85M $264.47M $276.16M $288.34M $293.07M $291.73M $307.61M $306.27M $314.32M $333.26M $354.46M
Net Debt $59.33M $22.86M $40.74M $56.43M $47.19M $-24.26M $9.70M $44.56M $51.71M $-223.33M $-2.26M $26.08M $34.37M $-175.66M $-114.99M $-85.54M $-12.52M $-17.60M $67.54M $169.43M

Annual Cash Flow

Breakdown February 01, 2025 February 03, 2024 January 28, 2023 January 29, 2022 January 30, 2021
Net Income $195.47M $219.92M $254.63M $254.82M $130.14M
Depreciation and Amortization $- $20.83M $18.86M $18.69M $20.86M
Deferred Income Tax $- $-1.09M $1.14M $-381.00K $-1.30M
Stock Based Compensation $- $- $11.64M $9.27M $6.17M
Change in Working Capital $- $223.00K $-44.59M $29.35M $71.27M
Accounts Receivables $- $-1.01M $-94.00K $-3.28M $20.16M
Inventory $- $-1.16M $-23.04M $-1.03M $20.20M
Accounts Payables $- $92.00K $-16.21M $15.91M $16.75M
Other Working Capital $- $2.30M $-5.24M $17.75M $14.17M
Other Non Cash Items $-195.47M $14.76M $18.91M $-16.91M $-6.49M
Net Cash Provided by Operating Activities $- $254.64M $242.38M $311.75M $227.42M
Investments in Property Plant and Equipment $- $-37.27M $-30.36M $-19.10M $-7.66M
Acquisitions Net $- $- $- $954.00K $111.00K
Purchases of Investments $- $-43.39M $-34.04M $-18.78M $-17.63M
Sales Maturities of Investments $- $38.91M $23.03M $8.18M $24.34M
Other Investing Activities $- $-22.00K $-30.00K $-30.00K $62.00K
Net Cash Used for Investing Activities $- $-41.77M $-41.40M $-28.77M $-768.00K
Debt Repayment $- $- $- $- $-
Common Stock Issued $- $- $- $- $-
Common Stock Repurchased $- $- $- $- $-372.00K
Dividends Paid $- $-196.74M $-202.88M $-347.80M $-128.46M
Other Financing Activities $- $- $- $- $-
Net Cash Used Provided by Financing Activities $- $-196.74M $-202.88M $-347.80M $-128.83M
Effect of Forex Changes on Cash $- $- $- $- $-
Net Change in Cash $-268.21M $16.14M $-1.89M $-64.82M $97.82M
Cash at End of Period $- $268.21M $252.08M $253.97M $318.79M
Cash at Beginning of Period $268.21M $252.08M $253.97M $318.79M $220.97M
Operating Cash Flow $- $254.64M $242.38M $311.75M $227.42M
Capital Expenditure $- $-37.27M $-30.36M $-19.10M $-7.66M
Free Cash Flow $- $217.37M $212.02M $292.65M $219.76M

Cash Flow Charts

Breakdown February 01, 2025 November 02, 2024 August 03, 2024 May 04, 2024 February 03, 2024 October 28, 2023 July 29, 2023 April 29, 2023 January 28, 2023 October 29, 2022 July 30, 2022 April 30, 2022 January 29, 2022 October 30, 2021 July 31, 2021 May 01, 2021 January 30, 2021 October 31, 2020 August 01, 2020 May 02, 2020
Net Income $77.20M $44.17M $39.26M $34.84M $79.58M $51.76M $45.64M $42.94M $87.84M $61.39M $50.14M $55.25M $83.92M $62.22M $51.42M $57.27M $65.61M $41.63M $34.68M $-11.78M
Depreciation and Amortization $- $5.51M $5.67M $5.42M $5.98M $4.94M $5.06M $4.85M $5.26M $4.41M $4.69M $4.49M $4.66M $4.33M $4.89M $4.81M $5.17M $4.68M $5.53M $5.48M
Deferred Income Tax $- $-802.00K $-803.00K $-846.00K $1.39M $-811.00K $-810.00K $-860.00K $3.18M $-666.00K $-666.00K $-707.00K $1.43M $-591.00K $-592.00K $-631.00K $-363.00K $-303.00K $-402.00K $-230.00K
Stock Based Compensation $- $- $- $-36.06M $3.39M $3.38M $3.38M $3.58M $- $- $2.77M $2.95M $1.72M $2.46M $2.46M $2.63M $2.28M $1.26M $1.68M $957.00K
Change in Working Capital $- $-8.49M $-266.00K $-13.27M $18.61M $4.38M $-5.43M $-17.33M $7.52M $-2.39M $-9.20M $-40.51M $-596.00K $15.96M $-15.28M $29.26M $28.23M $29.83M $35.97M $-22.77M
Accounts Receivables $- $-715.00K $-497.00K $1.66M $-105.00K $-1.35M $-6.79M $720.00K $632.00K $-2.36M $-52.00K $1.69M $-3.28M $9.73M $-30.51M $1.15M $313.00K $8.83M $-2.49M $1.86M
Inventory $- $-17.93M $-757.00K $-4.37M $26.00M $-16.21M $1.66M $-12.60M $27.20M $-23.84M $-7.33M $-19.07M $-1.50M $-5.32M $-6.26M $12.05M $17.64M $-2.23M $5.19M $-413.00K
Accounts Payables $- $5.80M $6.15M $10.82M $-19.18M $9.23M $-3.59M $13.63M $-29.59M $10.76M $1.51M $1.11M $-3.05M $-5.46M $14.18M $10.24M $-14.69M $9.70M $28.69M $-6.95M
Other Working Capital $- $4.35M $-5.16M $-21.37M $11.89M $12.72M $3.29M $-19.08M $9.28M $13.05M $-3.33M $-24.24M $7.24M $17.01M $7.30M $5.82M $24.96M $13.53M $4.58M $-17.26M
Other Non Cash Items $-77.20M $3.36M $3.75M $6.47M $8.99M $195.00K $369.00K $41.24M $3.48M $2.87M $18.28M $41.94M $-11.29M $-10.94M $2.50M $12.22M $-10.49M $1.32M $1.69M $18.62M
Net Cash Provided by Operating Activities $- $43.75M $47.60M $29.88M $109.30M $63.84M $48.20M $33.30M $107.29M $65.60M $47.99M $21.50M $90.70M $84.59M $42.93M $93.53M $101.09M $77.17M $77.47M $-28.30M
Investments in Property Plant and Equipment $- $-10.15M $-11.47M $-10.83M $-9.32M $-10.12M $-8.55M $-9.32M $-7.99M $-7.45M $-7.81M $-7.11M $-6.92M $-2.97M $-4.58M $-4.64M $-3.10M $-1.17M $-1.31M $-2.07M
Acquisitions Net $- $- $- $- $4.00K $- $851.00K $3.96M $- $- $- $753.00K $954.00K $- $- $- $111.00K $- $- $-
Purchases of Investments $- $-7.54M $-11.88M $-10.77M $-11.29M $-6.83M $-14.08M $-11.19M $-4.72M $-11.65M $-11.79M $-5.88M $-3.80M $-4.28M $-9.12M $-1.58M $-1.55M $-121.00K $-1.22M $-14.74M
Sales Maturities of Investments $- $6.40M $13.35M $8.71M $11.62M $6.83M $13.22M $7.24M $5.63M $6.47M $5.79M $5.13M $2.85M $1.10M $755.00K $3.47M $4.01M $5.16M $5.62M $9.55M
Other Investing Activities $- $- $- $-2.07M $-3.00K $3.00K $-851.00K $-3.96M $-30.00K $- $-5.99M $-753.00K $924.00K $-3.18M $-8.37M $1.90M $-30.00K $-19.00K $111.00K $-5.19M
Net Cash Used for Investing Activities $- $-11.29M $-10.00M $-12.90M $-8.98M $-10.11M $-9.40M $-13.28M $-7.11M $-12.62M $-13.80M $-7.87M $-6.95M $-6.14M $-12.94M $-2.74M $-562.00K $3.84M $3.21M $-7.26M
Debt Repayment $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Issued $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Repurchased $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-372.00K
Dividends Paid $- $-17.77M $-17.77M $-17.77M $-143.77M $-17.66M $-17.65M $-17.66M $-150.28M $-17.53M $-17.53M $-17.53M $-298.51M $-16.43M $-16.43M $-16.43M $-113.66M $-14.80M $- $-
Other Financing Activities $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Net Cash Used Provided by Financing Activities $- $-17.77M $-17.77M $-17.77M $-143.77M $-17.66M $-17.65M $-17.66M $-150.28M $-17.53M $-17.53M $-17.53M $-298.51M $-16.43M $-16.43M $-16.43M $-113.66M $-14.80M $- $-372.00K
Effect of Forex Changes on Cash $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Net Change in Cash $-301.96M $14.69M $19.84M $-786.00K $-43.44M $36.07M $21.15M $2.36M $-50.10M $35.45M $16.66M $-3.90M $-214.76M $62.02M $13.56M $74.36M $-13.13M $66.21M $80.68M $-35.93M
Cash at End of Period $- $301.96M $287.27M $267.43M $268.21M $311.66M $275.58M $254.43M $252.08M $302.18M $266.73M $250.07M $253.97M $468.73M $406.71M $393.15M $318.79M $331.92M $265.71M $185.04M
Cash at Beginning of Period $301.96M $287.27M $267.43M $268.21M $311.66M $275.58M $254.43M $252.08M $302.18M $266.73M $250.07M $253.97M $468.73M $406.71M $393.15M $318.79M $331.92M $265.71M $185.04M $220.97M
Operating Cash Flow $- $43.75M $47.60M $29.88M $109.30M $63.84M $48.20M $33.30M $107.29M $65.60M $47.99M $21.50M $90.70M $84.59M $42.93M $93.53M $101.09M $77.17M $77.47M $-28.30M
Capital Expenditure $- $-10.15M $-11.47M $-10.83M $-9.32M $-10.12M $-8.55M $-9.32M $-7.99M $-7.45M $-7.81M $-7.11M $-6.92M $-2.97M $-4.58M $-4.64M $-3.10M $-1.17M $-1.31M $-2.07M
Free Cash Flow $- $33.60M $36.13M $19.05M $99.99M $53.73M $39.66M $23.98M $99.29M $58.16M $40.18M $14.39M $83.78M $81.62M $38.36M $88.90M $97.99M $75.99M $76.16M $-30.37M

The Buckle Dividends

Explore The Buckle's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

-

Dividend Payout Ratio

-

Dividend Paid & Capex Coverage Ratio

0.00x

The Buckle Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$2.85 $2.85 January 15, 2025 January 15, 2025 January 29, 2025 December 10, 2024
$0.35 $0.35 October 11, 2024 October 11, 2024 October 25, 2024 September 10, 2024
$0.35 $0.35 July 12, 2024 July 12, 2024 July 26, 2024 June 04, 2024
$0.35 $0.35 April 11, 2024 April 12, 2024 April 26, 2024 March 26, 2024
$2.85 $2.85 January 11, 2024 January 12, 2024 January 26, 2024 December 04, 2023
$0.35 $0.35 October 12, 2023 October 13, 2023 October 27, 2023 September 11, 2023
$0.35 $0.35 July 13, 2023 July 14, 2023 July 28, 2023 June 06, 2023
$0.35 $0.35 April 13, 2023 April 14, 2023 April 28, 2023 March 21, 2023
$3 $3 January 12, 2023 January 13, 2023 January 27, 2023 December 06, 2022
$0.35 $0.35 October 13, 2022 October 14, 2022 October 28, 2022 September 12, 2022
$0.35 $0.35 July 14, 2022 July 15, 2022 July 29, 2022 June 07, 2022
$0.35 $0.35 April 13, 2022 April 14, 2022 April 28, 2022 March 21, 2022
$6 $5.65 December 17, 2021 December 20, 2021 December 29, 2021 December 03, 2021
$0.33 $0.33 October 14, 2021 October 15, 2021 October 29, 2021 September 13, 2021
$0.33 $0.33 July 14, 2021 July 15, 2021 July 29, 2021 June 07, 2021
$0.33 $0.33 April 14, 2021 April 15, 2021 April 29, 2021 March 23, 2021
$2.3 $2.3 December 18, 2020 December 21, 2020 December 29, 2020 December 07, 2020
$0.3 $0.3 October 14, 2020 October 15, 2020 October 29, 2020 September 14, 2020
$1.25 $1.55 January 09, 2020 January 10, 2020 January 24, 2020 December 02, 2019
$0.25 $0.25 October 10, 2019 October 11, 2019 October 25, 2019 September 16, 2019

The Buckle News

Read the latest news about The Buckle, including recent articles, headlines, and updates.

The Buckle, Inc. Reports Quarterly Dividend and Announces the Appointment of Justin D. Ellison as Vice President of Information Security

KEARNEY, Neb.--(BUSINESS WIRE)--The Buckle, Inc. Reports Quarterly Dividend and Announces the Appointment of Justin D. Ellison as Vice President of Information Security.

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The Buckle, Inc. (BKE) Q4 2024 Earnings Call Transcript

The Buckle, Inc. (NYSE:BKE ) Q4 2024 Earnings Conference Call March 14, 2025 10:00 AM ET Company Participants Dennis Nelson - President & CEO Thomas Heacock - SVP of Finance, Treasurer & CFO Adam Akerson - VP of Finance & Corporate Controller Conference Call Participants Mauricio Serna - UBS Jonathan Braatz - Oppenheimer Alan Glenn - Concord & Main Operator Good morning, and thank you for standing by. Welcome to Buckle's Fourth Quarter Earnings Release Webcast.

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The Buckle, Inc. Reports Fourth Quarter and Fiscal Year 2024 Net Income

KEARNEY, Neb.--(BUSINESS WIRE)--The Buckle, Inc. Reports Fourth Quarter and Fiscal Year 2024 Net Income.

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Dividend Investors, Buckle Up - This Market Is About To Get Wild

Navigating this unpredictable market feels like driving through a storm; it's exhausting, but if we do it right, we're still going somewhere. With macro trends not mattering much at the moment and politics driving volatility, I'm leaning into stock-picking, focusing on quality dividend payers like Canadian Natural Resources and Amphenol. While tariffs, inflation, and deficits add layers of complexity, I see short-term pain as a setup for long-term gains.

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The Buckle, Inc. Reports February 2025 Net Sales and Announces Fourth Quarter Earnings Conference Call

KEARNEY, Neb.--(BUSINESS WIRE)--THE BUCKLE, INC. REPORTS FEBRUARY 2025 NET SALES AND ANNOUNCES FOURTH QUARTER EARNINGS CONFERENCE CALL.

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The Buckle, Inc. Reports January 2025 Net Sales

KEARNEY, Neb.--(BUSINESS WIRE)--The Buckle, Inc. Reports January 2025 Net Sales.

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Meta CEO Mark Zuckerberg tells employees to 'buckle up' for an 'intense year' in a leaked all-hands recording

Meta CEO Mark Zuckerberg told staffers in a Thursday all-hands to be ready for an "intense year." Meta said earlier this month it would cut 5% of its "low-performers" from its workforce in February.

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What Drove The 20% Surge In Buckle Stock Over The Last Year?

Note: BKE's fiscal year ends in January

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The Buckle, Inc. Reports December 2024 Net Sales

KEARNEY, Neb.--(BUSINESS WIRE)--THE BUCKLE, INC. REPORTS DECEMBER 2024 NET SALES.

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Buckle Up Buttercup: My Warning To Dividend Investors

The Fed's recent rate cut and upward revision of future rate expectations confirm my concerns about persistent above-average inflation and geopolitical risks. Market volatility has increased, signaling a growing acceptance of "higher for longer" rates, impacting long-term borrowing costs and economic stability. Despite economic uncertainty, I see opportunities for prudent investors and will provide more investment ideas in the coming days and months. Stay tuned!

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The Buckle, Inc. Announces a $2.50 Per Share Special Cash Dividend and a $0.35 Per Share Quarterly Dividend

KEARNEY, Neb.--(BUSINESS WIRE)--THE BUCKLE, INC. ANNOUNCES A $2.50 PER SHARE SPECIAL CASH DIVIDEND AND A $0.35 PER SHARE QUARTERLY DIVIDEND.

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North American Morning Briefing : Global Ad Shares -2-

Lundin Mining Announces Sale to Boliden of its Neves-Corvo operation in Portugal and Zinkgruvan operation in Sweden for Up to $1.52 Billion: Lundin To Receive Upfront Cash Consideration of $1.37B Upon Closing; To Also Get up to $150M in Contingent Cash Upon Satisfaction of Condition; Proceeds Will Strengthen Balance Sheet and Support Growth Plans in the Vicuña District Expected Major Events for Monday aAdsList.push('Article'); aAdsListSize.push([300, 250]); aAdsListCA.push(null); 00:01/UK: Nov KPMG and REC UK Report on Jobs 04:30/JPN: Nov Corporate Insolvencies 05:00/JPN: Nov Economy Watchers Survey 07:00/GER: 3Q Labour cost index 15:00/US: Oct Monthly Wholesale Trade 15:00/US: Nov Employment Trends Index 23:50/JPN: Nov Money Stock, Broadly-defined Liquidity All times in GMT. Powered by Kantar Media and Dow Jones. Expected Earnings for Monday Amtech Systems Inc (ASYS) is expected to report $-0.01 for 4Q. Anavex Life Sciences Corp (AVXL) is expected to report $-0.16 for 4Q. Avalon Advanced Materials is expected to report for 4Q. Braze Inc (BRZE) is expected to report $-0.30 for 3Q. Buckle Inc (BKE) is expected to report. C3.ai Inc (AI) is expected to report $-0.60 for 2Q. Casey's General Stores Inc (CASY) is expected to report $4.25 for 2Q. Centene Corp (CNC) is expected to report for Full year. Digital Ally Inc (DGLY) is expected to report for 3Q. Franklin Resources Inc (BEN) is expected to report. Genasys Inc (GNSS) is expected to report $-0.11 for 4Q. Healthequity Inc (HQY) is expected to report $0.24 for 3Q. MongoDB Inc (MDB) is expected to report $-0.83 for 3Q. NexPoint Diversified Real Estate Trust (NXDT) is expected to report for 3Q. North West Co Inc (NWC.T) is expected to report $0.77 for 3Q. Oil-Dri Corp of America (ODC) is expected to report for 1Q. Oracle Corp (ORCL) is expected to report $1.06 for 2Q. Phreesia Inc (PHR) is expected to report $-0.27 for 3Q. Planet Labs PBC (PL) is expected to report $-0.08 for 3Q. Remark Holdings Inc (MARK) is expected to report $-0.19 for 3Q. Rent the Runway Inc (RENT) is expected to report for 3Q. Smart Share Global Ltd - ADR (EM) is expected to report for 3Q. Talis Biomedical Corp (TLIS) is expected to report for 3Q. Titan Pharmaceuticals Inc (TTNP) is expected to report for 3Q. Toll Brothers Inc (TOL) is expected to report $4.34 for 4Q. Vail Resorts (MTN) is expected to report $-4.96 for 1Q. VersaBank is expected to report $0.29 for 4Q. Webco Industries Inc (WEBC) is expected to report for 1Q. Yext Inc (YEXT) is expected to report $0.06 for 3Q. Powered by Kantar Media and Dow Jones. ANALYST RATINGS ACTIONS Altria Raised to Buy From Neutral by B of A Securities Argan Cut to Market Perform From Market Outperform by CJS Securities Asana Raised to Sector Weight From Underweight by Keybanc Brixmor Property Group Raised to Outperform From Market Perform by BMO Capital Deere & Co Cut to Hold From Buy by Jefferies DocuSign Cut to Reduce From Hold by HSBC Dollar General Raised to Buy From Underperform by B of A Securities Duckhorn Portfolio Cut to Hold From Buy by Jefferies EPAM Systems Raised to Buy From Neutral by Goldman Sachs Fortrea Holdings Cut to Neutral From Outperform by Baird GrafTech International Raised to Neutral From Underweight by JP Morgan Hewlett Packard Ent Raised to Buy From Neutral by Citigroup Kennametal Cut to Hold From Buy by Jefferies Molson Coors Beverage Raised to Buy From Neutral by B of A Securities ONE Gas Cut to Neutral From Buy by Ladenburg Thalmann Paccar Cut to Hold From Buy by Jefferies Peloton Interactive Raised to Neutral From Sell by UBS PJT Partners Raised to Neutral From Sell by UBS PotlatchDeltic Raised to Outperform From Market Perform by BMO Capital ProFrac Holding Cut to Underweight From Neutral by JP Morgan Prologis Cut to Underperform From Market Perform by BMO Capital ProPetro Holding Raised to Neutral From Underweight by JP Morgan Republic Services Raised to Outperform From Market Perform by BMO Capital Robinhood Markets Raised to Buy From Neutral by Goldman Sachs SiteOne Landscape Supply Raised to Buy From Hold by Jefferies Smith & Wesson Brands Cut to Hold From Buy by Craig-Hallum Smith & Wesson Brands Cut to Hold From Buy by Lake Street Timken Raised to Buy From Hold by Jefferies WesBanco Raised to Strong Buy From Outperform by Raymond James Weyerhaeuser Raised to Outperform From Market Perform by BMO Capital This article is a text version of a Wall Street Journal newsletter published earlier today. (END) Dow Jones Newswires 12-09-24 0634ET

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The Buckle, Inc. Reports November 2024 Net Sales

KEARNEY, Neb.--(BUSINESS WIRE)--The Buckle, Inc. Reports November 2024 Net Sales.

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The Buckle: A Little Too Uncomfortable For A Bullish Assessment (Rating Downgrade)

In October 2022, I upgraded The Buckle to a 'buy' due to early stabilization signs and attractive pricing, leading to a 72.6% stock surge. Despite outperforming the S&P 500, recent financials show revenue and earnings declines, prompting a downgrade from 'buy' to 'hold'. The Buckle's balance sheet remains strong with significant cash reserves and no debt, but rising costs and declining sales are concerning.

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The Buckle: Key Metric Erosion, But There Are Some Positives On This Trade

The Buckle, Inc. has had a strong run recently, but mixed key metrics and balanced risk-reward lead to a neutral rating. Q3 2024 saw a 3.3% sales decline, with negative comparable store sales down 0.6%, though online sales increased 1.1%. Margins and earnings are eroding, with gross margin down to 47.7% and net income falling to $44.1 million from $51.8 million.

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The Buckle, Inc. (BKE) Q3 2024 Earnings Call Transcript

The Buckle, Inc. (NYSE:BKE ) Q3 2024 Earnings Conference Call November 22, 2024 10:00 AM ET Company Participants Thomas Heacock - SVP of Finance, Treasurer & CFO Adam Akerson - VP of Finance & Corporate Controller Dennis Nelson - President & CEO Conference Call Participants Mauricio Serna - UBS Nancy Frohna - 1492 Capital Management Operator Good morning. Thank you for standing by, and welcome to Buckle's Third Quarter Earnings Release Webcast.

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The Buckle, Inc. Reports Third Quarter Net Income

KEARNEY, Neb.--(BUSINESS WIRE)--THE BUCKLE, INC. REPORTS THIRD QUARTER NET INCOME.

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Dividend Aristocrats Yielding over 6% to Buy in November

Now that we have officially entered November, a whole entirely new world of volatility appears to be present in the stock market.

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The Buckle, Inc. Reports October 2024 Net Sales

KEARNEY, Neb.--(BUSINESS WIRE)--The Buckle, Inc. Reports October 2024 Net Sales.

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Five Stocks, 3 Days, $12 Trillion In Market Cap. Buckle Up.

Apple, Microsoft, Google, Amazon and Meta Platforms all report next week. The S&P 500 giants have a combined market cap of $12 trillion, but the impact is even greater.

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10 small-cap stocks selected by digging deep for quality

David Trainer explains how New Constructs incorporates decades of information buried in companies' financial statement notes, for “better” calculations of returns on invested capital

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5 Dividend Stocks to Buy to Create a Laddered Yield Portfolio

The current S&P 500 dividend yield is 1.24%.

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The Buckle, Inc. Reports September 2024 Net Sales

KEARNEY, Neb.--(BUSINESS WIRE)--The Buckle, Inc. Reports September 2024 Net Sales.

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Banerji: Buckle up for today's jobs report.

Gunjan Banerji, Lead Writer for Markets Live at The Wall Street Journal, notes that the market is steady but expects volatility from the upcoming jobs report, with traders anticipating a 1% move in the S&P 500 and 1.9% in the Russell 2000.

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Workday, Buckle And 2 Other Stocks Executives Are Selling

The Nasdaq 100 closed higher by over 1% during Monday's session. Investors, meanwhile, focused on some notable insider trades.

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The Buckle, Inc. Reports Quarterly Dividend

KEARNEY, Neb.--(BUSINESS WIRE)--The Buckle, Inc. Reports Quarterly Dividend.

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Hartford Financial Stock Jumps 42.5% YTD: Buy More or Buckle Up?

HIG's balance sheet strength enables it to make shareholder value-boosting efforts.

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The Buckle: Stock Near Yearly Highs Despite Awful Key Metrics

The Buckle, Inc. stock is trading near 52-week highs, showing resilience in a tough retail environment. Q2 2024 results showed a beat on revenue but a miss on earnings, with declining comparable store sales and digital sales. Despite attractive valuation and strong cash position, declining earnings and sales make The Buckle a hold rather than a buy or sell.

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The Buckle, Inc. Reports Second Quarter Net Income

KEARNEY, Neb.--(BUSINESS WIRE)--THE BUCKLE, INC. REPORTS SECOND QUARTER NET INCOME.

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Buckle Your Seat Belt: Dividend Stocks For Market Turbulence (SA Quant)

Market volatility has soared amid economic uncertainty, slower job growth, anxiety over the November U.S. Presidential election, and concerns over the timing and impact of interest rate-easing. Market reactions to rate cuts and recession prospects could lead to rotations into sectors like real estate and consumer staples, Mega-Cap stocks with strong profitability, and income-focused equities and bonds. The tech sell-off is deepening, as the Nasdaq hits correction territory, beloved AI-fueled stocks fall, underscoring the need for balance.

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Related Metrics

Explore detailed financial metrics and analysis for BKE.