Company: SFB
Filing Date: 2025-02-26
Form Type: 10-K
Source: 0000950170-25-027702
Chunk: 677

Company: STIFEL FINANCIAL CORP
Filing Date: 2025-02-26
Form: 10-K
Item: Item 8
Chunk 677
---
257
    )

    (15,551
    )

    Purchase of fixed assets

    (73,788
    )

    (51,976
    )

    (82,327
    )

    Acquisitions, net of cash received

    (8,465
    )

    (111,958
    )

    (11,903
    )

    Net cash provided by/(used in) investing activities

    (2,310,162
    )

    1,044,644

    (4,324,537
    )

    Cash Flows From Financing Activities:

    Increase/(decrease) in securities sold under agreements to repurchase

    162,526

    205,633

    (173,517
    )

    Increase in bank deposits, net

    1,767,648

    217,468

    3,836,763

    Increase/(decrease) in securities loaned

    43,234

    67,588

    (81,114
    )

    Tax payments related to shares withheld for stock-based compensation plans

    (120,962
    )

    (94,387
    )

    (102,546
    )

    Repayment of senior notes

    (500,000
    )

    —

    —

    Repurchase of common stock

    (144,097
    )

    (443,876
    )

    (105,831
    )

    Cash dividends on preferred stock

    (37,281
    )

    (37,281
    )

    (37,281
    )

    Cash dividends paid to common stock and equity-award holders

    (190,002
    )

    (162,984
    )

    (133,747
    )

    Payment of contingent consideration

    (962
    )

    (6,740
    )

    (11,313
    )

    Net cash provided by/(used in) financing activities

    980,104

    (254,579
    )

    3,191,414

    Effect of exchange rate changes on cash

    (6,025
    )

    5,454

    55,053

    Increase/(decrease) in cash, cash equivalents, and cash segregated for regulatory purposes

    (845,646
    )

    1,294,847

    79,345

    Cash, cash equivalents,