Investor Presentaiton
kb Generating Significant Gross Operating Cash Flow
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($ in millions)
Highlights
From 2019 through 2021:
•
We generated nearly $6.4 billion in
gross operating cash flow
.
Approximately 92% of this cash flow
was reinvested in our future growth
through land acquisition and
20 |
development spend that met our
underwriting criteria
$2,496
$2,472
$2,005
$1,875
$251
$311
($1,624)
We returned approximately $301 million
($1,694)
in cash to stockholders through
dividends and share repurchases
2019
2020
($2,533)
2021
($37)
($209)
($2,681)
LTM Q1 2022
■Gross Cash provided by Operating Activities ■Land Acquisition and Development Investment Net Cash provided by (used in) Operating Activities
(As Reported)
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