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Cash Flow for Washington Fed S & L Seatl (WFSL)

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Cash Flow for Washington Federal Inc.  (WFSL) 
$ 15.03      -0.19 (-1.25%) Volume: 0 4:00 PM EST Nov 17, 2008
Statement: View:
Cash Flow in Millions of Dollars
09/2007 09/2006 09/2005 09/2004 09/2003
Net Income 135 143 146 132 146
Provision for Loan Loss 2 1 (0) (0) 2
Depreciation & Amortization 3 3 (5) (9) (11)
Deferred Income Taxes - - - - -
Change in Assets (Receivables) (3) (15) (2) 10 (1)
Change in Liabilities (Payables) 2 (3) 7 (8) (2)
Investment Securities Gain (0) (0) 2 0 (4)
Net Policy Acquisition Cost - - - - -
Realized Investment Gains - - 2 - -
Net Premiums Receivables - - - - -
Change in Income Taxes 2 (2) (4) 2 -
Other Non-Cash Items 2 6 (2) 12 (8)
Net Cash from Operating Activities 143 132 143 138 121
Proceeds from Sale/Mat. Inv. 343 218 576 609 683
Purchase of Investment Securities (328) (573) (827) (724) (560)
Net Increase Fed. Funds Sold 2 (400) 208 - -
Purchase of Property & Equipment (2) (2) (4) (5) (5)
Acquisitions (35) - - - -
Other Investment Changes, Net (706) (670) (911) (469) 500
Net Cash from Investing Activities (727) (1,427) (958) (589) 619
Net Change in Deposits 306 280 421 33 (214)
Cash Dividends paid (72) (71) (68) (65) (60)
Repayment of Long Term Debt (228) (330) - (200) -
Change in Short Term Debt 105 115 53 (255) -
Issuance of Long term Debt 490 700 530 - -
Issuance of Preferred Stock - - - - -
Issuance of Common Stock 8 7 6 9 7
Purchase of Treasury Stock (10) - - (2) (10)
Other Financing Activities 1 2 2 2 (1)
Cash from Financing Activities 600 703 944 (478) (278)
Effect of Exchange Rate Changes - - - - -
Net Change in Cash & Equivalents 16 (592) 129 (929) 462
Cash at Beginning of Period 46 638 508 1,437 975
Cash at End of Period 61 46 638 508 1,437

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Date:Sep 3, 2008
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Pages:5
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