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STEVEN MADDEN, LTD. (SHOO) Gain (Loss) from Components Excluded from Assessment of Cash Flow Hedge Effectiveness, Net

STEVEN MADDEN, LTD. Gain (Loss) from Components Excluded from Assessment of Cash Flow Hedge Effectiveness, Net

STEVEN MADDEN, LTD. (SHOO) reported Gain (Loss) from Components Excluded from Assessment of Cash Flow Hedge Effectiveness, Net of -$3.32 million for the 12-month period ending 2025-12-31, per its 10-K filed 2026-03-02.

Financial Statements › Income Statement › Other Income

us-gaap:GainLossFromComponentsExcludedFromAssessmentOfCashFlowHedgeEffectivenessNet · last filed 2026-03-02

  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for the quarter ending 2025-03-31 was $3.48M, a 105.99% increase year-over-year.
  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for the quarter ending 2024-12-31 was $1.97M.
  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for the quarter ending 2024-09-30 was -$1.04M.
  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for the quarter ending 2024-06-30 was -$162.00K.
  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for fiscal 2025 was -$3.32M, a 235.26% decline from fiscal 2024.
  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for fiscal 2024 was $2.46M.
  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for fiscal 2023 was -$852.00K.
  • STEVEN MADDEN, LTD. gain (loss) from components excluded from assessment of cash flow hedge effectiveness, net for fiscal 2022 was -$788.00K.
Period endGain (Loss) from Components Excluded from Assessment of Cash Flow Hedge Effectiveness, Net 3 monthGain (Loss) from Components Excluded from Assessment of Cash Flow Hedge Effectiveness, Net 6 monthGain (Loss) from Components Excluded from Assessment of Cash Flow Hedge Effectiveness, Net 9 monthGain (Loss) from Components Excluded from Assessment of Cash Flow Hedge Effectiveness, Net 12 month
2025-12-31-$3.32M
10-K · filed 2026-03-02
2025-03-31$3.48M
10-Q · filed 2025-05-09
$5.45M
derived: sum of 2 quarters · filed 2026-03-02
$4.41M
derived: sum of 3 quarters · filed 2026-03-02
$4.24M
derived: sum of 4 quarters · filed 2026-03-02
2024-12-31$1.97M
derived: 10-K 12 month − 10-Q 9 month · filed 2026-03-02
$931.00K
derived: sum of 2 quarters · filed 2026-03-02
$769.00K
derived: sum of 3 quarters · filed 2026-03-02
$2.46M
10-K · filed 2026-03-02
2024-09-30-$1.04M
derived: 10-Q 9 month − 10-Q 6 month · filed 2025-11-10
-$1.21M
derived: sum of 2 quarters · filed 2025-11-10
$482.00K
10-Q · filed 2025-11-10
2024-06-30-$162.00K
derived: 10-Q 6 month − 10-Q 3 month · filed 2025-08-05
$1.52M
10-Q · filed 2025-08-05
2024-03-31$1.69M
10-Q · filed 2025-05-09
2023-12-31-$852.00K
10-K · filed 2026-03-02
2022-12-31-$788.00K
10-K · filed 2025-03-03

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