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HD Stock Annual Cash Flow. Download in Excel

Home Depot Inc. (The) logo

Home Depot Inc. (The)

Sector: Consumer Cyclical   

Industry: Home Improvement Stores

392.60
 
USD
  
7.58
  
(1.97%)
Previous close: 385.02  Open: 383.37  Bid: 392.61  Ask: 394.24
52 week range    
323.77   
   439.37
Mkt Cap: 405,759 M  Avg Vol (90 Days): 3,938,125
Peers   
LOW / 
LL / 
Last updated: Sunday 22nd December 2024

Stock Rankings

60
MarketXLS Rank
75
Value
46
Technical
60
Quality
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Financials

HD Cash Flow

Annual
Jan-15Jan-16Jan-17Jan-18Jan-19Jan-20Jan-21Jan-22Jan-23Jan-24
(Increase) Decrease in inventories-124 M-546 M-769 M-84 M-1,244 M-593 M-1,657 M-5,403 M-2,830 M4,137 M
(Increase) Decrease in other current assets-40 M10 M-165 M82 M-231 M67 M-526 M-606 M-173 M-429 M
(Increase) Decrease in other current liabilities146 M109 M99 M128 M80 M334 M702 M775 M-526 M-318 M
(Increase) Decrease in other working capital-104 M-33 M4 M420 M-103 M184 M121 M196 M271 M314 M
(Increase) Decrease in payables412 M1,042 M555 M381 M701 M76 M4,969 M2,350 M-2,684 M-1,436 M
(Increase) Decrease in receivables-81 M-181 M-138 M139 M33 M-170 M-465 M-435 M111 M134 M
Acquisitions-200 M-1,666 M-374 M-21 M-7,780 M-421 M-1,514 M
AssetImpairmentCharge247 M
CapitalExpenditureReported1,442 M1,503 M1,621 M1,897 M2,442 M2,678 M2,463 M2,566 M3,119 M3,226 M
Cash at beginning of period1,929 M2,216 M2,216 M2,538 M3,595 M1,778 M2,133 M7,895 M2,343 M2,757 M
Cash at end of period1,829 M2,820 M2,546 M3,471 M1,797 M2,014 M7,819 M2,343 M2,757 M3,760 M
Cash flow8,242 M9,373 M9,783 M12,031 M13,038 M13,687 M18,839 M16,571 M14,615 M21,172 M
CashFlowFromContinuingInvestingActivities-1,271 M-2,982 M-1,583 M-2,228 M-2,416 M-2,653 M-10,170 M-2,969 M-3,140 M-4,729 M
ChangeInAccountPayable244 M888 M446 M352 M743 M32 M5,118 M2,401 M-2,577 M-1,411 M
ChangeInIncomeTaxPayable168 M154 M109 M29 M-42 M44 M-149 M-51 M-107 M-25 M
ChangeInPayablesAndAccruedExpense412 M1,042 M555 M381 M701 M76 M4,969 M2,350 M-2,684 M-1,436 M
ChangeInTaxPayable168 M154 M109 M29 M-42 M44 M-149 M-51 M-107 M-25 M
ChangeInWorkingCapital209 M401 M-414 M1,066 M-764 M-102 M3,144 M-3,123 M-5,831 M2,402 M
CommonStockDividendPaid-2,530 M-3,031 M-3,404 M-4,212 M-4,704 M-5,958 M-6,451 M-6,985 M-7,789 M-8,383 M
CommonStockPayments-7,000 M-7,000 M-6,880 M-8,000 M-9,963 M-6,965 M-791 M-14,809 M-6,696 M-7,951 M
Depreciation1,786 M1,863 M1,973 M2,062 M2,152 M2,296 M2,519 M2,862 M2,975 M3,247 M
Depreciation unreconciled1,786 M1,863 M1,973 M2,062 M2,152 M2,296 M2,519 M2,862 M2,975 M3,247 M
DepreciationAndAmortization1,786 M1,863 M1,973 M2,062 M2,152 M2,296 M2,519 M2,862 M2,975 M3,247 M
Effect of exchange rate changes-34 M-68 M3 M
FinancingCashFlow-7,071 M-5,787 M-7,870 M-8,870 M-12,420 M-10,798 M-2,983 M-19,120 M-10,993 M-15,443 M
Free cash flow7,171 M8,057 M8,200 M10,181 M10,629 M11,009 M16,376 M14,005 M11,496 M17,946 M
GainLossOnInvestmentSecurities-323 M-144 M
IncomeTaxPaidSupplementalData3,435 M3,853 M4,623 M4,732 M3,774 M3,220 M4,654 M5,504 M5,435 M5,023 M
InterestPaidSupplementalData782 M874 M924 M991 M1,035 M1,112 M1,241 M1,269 M1,449 M1,809 M
Issuance of capital stock252 M228 M218 M255 M236 M280 M326 M337 M264 M323 M
Issuance of debt290 M60 M360 M850 M-220 M-365 M-974 M1,035 M-1,035 M
IssuanceOfCapitalStock252 M228 M218 M255 M236 M280 M326 M337 M264 M323 M
IssuanceOfDebt2,232 M4,012 M2,274 M3,298 M2,037 M1,985 M4,087 M2,482 M3,416 M724 M
Net cash from financing activities-7,071 M-5,787 M-7,870 M-8,870 M-12,420 M-10,798 M-2,983 M-19,120 M-10,993 M-15,443 M
Net cash from investing activities-1,271 M-2,982 M-1,583 M-2,228 M-2,416 M-2,653 M-10,170 M-2,969 M-3,140 M-4,729 M
Net cash from operating activities8,242 M9,373 M9,783 M12,031 M13,038 M13,687 M18,839 M16,571 M14,615 M21,172 M
Net change in cash & cash equivalents-100 M604 M330 M933 M-1,798 M236 M5,686 M-5,518 M482 M1,000 M
Net income from continuing operations6,345 M7,009 M7,957 M8,630 M11,121 M11,242 M12,866 M16,433 M17,105 M15,143 M
NetBusinessPurchaseAndSale-200 M-1,666 M-374 M-21 M-7,780 M-421 M-1,514 M
NetCommonStockIssuance-6,748 M-6,772 M-6,662 M-7,745 M-9,727 M-6,685 M-465 M-14,472 M-6,432 M-7,628 M
NetInvestmentPropertiesPurchaseAndSale-4 M14 M25 M73 M18 M-21 M11 M
NetInvestmentPurchaseAndSale-4 M14 M25 M73 M18 M-21 M11 M
NetIssuancePaymentsOfDebt2,232 M4,012 M2,274 M3,298 M2,037 M1,985 M4,087 M2,482 M3,416 M724 M
NetLongTermDebtIssuance1,942 M3,952 M1,914 M2,448 M2,257 M2,350 M5,061 M1,447 M4,451 M724 M
NetPPEPurchaseAndSale-1,071 M-1,316 M-1,583 M-1,850 M-2,409 M-2,678 M-2,463 M-2,566 M-3,119 M-3,226 M
Operating (gains) losses-323 M-144 M
Other financing charges net-25 M4 M-78 M-211 M-26 M-140 M-154 M-145 M-188 M-156 M
Other investing changes net-4 M14 M25 M73 M18 M-21 M11 M
Other non-cash items225 M244 M267 M273 M529 M251 M310 M399 M366 M380 M
Payment of cash dividends2,530 M3,031 M3,404 M4,212 M4,704 M5,958 M6,451 M6,985 M7,789 M8,383 M
Purchase of property plant & equipment-1,071 M-1,316 M-1,583 M-1,850 M-2,409 M-2,678 M-2,463 M-2,566 M-3,119 M-3,226 M
Purchase of short term investments1,981 M3,991 M4,959 M2,991 M3,466 M3,420 M7,933 M2,979 M6,942 M1,995 M
PurchaseOfPPE-1,442 M-1,503 M-1,621 M-1,897 M-2,442 M-2,678 M-2,463 M-2,566 M-3,119 M-3,226 M
Repayment of debt-39 M-39 M-3,045 M-543 M-1,209 M-1,070 M-2,872 M-1,532 M-2,491 M-1,271 M
RepaymentOfDebt-39 M-39 M-3,045 M-543 M-1,209 M-1,070 M-2,872 M-1,532 M-2,491 M-1,271 M
Repurchase of capital stock-7,000 M-7,000 M-6,880 M-8,000 M-9,963 M-6,965 M-791 M-14,809 M-6,696 M-7,951 M
SaleOfPPE371 M187 M38 M47 M33 M37 M
ShortTermDebtIssuance290 M60 M360 M850 M-220 M-365 M-974 M1,035 M-1,035 M
StockBasedCompensation225 M244 M267 M273 M282 M251 M310 M399 M366 M380 M
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