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Financials

HMC Cash Flow

Annual
Invalid dateMar-12Mar-13Mar-14Mar-18Mar-19Mar-20Mar-21Mar-22Mar-23
(Increase) Decrease in inventories-154,222 M-74,662 M-66,991 M-202,916 M-60,906 M-59,931 M68,281 M-208,895 M-171,467 M
(Increase) Decrease in other current assets-21,117 M-25,224 M-67,179 M-270,677 M-161,579 M
(Increase) Decrease in other current liabilities-27,139 M-8,873 M-22,411 M
(Increase) Decrease in other working capital-38,744 M-286,967 M-175,680 M-220,856 M-20,406 M34,356 M509,741 M-41,480 M
(Increase) Decrease in payables235,246 M-73,428 M84,520 M69,429 M-11,816 M-141,159 M101,301 M50,122 M105,272 M
(Increase) Decrease in receivables-35,475 M-90,495 M-470,190 M-216,216 M-251,360 M236,316 M-193,722 M-24,037 M-155,924 M
Acquisitions-1,784,720 M-1,951,800 M-2,450 M-2,401 M-17,631 M-110,747 M
AssetImpairmentCharge13,166 M4,773 M3,301 M
CapitalExpenditureReported397,218 M626,879 M774,006 M572,490 M607,807 M601,258 M551,137 M449,226 M632,488 M
Cash at beginning of period1,279,024 M1,247,113 M1,270,610 M2,105,976 M2,256,488 M2,494,121 M2,672,353 M2,758,020 M3,674,931 M
Cash at end of period1,247,113 M1,206,128 M1,193,580 M2,256,490 M2,494,120 M2,672,350 M2,758,020 M3,140,238 M3,314,372 M
Cash flow761,538 M800,744 M449,108 M987,045 M775,988 M979,415 M1,072,380 M1,763,082 M2,193,063 M
CashFlowFromContinuingInvestingActivities-673,069 M-1,069,756 M-921,023 M-615,113 M-577,555 M-619,481 M-796,881 M-937,857 M-1,159,082 M
CashFlowFromDiscontinuedOperation224,302 M515,670 M265,980 M276,808 M534,693 M488,642 M
ChangeInAccountPayable242,814 M-95,192 M84,520 M69,429 M-11,816 M-141,159 M101,301 M50,122 M105,272 M
ChangeInAccruedExpense-25,718 M52,021 M2,527 M-2,700 M25,372 M-4,529 M-40,927 M
ChangeInIncomeTaxPayable-7,568 M21,764 M-8,688 M
ChangeInInterestPayable-25,718 M52,021 M49,718 M
ChangeInPayablesAndAccruedExpense209,528 M-21,407 M87,047 M66,729 M13,556 M-145,688 M60,374 M50,122 M105,272 M
ChangeInTaxPayable-7,568 M21,764 M-8,688 M
ChangeInWorkingCapital-28,425 M-220,661 M-737,101 M-528,083 M-519,566 M-260,386 M-192,290 M326,931 M-263,599 M
ChangesInAccountReceivables-35,475 M-90,495 M-47,084 M-41,778 M9,344 M132,702 M-133,788 M-24,037 M-155,924 M
CommonStockDividendPaid-108,138 M-129,765 M-142,381 M-174,221 M-194,271 M-196,795 M-145,090 M-188,402 M-213,475 M
CommonStockPayments-7 M-87,082 M-64,556 M-96,113 M
Current deferred income taxes49,661 M53,252 M45,426 M
Deferred income taxes49,661 M53,252 M45,426 M
Depreciation345,105 M335,536 M442,318 M713,093 M721,695 M699,877 M624,239 M611,063 M73,105 M
Depreciation unreconciled345,105 M335,536 M442,318 M713,093 M721,695 M699,877 M624,239 M611,063 M1,596,880 M
DepreciationAndAmortization345,105 M335,536 M442,318 M713,093 M721,695 M699,877 M624,239 M611,063 M1,596,880 M
EarningsLossesFromEquityInvestments-100,406 M-82,723 M-130,916 M-247,643 M-228,827 M-164,203 M-272,734 M-8,957 M103,631 M
Effect of exchange rate changes-52,150 M108,460 M39,429 M-47,712 M16,276 M-94,291 M94,149 M229,063 M145,480 M
FinancingCashFlow-68,230 M119,567 M355,458 M-174,334 M22,924 M-87,411 M-283,980 M-672,070 M-1,540,020 M
Free cash flow387,580 M218,047 M489,254 M414,555 M275,153 M429,103 M407,205 M1,313,856 M1,560,575 M
GainLossOnInvestmentSecurities-1,847 M35,027 M-39,376 M
GainLossOnSaleOfPPE15,042 M20,765 M17,638 M6,770 M27,108 M16,206 M
Issuance of debt-104,596 M153,739 M-6,947 M101,885 M221,551 M-1,993 M-179,512 M-472,420 M442,534 M
IssuanceOfDebt79,787 M284,506 M544,903 M181,927 M348,623 M264,017 M-96,734 M-311,323 M-1,046,886 M
Net cash from financing activities-68,230 M119,567 M355,458 M-174,334 M22,924 M-87,411 M-283,980 M-672,070 M-1,540,020 M
Net cash from investing activities-673,069 M-1,069,756 M-921,023 M-615,113 M-577,555 M-619,481 M-796,881 M-937,857 M-1,159,082 M
Net cash from operating activities761,538 M800,744 M449,108 M987,045 M775,988 M979,415 M1,072,380 M1,763,082 M2,193,063 M
Net change in cash & cash equivalents-31,911 M-40,985 M-77,028 M150,512 M237,633 M178,232 M-8,482 M382,218 M-360,559 M
Net income from continuing operations222,074 M392,638 M933,903 M1,114,970 M979,375 M789,918 M914,053 M-72,865 M662,509 M
NetBusinessPurchaseAndSale-9,559 M-118,133 M12,941 M-2,450 M-2,401 M-17,631 M-95,947 M740 M
NetCommonStockIssuance-7 M-7 M-25 M-87,082 M-64,556 M-96,113 M154 M
NetIntangiblesPurchaseAndSale-208,752 M-156,927 M-187,039 M-231,063 M-232,727 M-181,083 M-157,440 M
NetInvestmentPropertiesPurchaseAndSale12,728 M-7,052 M-33,081 M-55,934 M9,239 M-16,826 M-156,567 M-488,631 M-527,334 M
NetInvestmentPurchaseAndSale12,728 M-7,052 M-33,081 M-55,934 M9,239 M-16,826 M-156,567 M-488,631 M-527,334 M
NetIssuancePaymentsOfDebt79,787 M284,506 M544,903 M181,927 M348,623 M264,017 M-96,734 M-311,323 M-1,046,886 M
NetLongTermDebtIssuance184,383 M130,767 M538,295 M33,416 M127,072 M266,010 M82,778 M161,097 M-1,489,420 M
NetPPEPurchaseAndSale-295,237 M-330,850 M-698,845 M-400,521 M-400,003 M-352,557 M-311,640 M-268,143 M-475,048 M
Operating (gains) losses-102,253 M-47,696 M-130,916 M-247,643 M-228,827 M-164,203 M-272,734 M18,151 M119,837 M
Other financing charges net-24,116 M-28,924 M-22,290 M-81,740 M-155,480 M-106,412 M-19,680 M-110,165 M-123,037 M
Other investing changes net16,217 M13,158 M6,714 M719 M2,649 M-1,404 M
Other non-cash items-55,690 M-66,795 M-199,553 M-104,997 M-208,978 M-167,569 M-109,358 M943,092 M1,188,814 M
Payment of cash dividends108,138 M129,765 M142,381 M174,221 M194,271 M196,795 M145,090 M188,402 M213,475 M
ProceedsFromStockOptionExercised-96,113 M154 M-62,180 M-156,622 M
Purchase of Float term investments-1,784 M-5,642 M-44,459 M
Purchase of property plant & equipment-1,080,990 M-1,420,000 M-927,183 M-572,490 M-607,807 M-601,258 M-551,137 M-449,226 M-632,488 M
Purchase of short term investments1,151,971 M1,101,469 M1,597,530 M1,689,596 M1,900,257 M2,021,173 M1,948,835 M2,002,823 M971,067 M
PurchaseOfIntangibles-208,752 M-156,927 M-187,039 M-231,063 M-232,727 M-181,083 M-157,440 M
PurchaseOfInvestment-50,991 M-45,254 M-108,510 M-280,236 M-506,431 M-282,806 M-433,375 M-488,631 M-527,334 M
PurchaseOfLongTermInvestments-49,207 M-39,612 M-66,388 M-280,236 M-506,431 M-282,806 M-433,375 M-488,631 M-527,334 M
PurchaseOfPPE-683,767 M-793,118 M-718,431 M-415,563 M-420,768 M-370,195 M-318,410 M-268,143 M-475,048 M
Repayment of debt-967,588 M-970,702 M-1,059,240 M-1,656,180 M-1,773,185 M-1,755,163 M-1,866,057 M-1,841,726 M-2,460,487 M
RepaymentOfDebt-7,850,520 M-7,592,599 M-9,603,211 M-9,614,174 M-9,986,883 M-10,794,764 M-11,160,916 M-9,801,870 M-11,145,286 M
Repurchase of capital stock-7 M-87,082 M-64,556 M-96,113 M
Sale of Float term investments61,840 M36,855 M61,601 M
Sale of short term investments1,879 M1,347 M14,501 M
SaleOfBusiness1,775,160 M1,833,670 M12,941 M14,800 M740 M
SaleOfInvestment63,719 M38,202 M75,429 M224,302 M515,670 M265,980 M276,808 M
SaleOfPPE388,530 M462,268 M19,586 M15,042 M20,765 M17,638 M6,770 M
ShortTermDebtIssuance6,778,336 M6,775,636 M8,559,288 M8,106,505 M8,435,249 M9,037,608 M9,115,347 M7,487,724 M9,127,333 M
ShortTermDebtPayments-6,882,932 M-6,621,897 M-8,563,616 M-8,004,620 M-8,213,698 M-9,039,601 M-9,294,859 M-7,960,144 M-8,684,799 M
UnrealizedGainLossOnInvestmentSecurities-1,847 M35,027 M-39,376 M
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