BBY Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2024
02-03
2023
01-28
2022
01-29
2021
01-30
2020
02-01
2019
02-02
2018
02-03
2017
01-28
2016
01-30
2015
01-31
2014
02-01
2013
02-02
2012
03-03
2011
02-26
2010
02-27
2009
02-28
2008
03-01
2007
03-03
2006
02-25
2005
02-26
2004
02-28
2003
03-01
2002
03-02
2001
03-03
2000
02-26
1999
02-27
1998
02-28
1997
02-28
1996
03-02
1995
02-25
1994
02-26
1993
02-28
1992
02-29
1991
02-28
1990
02-28
Report Filing: 2024-03-15 2023-03-17 2022-03-18 2021-03-19 2020-03-23 2019-03-28 2018-04-02 2017-03-24 2016-03-23 2015-03-31 2014-03-28 2013-03-27 2012-05-01 2011-04-25 2010-04-28 2009-04-29 2008-04-30 2007-05-02 2006-05-10 2005-05-10 2004-04-29 2003-05-30 2002-05-30 2001-06-01 2000-05-24 1999-05-27 1998-05-28 1997-02-28 1996-05-31 1995-05-24 1994-05-20 1993-02-28 1992-02-29 1991-02-28 1990-02-28
Net Income/Starting Line 1241000000 1419000000 2454000000 1798000000 1541000000 1464000000 1000000000 1228000000 897000000 1235000000 523000000 -441000000 22000000 1366000000 1394000000 1003000000 1407000000 1377000000 1140000000 934000000 705000000 622000000 570000000 395839000 347070000 224400000 94500000 1700000 48000000 57700000 41700000 19900000 9600000 4500000 5700000
Cash From Operating Activities 1470000000 1824000000 3252000000 4927000000 2565000000 2408000000 2141000000 2545000000 1322000000 1935000000 1094000000 1380000000 3293000000 1190000000 2206000000 1877000000 2025000000 1762000000 1695000000 1841000000 1361000000 667000000 1578000000 808204000 760228000 662400000 542400000 -20400000 99500000 -37400000 -126200000 -31000000 6300000 21600000 34200000
Depreciation and Amortization 923000000 918000000 869000000 839000000 812000000 770000000 683000000 654000000 657000000 656000000 716000000 832000000 945000000 978000000 926000000 793000000 580000000 509000000 456000000 459000000 385000000 310000000 309000000 167369000 109541000 78400000 68300000 66800000 54900000 38600000 22400000 14800000 10000000 7800000 5500000
Deferred Income Tax -214000000 51000000 14000000 -36000000 70000000 16000000 162000000 201000000 49000000 -297000000 -28000000 -19000000 28000000 -134000000 -30000000 -43000000 74000000 82000000 -151000000 -28000000 -14000000 -37000000 23000000 42793000 0 0 0 0 0 -5900000 -5300000 0 -200000 0 0
Stock Based Compensation 145000000 138000000 141000000 135000000 143000000 123000000 129000000 108000000 104000000 87000000 90000000 107000000 120000000 121000000 118000000 42000000 -3000000 -11000000 0 0 64000000 -79000000 0 0 0 0 0 0 0 800000 700000 0 400000 0 0
Other Non-Cash Items 158000000 159000000 -23000000 257000000 62000000 21000000 -3000000 8000000 140000000 30000000 464000000 1106000000 1466000000 222000000 45000000 359000000 81000000 103000000 100000000 45000000 12000000 24000000 46000000 20609000 0 -100000 3100000 500000 1300000 -100000 200000 600000 100000 600000 600000
Changes in Working Capital -783000000 -861000000 -203000000 1934000000 -63000000 14000000 170000000 346000000 -525000000 224000000 -671000000 -205000000 712000000 -1363000000 -247000000 -277000000 -114000000 -298000000 150000000 431000000 209000000 -173000000 630000000 181594000 303617000 359700000 376500000 -89400000 -4700000 -128500000 -185900000 -66300000 -13600000 8700000 22400000
Accounts Receivable 204000000 -103000000 17000000 520000000 -215000000 -240000000 411000000 -152000000 19000000 -154000000 -336000000 -551000000 -28000000 -404000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory 178000000 809000000 -328000000 -435000000 237000000 -194000000 -335000000 193000000 86000000 -141000000 597000000 -912000000 120000000 -400000000 -609000000 258000000 -562000000 -550000000 -457000000 -240000000 -507000000 -225000000 -330000000 -143969000 -137315000 14400000 71300000 69100000 -293500000 -269700000 -388000000 -114200000 -40200000 -2700000 8900000
Accounts Payable -1025000000 -1099000000 -201000000 1676000000 47000000 432000000 -196000000 518000000 -536000000 434000000 -986000000 1735000000 643000000 -443000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -140000000 -468000000 309000000 173000000 -132000000 16000000 290000000 -213000000 -94000000 85000000 54000000 -477000000 -23000000 -116000000 362000000 -535000000 448000000 252000000 607000000 671000000 716000000 52000000 960000000 325563000 440932000 345300000 305200000 -158500000 288800000 141200000 202100000 47900000 26600000 11400000 13500000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -781000000 -962000000 -1372000000 -788000000 -895000000 508000000 -1002000000 -887000000 -419000000 -1712000000 -517000000 -538000000 -724000000 -569000000 -540000000 -3573000000 1464000000 -780000000 -754000000 -1166000000 -543000000 -659000000 -965000000 -1029802000 -400114000 -249600000 -22300000 -20400000 -158500000 -192000000 -63500000 -76000000 -24800000 -20000000 -8000000
Investments in Property Plant and Equipment -795000000 -930000000 -737000000 -713000000 -743000000 -819000000 -688000000 -582000000 -649000000 -561000000 -547000000 -705000000 -766000000 -744000000 -615000000 -1303000000 -797000000 -733000000 -648000000 -502000000 -545000000 -725000000 -627000000 -657706000 -361024000 -165700000 -72100000 -87600000 -126200000 -118100000 -101400000 -74900000 -25300000 -20300000 -9700000
Payments for Acquisitions 14000000 0 -468000000 0 -145000000 -787000000 2000000 56000000 103000000 39000000 206000000 -31000000 -174000000 21000000 -7000000 -2316000000 -89000000 -421000000 0 0 -3000000 -3000000 -368000000 -326077000 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities -9000000 -46000000 -233000000 -620000000 -330000000 0 -4325000000 -3045000000 -2281000000 -2804000000 -180000000 -135000000 -112000000 -267000000 -16000000 -81000000 -8501000000 -4541000000 -4319000000 -7789000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 7000000 7000000 66000000 546000000 322000000 2098000000 4018000000 2689000000 2427000000 1580000000 50000000 0 290000000 427000000 114000000 246000000 10935000000 4910000000 4187000000 7118000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 2000000 7000000 0 -1000000 1000000 16000000 -9000000 -5000000 -19000000 34000000 -46000000 333000000 38000000 -6000000 -16000000 -119000000 -84000000 5000000 26000000 7000000 5000000 69000000 30000000 -46019000 -39090000 -83900000 49800000 67200000 -32300000 -73900000 37900000 -1100000 500000 300000 1700000
Cash From Financing Activities -1144000000 -1806000000 -4297000000 -876000000 -1498000000 -2018000000 -2297000000 -1404000000 -1515000000 -223000000 319000000 -211000000 -2478000000 -1357000000 -348000000 737000000 -3378000000 -513000000 -641000000 -459000000 -133000000 45000000 495000000 217754000 -395168000 -147200000 -89800000 44100000 700000 314200000 242400000 1400000 104300000 1600000 -3200000
Debt Repayment -19000000 -19000000 -133000000 -1916000000 -15000000 -546000000 -46000000 -394000000 -28000000 -24000000 -2033000000 -1614000000 -3412000000 -3120000000 -5342000000 0 -133000000 -12000000 -33000000 -371000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 19000000 16000000 29000000 28000000 48000000 38000000 163000000 171000000 47000000 50000000 171000000 0 67000000 179000000 138000000 83000000 146000000 217000000 292000000 256000000 114000000 40000000 726000000 235379000 32229000 20600000 14900000 2700000 3100000 232400000 86500000 4900000 91200000 0 100000
Common Stock Repurchased -340000000 -1014000000 -3502000000 -312000000 -1003000000 -1505000000 -2004000000 -698000000 -1055000000 0 0 -97000000 -1500000000 -1193000000 5132000000 0 -3461000000 -599000000 -772000000 -200000000 -100000000 0 0 0 -397451000 -2500000 0 0 0 0 0 -37500000 0 0 0
Dividends Paid -801000000 -789000000 -688000000 -568000000 -527000000 -497000000 -409000000 -505000000 -499000000 -251000000 -233000000 -224000000 -228000000 -237000000 -234000000 -223000000 -204000000 -174000000 -151000000 -137000000 -130000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Financing Activities -3000000 -1017000000 -3000000 1892000000 -1000000 492000000 -1000000 22000000 20000000 2000000 2414000000 1724000000 2595000000 3014000000 -42000000 877000000 274000000 55000000 23000000 -7000000 -17000000 5000000 -231000000 -17625000 -29946000 -165300000 -104700000 41400000 -2400000 81800000 155900000 34000000 13100000 1600000 -3300000
Effect of Forex Changes on Cash -5000000 -8000000 -3000000 7000000 -1000000 -14000000 25000000 10000000 -38000000 -52000000 -44000000 -4000000 5000000 13000000 10000000 19000000 122000000 -12000000 27000000 9000000 1000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Change in Cash -806000000 -952000000 -2420000000 3270000000 171000000 884000000 -1133000000 264000000 -650000000 -52000000 852000000 627000000 96000000 -723000000 1328000000 -940000000 233000000 457000000 327000000 225000000 686000000 53000000 1108000000 -3844000 -35054000 265600000 430300000 3300000 -58300000 84800000 52700000 -105600000 85800000 3200000 23000000
Cash at Beginning of Period 2253000000 3205000000 5625000000 2355000000 2184000000 1300000000 2433000000 1976000000 2626000000 2484000000 1826000000 1199000000 1103000000 1826000000 498000000 1438000000 1205000000 748000000 354000000 245000000 1914000000 1861000000 747000000 750723000 785777000 520100000 89800000 86400000 144700000 59900000 7100000 112800000 27100000 23800000 800000
Cash at End of Period 1447000000 2253000000 3205000000 5625000000 2355000000 2184000000 1300000000 2240000000 1976000000 2432000000 2678000000 1826000000 1199000000 1103000000 1826000000 498000000 1438000000 1205000000 681000000 470000000 2600000000 1914000000 1855000000 746879000 750723000 785700000 520100000 89700000 86400000 144700000 59800000 7200000 112900000 27000000 23800000
Free Cash Flow 675000000 894000000 2515000000 4214000000 1822000000 1589000000 1453000000 1963000000 673000000 1374000000 547000000 675000000 2527000000 446000000 1591000000 574000000 1228000000 1029000000 1047000000 1339000000 816000000 -58000000 951000000 150498000 399204000 496700000 470300000 -108000000 -26700000 -155500000 -227600000 -105900000 -19000000 1300000 24500000
Operating Cash Flow 1470000000 1824000000 3252000000 4927000000 2565000000 2408000000 2141000000 2545000000 1322000000 1935000000 1094000000 1380000000 3293000000 1190000000 2206000000 1877000000 2025000000 1762000000 1695000000 1841000000 1361000000 667000000 1578000000 808204000 760228000 662400000 542400000 -20400000 99500000 -37400000 -126200000 -31000000 6300000 21600000 34200000
Capital Expenditure -795000000 -930000000 -737000000 -713000000 -743000000 -819000000 -688000000 -582000000 -649000000 -561000000 -547000000 -705000000 -766000000 -744000000 -615000000 -1303000000 -797000000 -733000000 -648000000 -502000000 -545000000 -725000000 -627000000 -657706000 -361024000 -165700000 -72100000 -87600000 -126200000 -118100000 -101400000 -74900000 -25300000 -20300000 -9700000

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