The Home Depot, Inc. - Cash Flow Statement (TTM)

The Home Depot, Inc.
CL ˙ SNSE ˙ US4370761029
Cash Flow Statement (TTM)

The Home Depot, Inc. Cash Flow Statement shows changes in cash positions over time. Cash Flow Statement data includes Cash from Operating Activities (CFOP), Cash from Investing Activities, and Cash from Financing Activities.

All numbers are times 1,000,000 except per share units.

2020
11-01
2021
01-31
2021
05-02
2021
08-01
2021
10-31
2022
01-30
2022
05-01
2022
07-31
2022
10-30
2023
01-29
2023
04-30
2023
07-30
2023
10-29
2024
01-28
2024
04-28
2024
07-28
2024
10-27
2025
02-02
2025
05-04
2025
08-03
Cash From Operating Activities 20,309 18,839 19,412 13,957 14,810 16,571 14,050 13,806 13,206 14,615 16,440 19,638 21,033 21,172 21,055 19,873 19,872 19,810 18,638 17,872
Change (%) -7.24 3.04 -28.10 6.11 11.89 -15.21 -1.74 -4.35 10.67 12.49 19.45 7.10 0.66 -0.55 -5.61 -0.01 -0.31 -5.92 -4.11
% of Cash Flow 163.01 326.95 -947.85 -145.80 -154.51 -298.47 -369.35 -417.48 -506.95 3,530.19 -1,037.88 1,262.89 -5,206.19 2,110.87 700.90 -1,654.70 -3,770.78 -942.88 -643.80 1,500.59
Cash From Investing Activities -2,224 -10,170 -10,120 -10,608 -10,851 -2,969 -3,142 -2,972 -3,082 -3,140 -3,342 -3,581 -4,043 -4,729 -4,656 -21,925 -21,493 -21,031 -21,132 -3,825
Change (%) 357.28 -0.49 4.82 2.29 -72.64 5.83 -5.41 3.70 1.88 6.43 7.15 12.90 16.97 -1.54 370.90 -1.97 -2.15 0.48 -81.90
% of Cash Flow -17.85 -176.50 494.14 110.81 113.21 53.48 82.60 89.87 118.31 -758.45 210.98 -230.29 1,000.74 -471.49 -154.99 1,825.56 4,078.37 1,001.00 729.95 -321.16
Cash From Financing Activities -5,616 -2,983 -11,503 -13,020 -13,667 -19,120 -14,629 -14,084 -12,558 -10,993 -14,602 -14,461 -17,369 -15,443 -13,401 936 1,117 -694 -304 -12,787
Change (%) -46.88 285.62 13.19 4.97 39.90 -23.49 -3.73 -10.83 -12.46 32.83 -0.97 20.11 -11.09 -13.22 -106.98 19.34 -162.13 -56.20 4,106.25
% of Cash Flow -45.08 -51.77 561.67 136.01 142.59 344.38 384.57 425.88 482.07 -2,655.31 921.84 -929.97 4,299.26 -1,539.68 -446.11 -77.94 -211.95 33.03 10.50 -1,073.64
Cash Flow 12,459 5,762 -2,048 -9,573 -9,585 -5,552 -3,804 -3,307 -2,605 414 -1,584 1,555 -404 1,003 3,004 -1,201 -527 -2,101 -2,895 1,191
Change (%) -53.75 -135.54 367.43 0.13 -42.08 -31.48 -13.07 -21.23 -115.89 -482.61 -198.17 -125.98 -348.27 199.50 -139.98 -56.12 298.67 37.79 -141.14
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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