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Deere CDR (CAD Hedged) (DEER)

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  • 27.100
  • -1.630-5.67%
15min DelayMarket Closed May 21 16:00 ET
188.16BMarket Cap29.05P/E (TTM)

Deere CDR (CAD Hedged) (DEER) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)May 3, 2026
(Q1)Feb 1, 2026
(FY)Nov 2, 2025
(Q4)Nov 2, 2025
(Q3)Jul 27, 2025
(Q2)Apr 27, 2025
(Q1)Jan 26, 2025
(FY)Oct 27, 2024
(Q4)Oct 27, 2024
(Q3)Jul 28, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
13.65%1.93B
21.38%-890M
-19.20%7.46B
-21.54%4B
-9.36%2.9B
-8.21%1.7B
-24.67%-1.13B
7.47%9.23B
-10.56%5.09B
5.00%3.2B
Net income from continuing operations
-1.67%1.77B
-24.45%655M
-29.49%5B
-14.65%1.06B
-26.53%1.27B
-23.99%1.8B
-50.40%867M
-30.20%7.09B
-47.55%1.24B
-41.79%1.73B
Depreciation and amortization
7.03%594M
7.47%590M
5.24%2.23B
7.88%561M
1.99%564M
5.71%555M
5.58%549M
5.69%2.12B
9.01%520M
3.95%553M
Asset impairment expenditure
----
----
-67.20%41M
-83.33%12M
--61M
--0
---32M
-34.55%125M
300.00%72M
----
Remuneration paid in stock
-13.33%91M
-47.83%36M
-4.52%296M
-56.82%38M
-7.69%84M
5.00%105M
122.58%69M
2,037.50%310M
83.33%88M
264.00%91M
Remuneration paid in stock
7.69%28M
46.43%41M
-27.40%151M
-4.08%47M
-9.09%50M
-55.17%26M
-39.13%28M
60.00%208M
172.22%49M
-5.17%55M
Deferred tax
56.35%-86M
-91.35%18M
2.04%-288M
-10.06%-186M
-2,160.00%-113M
-34.01%-197M
670.37%208M
62.78%-294M
53.19%-169M
90.38%-5M
Other non cashItems
-162.59%-179M
-312.50%-66M
432.17%475M
620.69%209M
98.43%-4M
217.78%286M
-128.57%-16M
-156.75%-143M
-61.84%29M
-75.86%-255M
Change In working capital
67.31%-286M
22.85%-2.16B
-144.75%-443M
-30.88%2.25B
1.03%983M
23.38%-875M
14.30%-2.81B
94.58%-181M
6.95%3.26B
287.12%973M
-Change in receivables
32.74%-1.43B
-67.07%350M
157.48%1.08B
-44.96%1.58B
2,400.00%575M
2.74%-2.13B
483.75%1.06B
109.90%421M
255.71%2.87B
103.53%23M
-Change in inventory
-65.22%8M
6.16%-746M
-134.90%-275M
-54.69%251M
-61.74%246M
-92.68%23M
-9.96%-795M
182.44%788M
-41.19%554M
101.57%643M
-Change in payables and accrued expense
21.75%1.15B
19.46%-1.49B
75.87%-251M
1,964.00%466M
-36.49%181M
-7.79%947M
20.71%-1.85B
-225.30%-1.04B
-103.19%-25M
-20.83%285M
-Change in other working capital
-104.53%-13M
77.04%-282M
-186.00%-1B
69.63%-41M
-186.36%-19M
198.63%287M
-2,374.07%-1.23B
-81.35%-350M
-126.06%-135M
104.02%22M
Cash from discontinued investing activities
Operating cash flow
13.65%1.93B
21.38%-890M
-19.20%7.46B
-21.54%4B
-9.36%2.9B
-8.21%1.7B
-24.67%-1.13B
7.47%9.23B
-10.56%5.09B
5.00%3.2B
Investing cash flow
Cash flow from continuing investing activities
-171.43%-1.73B
28.67%1.82B
68.18%-2.06B
55.03%-1.26B
21.04%-1.58B
77.94%-637M
16.35%1.42B
26.12%-6.46B
33.28%-2.79B
34.80%-2B
Net PPE purchase and sale
7.56%-416M
13.13%-311M
19.56%-2.31B
23.12%-858M
5.15%-645M
41.33%-450M
-15.48%-358M
-15.52%-2.87B
-3.62%-1.12B
-15.25%-680M
Net business purchase and sale
----
----
---101M
---12M
----
----
----
----
----
----
Net investment purchase and sale
-86.36%-41M
118.75%15M
2.69%-217M
37.50%22M
-1,857.14%-137M
88.24%-22M
-77.78%-80M
26.89%-223M
107.31%16M
-275.00%-7M
Net other investing changes
-404.85%-833M
14.24%2.12B
116.98%572M
75.90%-408M
46.04%-709M
91.46%-165M
17.94%1.85B
42.67%-3.37B
39.71%-1.69B
47.08%-1.31B
Cash from discontinued investing activities
Investing cash flow
-171.43%-1.73B
28.67%1.82B
68.18%-2.06B
55.03%-1.26B
21.04%-1.58B
77.94%-637M
16.35%1.42B
26.12%-6.46B
33.28%-2.79B
34.80%-2B
Financing cash flow
Cash flow from continuing financing activities
746.08%863M
-169.77%-2.49B
-68.53%-4.58B
-56.74%-3.02B
-297.32%-736M
-93.12%102M
65.10%-923M
-196.76%-2.72B
-237.65%-1.93B
-72.61%373M
Net issuance payments of debt
59.11%1.49B
-2,410.14%-1.73B
-154.59%-1.64B
-253.61%-2.55B
-97.90%34M
-68.79%939M
92.34%-69M
-73.90%3.01B
-130.33%-720M
-58.00%1.62B
Net common stock issuance
50.13%-198M
31.52%-302M
71.60%-1.14B
99.74%-2M
62.98%-298M
63.71%-397M
66.79%-441M
44.47%-4.01B
69.45%-780M
61.97%-805M
Cash dividends paid
0.68%-437M
-9.43%-441M
-7.17%-1.72B
-8.68%-438M
-8.13%-439M
-7.32%-440M
-4.40%-403M
-12.47%-1.61B
-11.33%-403M
-10.33%-406M
Net other financing activities
--4M
-50.00%-15M
30.09%-79M
-44.00%-36M
8.33%-33M
--0
66.67%-10M
-54.79%-113M
16.67%-25M
-260.00%-36M
Cash from discontinued financing activities
Financing cash flow
746.08%863M
-169.77%-2.49B
-68.53%-4.58B
-56.74%-3.02B
-297.32%-736M
-93.12%102M
65.10%-923M
-196.76%-2.72B
-237.65%-1.93B
-72.61%373M
Net cash flow
Beginning cash position
2.40%7.07B
11.79%8.53B
0.17%7.63B
21.31%8.85B
42.81%8.18B
30.32%6.91B
0.17%7.63B
54.22%7.62B
7.60%7.29B
6.31%5.73B
Current changes in cash
-8.50%1.07B
-143.82%-1.56B
1,546.00%823M
-176.28%-283M
-62.99%580M
160.04%1.17B
72.65%-639M
-98.11%50M
-60.36%371M
17.29%1.57B
Effect of exchange rate changes
-103.74%-4M
212.64%98M
308.11%77M
0.00%-31M
8,900.00%88M
609.52%107M
-643.75%-87M
-219.35%-37M
67.02%-31M
-101.82%-1M
End cash Position
-0.54%8.14B
2.40%7.07B
11.79%8.53B
11.79%8.53B
21.31%8.85B
42.81%8.18B
30.32%6.91B
0.17%7.63B
0.17%7.63B
7.60%7.29B
Free cash from
28.15%874M
17.94%-1.58B
-27.05%3.23B
-24.87%2.63B
-11.13%1.84B
17.59%682M
-11.54%-1.92B
7.47%4.43B
-14.26%3.5B
3.70%2.08B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
--
(Q2)May 3, 2026(Q1)Feb 1, 2026(FY)Nov 2, 2025(Q4)Nov 2, 2025(Q3)Jul 27, 2025(Q2)Apr 27, 2025(Q1)Jan 26, 2025(FY)Oct 27, 2024(Q4)Oct 27, 2024(Q3)Jul 28, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 13.65%1.93B21.38%-890M-19.20%7.46B-21.54%4B-9.36%2.9B-8.21%1.7B-24.67%-1.13B7.47%9.23B-10.56%5.09B5.00%3.2B
Net income from continuing operations -1.67%1.77B-24.45%655M-29.49%5B-14.65%1.06B-26.53%1.27B-23.99%1.8B-50.40%867M-30.20%7.09B-47.55%1.24B-41.79%1.73B
Depreciation and amortization 7.03%594M7.47%590M5.24%2.23B7.88%561M1.99%564M5.71%555M5.58%549M5.69%2.12B9.01%520M3.95%553M
Asset impairment expenditure ---------67.20%41M-83.33%12M--61M--0---32M-34.55%125M300.00%72M----
Remuneration paid in stock -13.33%91M-47.83%36M-4.52%296M-56.82%38M-7.69%84M5.00%105M122.58%69M2,037.50%310M83.33%88M264.00%91M
Remuneration paid in stock 7.69%28M46.43%41M-27.40%151M-4.08%47M-9.09%50M-55.17%26M-39.13%28M60.00%208M172.22%49M-5.17%55M
Deferred tax 56.35%-86M-91.35%18M2.04%-288M-10.06%-186M-2,160.00%-113M-34.01%-197M670.37%208M62.78%-294M53.19%-169M90.38%-5M
Other non cashItems -162.59%-179M-312.50%-66M432.17%475M620.69%209M98.43%-4M217.78%286M-128.57%-16M-156.75%-143M-61.84%29M-75.86%-255M
Change In working capital 67.31%-286M22.85%-2.16B-144.75%-443M-30.88%2.25B1.03%983M23.38%-875M14.30%-2.81B94.58%-181M6.95%3.26B287.12%973M
-Change in receivables 32.74%-1.43B-67.07%350M157.48%1.08B-44.96%1.58B2,400.00%575M2.74%-2.13B483.75%1.06B109.90%421M255.71%2.87B103.53%23M
-Change in inventory -65.22%8M6.16%-746M-134.90%-275M-54.69%251M-61.74%246M-92.68%23M-9.96%-795M182.44%788M-41.19%554M101.57%643M
-Change in payables and accrued expense 21.75%1.15B19.46%-1.49B75.87%-251M1,964.00%466M-36.49%181M-7.79%947M20.71%-1.85B-225.30%-1.04B-103.19%-25M-20.83%285M
-Change in other working capital -104.53%-13M77.04%-282M-186.00%-1B69.63%-41M-186.36%-19M198.63%287M-2,374.07%-1.23B-81.35%-350M-126.06%-135M104.02%22M
Cash from discontinued investing activities
Operating cash flow 13.65%1.93B21.38%-890M-19.20%7.46B-21.54%4B-9.36%2.9B-8.21%1.7B-24.67%-1.13B7.47%9.23B-10.56%5.09B5.00%3.2B
Investing cash flow
Cash flow from continuing investing activities -171.43%-1.73B28.67%1.82B68.18%-2.06B55.03%-1.26B21.04%-1.58B77.94%-637M16.35%1.42B26.12%-6.46B33.28%-2.79B34.80%-2B
Net PPE purchase and sale 7.56%-416M13.13%-311M19.56%-2.31B23.12%-858M5.15%-645M41.33%-450M-15.48%-358M-15.52%-2.87B-3.62%-1.12B-15.25%-680M
Net business purchase and sale -----------101M---12M------------------------
Net investment purchase and sale -86.36%-41M118.75%15M2.69%-217M37.50%22M-1,857.14%-137M88.24%-22M-77.78%-80M26.89%-223M107.31%16M-275.00%-7M
Net other investing changes -404.85%-833M14.24%2.12B116.98%572M75.90%-408M46.04%-709M91.46%-165M17.94%1.85B42.67%-3.37B39.71%-1.69B47.08%-1.31B
Cash from discontinued investing activities
Investing cash flow -171.43%-1.73B28.67%1.82B68.18%-2.06B55.03%-1.26B21.04%-1.58B77.94%-637M16.35%1.42B26.12%-6.46B33.28%-2.79B34.80%-2B
Financing cash flow
Cash flow from continuing financing activities 746.08%863M-169.77%-2.49B-68.53%-4.58B-56.74%-3.02B-297.32%-736M-93.12%102M65.10%-923M-196.76%-2.72B-237.65%-1.93B-72.61%373M
Net issuance payments of debt 59.11%1.49B-2,410.14%-1.73B-154.59%-1.64B-253.61%-2.55B-97.90%34M-68.79%939M92.34%-69M-73.90%3.01B-130.33%-720M-58.00%1.62B
Net common stock issuance 50.13%-198M31.52%-302M71.60%-1.14B99.74%-2M62.98%-298M63.71%-397M66.79%-441M44.47%-4.01B69.45%-780M61.97%-805M
Cash dividends paid 0.68%-437M-9.43%-441M-7.17%-1.72B-8.68%-438M-8.13%-439M-7.32%-440M-4.40%-403M-12.47%-1.61B-11.33%-403M-10.33%-406M
Net other financing activities --4M-50.00%-15M30.09%-79M-44.00%-36M8.33%-33M--066.67%-10M-54.79%-113M16.67%-25M-260.00%-36M
Cash from discontinued financing activities
Financing cash flow 746.08%863M-169.77%-2.49B-68.53%-4.58B-56.74%-3.02B-297.32%-736M-93.12%102M65.10%-923M-196.76%-2.72B-237.65%-1.93B-72.61%373M
Net cash flow
Beginning cash position 2.40%7.07B11.79%8.53B0.17%7.63B21.31%8.85B42.81%8.18B30.32%6.91B0.17%7.63B54.22%7.62B7.60%7.29B6.31%5.73B
Current changes in cash -8.50%1.07B-143.82%-1.56B1,546.00%823M-176.28%-283M-62.99%580M160.04%1.17B72.65%-639M-98.11%50M-60.36%371M17.29%1.57B
Effect of exchange rate changes -103.74%-4M212.64%98M308.11%77M0.00%-31M8,900.00%88M609.52%107M-643.75%-87M-219.35%-37M67.02%-31M-101.82%-1M
End cash Position -0.54%8.14B2.40%7.07B11.79%8.53B11.79%8.53B21.31%8.85B42.81%8.18B30.32%6.91B0.17%7.63B0.17%7.63B7.60%7.29B
Free cash from 28.15%874M17.94%-1.58B-27.05%3.23B-24.87%2.63B-11.13%1.84B17.59%682M-11.54%-1.92B7.47%4.43B-14.26%3.5B3.70%2.08B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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