US Stock MarketDetailed Quotes

Home Depot (HD)

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  • 335.890
  • -4.270-1.26%
Close Apr 24 16:00 ET
  • 336.090
  • +0.200+0.06%
Post 20:01 ET
334.56BMarket Cap23.60P/E (TTM)

Home Depot (HD) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Feb 1, 2026
(Q4)Feb 1, 2026
(Q3)Nov 2, 2025
(Q2)Aug 3, 2025
(Q1)May 4, 2025
(FY)Feb 2, 2025
(Q4)Feb 2, 2025
(Q3)Nov 2, 2024
(Q2)Aug 3, 2024
(Q1)Apr 28, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-17.59%16.33B
-28.35%3.35B
-5.27%4.01B
-14.16%4.64B
-21.32%4.33B
-6.43%19.81B
-1.31%4.67B
-0.02%4.23B
-17.93%5.41B
-2.08%5.5B
Net income from continuing operations
-4.39%14.16B
-14.21%2.57B
-1.29%3.6B
-0.22%4.55B
-4.64%3.43B
-2.23%14.81B
7.00%3B
-4.25%3.65B
-2.10%4.56B
-7.05%3.6B
Depreciation and amortization
9.57%4.12B
6.94%1.08B
4.92%1.04B
9.13%1B
18.76%994M
15.83%3.76B
21.27%1.01B
20.31%995M
15.72%920M
5.55%837M
Other non cash items
79.44%192M
-69.37%34M
130.36%129M
176.06%54M
-327.27%-25M
-65.92%107M
753.85%111M
-64.33%56M
-201.43%-71M
-85.14%11M
Change In working capital
-484.15%-2.67B
-202.50%-451M
-54.55%-884M
-994.95%-1.08B
-126.70%-247M
-66.76%694M
-56.31%440M
11.32%-572M
-110.14%-99M
23.33%925M
-Change in receivables
-38.51%107M
32.07%1.11B
93.14%-19M
-100.25%-1M
-23.90%-985M
29.85%174M
25.30%842M
-502.17%-277M
0.75%404M
10.97%-795M
-Change in inventory
-101.62%-1.5B
29.35%476M
14.27%-769M
-19.39%998M
-51.72%-2.2B
-117.96%-743M
-81.66%368M
-336.05%-897M
-43.93%1.24B
-217.72%-1.45B
-Change in payables and accrued expense
-232.33%-1.76B
-166.67%-1.88B
-217.95%-460M
-37.93%-2.04B
-15.92%2.62B
192.41%1.33B
62.40%-705M
185.15%390M
-16.92%-1.48B
44.36%3.12B
-Change in other current assets
44.19%124M
-286.57%-125M
22.63%439M
-57.52%-356M
246.90%166M
146.74%86M
-62.98%67M
1,225.93%358M
31.93%-226M
-88.33%-113M
-Change in other working capital
338.00%357M
74.24%-34M
48.63%-75M
975.00%315M
-7.93%151M
73.36%-150M
-673.91%-132M
73.36%-146M
0.00%-36M
8,300.00%164M
Cash from discontinued investing activities
Operating cash flow
-17.59%16.33B
-28.35%3.35B
-5.27%4.01B
-14.16%4.64B
-21.32%4.33B
-6.43%19.81B
-1.31%4.67B
-0.02%4.23B
-17.93%5.41B
-2.08%5.5B
Investing cash flow
Cash flow from continuing investing activities
57.30%-8.98B
-8.58%-1.22B
-621.50%-5.87B
94.74%-961M
-12.17%-931M
-344.72%-21.03B
29.22%-1.12B
34.67%-814M
-1,728.63%-18.27B
8.08%-830M
Capital expenditure reported
-5.57%-3.68B
3.91%-1.06B
-9.78%-898M
-27.54%-917M
4.84%-806M
-8.03%-3.49B
-28.32%-1.1B
-21.91%-818M
9.22%-719M
6.41%-847M
Net business purchase and sale
69.34%-5.41B
-422.58%-162M
-11,562.79%-5.02B
99.56%-77M
---156M
-1,065.39%-17.64B
95.69%-31M
92.59%-43M
---17.57B
--0
Net other investing changes
11.22%109M
-61.54%5M
-14.89%40M
57.14%33M
82.35%31M
790.91%98M
425.00%13M
840.00%47M
162.50%21M
750.00%17M
Cash from discontinued investing activities
Investing cash flow
57.30%-8.98B
-8.58%-1.22B
-621.50%-5.87B
94.74%-961M
-12.17%-931M
-344.72%-21.03B
29.22%-1.12B
34.67%-814M
-1,728.63%-18.27B
8.08%-830M
Financing cash flow
Cash flow from continuing financing activities
-1,011.53%-7.71B
25.55%-2.48B
121.46%746M
-121.68%-2.22B
9.41%-3.76B
95.51%-694M
-119.14%-3.33B
4.95%-3.48B
351.57%10.26B
33.00%-4.15B
Net issuance payments of debt
-85.56%1.27B
72.76%-322M
342.01%3.03B
-100.68%-84M
-16.41%-1.36B
1,114.09%8.79B
-161.43%-1.18B
-1,688.57%-1.25B
18,589.55%12.39B
-9.50%-1.16B
Net common stock issuance
223.62%314M
-21.34%129M
4.76%22M
2.70%152M
101.87%11M
96.67%-254M
112.10%164M
101.41%21M
107.76%148M
79.56%-587M
Cash dividends paid
-2.50%-9.15B
-2.42%-2.29B
-2.46%-2.29B
-2.55%-2.29B
-2.56%-2.29B
-6.51%-8.93B
-7.50%-2.24B
-6.94%-2.23B
-6.39%-2.23B
-5.24%-2.23B
Net other financing activities
51.83%-145M
102.56%2M
-54.55%-17M
91.30%-4M
24.10%-126M
-92.95%-301M
-680.00%-78M
-175.00%-11M
-557.14%-46M
-22.96%-166M
Cash from discontinued financing activities
Financing cash flow
-1,011.53%-7.71B
25.55%-2.48B
121.46%746M
-121.68%-2.22B
9.41%-3.76B
95.51%-694M
-119.14%-3.33B
4.95%-3.48B
351.57%10.26B
33.00%-4.15B
Net cash flow
Beginning cash position
-55.88%1.66B
9.99%1.68B
73.84%2.8B
-67.89%1.37B
-55.88%1.66B
36.38%3.76B
-25.61%1.53B
-42.68%1.61B
238.41%4.26B
36.38%3.76B
Current changes in cash
80.73%-369M
-257.47%-348M
-1,859.65%-1.12B
156.08%1.46B
-169.48%-362M
-291.50%-1.92B
-86.46%221M
91.48%-57M
-271.73%-2.6B
135.27%521M
Effect of exchange rate changes
153.23%99M
156.99%53M
88.00%-3M
54.90%-23M
523.53%72M
-6,300.00%-186M
-232.86%-93M
71.26%-25M
-227.50%-51M
15.00%-17M
End cash Position
-16.27%1.39B
-16.27%1.39B
9.99%1.68B
73.84%2.8B
-67.89%1.37B
-55.88%1.66B
-55.88%1.66B
-25.61%1.53B
-42.68%1.61B
238.41%4.26B
Free cash flow
-22.54%12.65B
-35.88%2.29B
-8.87%3.11B
-20.55%3.73B
-24.32%3.52B
-9.03%16.33B
-7.87%3.57B
-4.15%3.42B
-19.12%4.69B
-1.25%4.65B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Feb 1, 2026(Q4)Feb 1, 2026(Q3)Nov 2, 2025(Q2)Aug 3, 2025(Q1)May 4, 2025(FY)Feb 2, 2025(Q4)Feb 2, 2025(Q3)Nov 2, 2024(Q2)Aug 3, 2024(Q1)Apr 28, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -17.59%16.33B-28.35%3.35B-5.27%4.01B-14.16%4.64B-21.32%4.33B-6.43%19.81B-1.31%4.67B-0.02%4.23B-17.93%5.41B-2.08%5.5B
Net income from continuing operations -4.39%14.16B-14.21%2.57B-1.29%3.6B-0.22%4.55B-4.64%3.43B-2.23%14.81B7.00%3B-4.25%3.65B-2.10%4.56B-7.05%3.6B
Depreciation and amortization 9.57%4.12B6.94%1.08B4.92%1.04B9.13%1B18.76%994M15.83%3.76B21.27%1.01B20.31%995M15.72%920M5.55%837M
Other non cash items 79.44%192M-69.37%34M130.36%129M176.06%54M-327.27%-25M-65.92%107M753.85%111M-64.33%56M-201.43%-71M-85.14%11M
Change In working capital -484.15%-2.67B-202.50%-451M-54.55%-884M-994.95%-1.08B-126.70%-247M-66.76%694M-56.31%440M11.32%-572M-110.14%-99M23.33%925M
-Change in receivables -38.51%107M32.07%1.11B93.14%-19M-100.25%-1M-23.90%-985M29.85%174M25.30%842M-502.17%-277M0.75%404M10.97%-795M
-Change in inventory -101.62%-1.5B29.35%476M14.27%-769M-19.39%998M-51.72%-2.2B-117.96%-743M-81.66%368M-336.05%-897M-43.93%1.24B-217.72%-1.45B
-Change in payables and accrued expense -232.33%-1.76B-166.67%-1.88B-217.95%-460M-37.93%-2.04B-15.92%2.62B192.41%1.33B62.40%-705M185.15%390M-16.92%-1.48B44.36%3.12B
-Change in other current assets 44.19%124M-286.57%-125M22.63%439M-57.52%-356M246.90%166M146.74%86M-62.98%67M1,225.93%358M31.93%-226M-88.33%-113M
-Change in other working capital 338.00%357M74.24%-34M48.63%-75M975.00%315M-7.93%151M73.36%-150M-673.91%-132M73.36%-146M0.00%-36M8,300.00%164M
Cash from discontinued investing activities
Operating cash flow -17.59%16.33B-28.35%3.35B-5.27%4.01B-14.16%4.64B-21.32%4.33B-6.43%19.81B-1.31%4.67B-0.02%4.23B-17.93%5.41B-2.08%5.5B
Investing cash flow
Cash flow from continuing investing activities 57.30%-8.98B-8.58%-1.22B-621.50%-5.87B94.74%-961M-12.17%-931M-344.72%-21.03B29.22%-1.12B34.67%-814M-1,728.63%-18.27B8.08%-830M
Capital expenditure reported -5.57%-3.68B3.91%-1.06B-9.78%-898M-27.54%-917M4.84%-806M-8.03%-3.49B-28.32%-1.1B-21.91%-818M9.22%-719M6.41%-847M
Net business purchase and sale 69.34%-5.41B-422.58%-162M-11,562.79%-5.02B99.56%-77M---156M-1,065.39%-17.64B95.69%-31M92.59%-43M---17.57B--0
Net other investing changes 11.22%109M-61.54%5M-14.89%40M57.14%33M82.35%31M790.91%98M425.00%13M840.00%47M162.50%21M750.00%17M
Cash from discontinued investing activities
Investing cash flow 57.30%-8.98B-8.58%-1.22B-621.50%-5.87B94.74%-961M-12.17%-931M-344.72%-21.03B29.22%-1.12B34.67%-814M-1,728.63%-18.27B8.08%-830M
Financing cash flow
Cash flow from continuing financing activities -1,011.53%-7.71B25.55%-2.48B121.46%746M-121.68%-2.22B9.41%-3.76B95.51%-694M-119.14%-3.33B4.95%-3.48B351.57%10.26B33.00%-4.15B
Net issuance payments of debt -85.56%1.27B72.76%-322M342.01%3.03B-100.68%-84M-16.41%-1.36B1,114.09%8.79B-161.43%-1.18B-1,688.57%-1.25B18,589.55%12.39B-9.50%-1.16B
Net common stock issuance 223.62%314M-21.34%129M4.76%22M2.70%152M101.87%11M96.67%-254M112.10%164M101.41%21M107.76%148M79.56%-587M
Cash dividends paid -2.50%-9.15B-2.42%-2.29B-2.46%-2.29B-2.55%-2.29B-2.56%-2.29B-6.51%-8.93B-7.50%-2.24B-6.94%-2.23B-6.39%-2.23B-5.24%-2.23B
Net other financing activities 51.83%-145M102.56%2M-54.55%-17M91.30%-4M24.10%-126M-92.95%-301M-680.00%-78M-175.00%-11M-557.14%-46M-22.96%-166M
Cash from discontinued financing activities
Financing cash flow -1,011.53%-7.71B25.55%-2.48B121.46%746M-121.68%-2.22B9.41%-3.76B95.51%-694M-119.14%-3.33B4.95%-3.48B351.57%10.26B33.00%-4.15B
Net cash flow
Beginning cash position -55.88%1.66B9.99%1.68B73.84%2.8B-67.89%1.37B-55.88%1.66B36.38%3.76B-25.61%1.53B-42.68%1.61B238.41%4.26B36.38%3.76B
Current changes in cash 80.73%-369M-257.47%-348M-1,859.65%-1.12B156.08%1.46B-169.48%-362M-291.50%-1.92B-86.46%221M91.48%-57M-271.73%-2.6B135.27%521M
Effect of exchange rate changes 153.23%99M156.99%53M88.00%-3M54.90%-23M523.53%72M-6,300.00%-186M-232.86%-93M71.26%-25M-227.50%-51M15.00%-17M
End cash Position -16.27%1.39B-16.27%1.39B9.99%1.68B73.84%2.8B-67.89%1.37B-55.88%1.66B-55.88%1.66B-25.61%1.53B-42.68%1.61B238.41%4.26B
Free cash flow -22.54%12.65B-35.88%2.29B-8.87%3.11B-20.55%3.73B-24.32%3.52B-9.03%16.33B-7.87%3.57B-4.15%3.42B-19.12%4.69B-1.25%4.65B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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