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Walmart CDR (CAD Hedged) (WMT)

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  • 55.290
  • -0.140-0.25%
15min DelayMarket Closed May 1 16:00 ET
1.39TMarket Cap46.78P/E (TTM)

Walmart CDR (CAD Hedged) (WMT) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jan 31, 2026
(Q4)Jan 31, 2026
(Q3)Oct 31, 2025
(Q2)Jul 31, 2025
(Q1)Apr 30, 2025
(FY)Jan 31, 2025
(Q4)Jan 31, 2025
(Q3)Oct 31, 2024
(Q2)Jul 31, 2024
(Q1)Apr 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
14.05%41.57B
4.35%14.11B
38.70%9.1B
6.88%12.94B
27.35%5.41B
2.01%36.44B
-19.07%13.53B
707.01%6.56B
-10.76%12.11B
-8.29%4.25B
Net income from continuing operations
10.48%22.27B
-19.04%4.39B
29.15%6.09B
51.79%7.15B
-12.59%4.64B
23.89%20.16B
-4.46%5.43B
633.13%4.71B
-41.50%4.71B
179.91%5.31B
Operating gains losses
-329.61%-2.02B
840.63%2.11B
-1,623.70%-2.06B
-325.99%-2.62B
186.23%551M
-72.50%878M
126.83%224M
-97.19%135M
130.20%1.16B
-120.87%-639M
Depreciation and amortization
9.48%14.2B
10.88%3.74B
10.61%3.61B
8.60%3.49B
7.70%3.37B
9.45%12.97B
8.25%3.37B
9.18%3.26B
10.53%3.21B
9.95%3.13B
Deferred tax
458.58%2.28B
91.54%-33M
76,000.00%759M
570.23%1.63B
-174.51%-76M
-262.86%-635M
-178.95%-390M
99.91%-1M
-129.80%-346M
114.07%102M
Other non cashItems
41.19%4.08B
-8.39%1.1B
96.09%1.61B
142.06%869M
-1.18%501M
9.35%2.89B
-2.11%1.2B
45.47%819M
-40.17%359M
103.61%507M
Change In working capital
315.47%752M
-24.00%2.8B
61.88%-902M
-19.60%2.42B
14.03%-3.57B
-90.68%181M
-47.52%3.69B
66.56%-2.37B
-35.63%3.02B
-54.27%-4.16B
-Change in receivables
-2.71%-1.14B
243.25%992M
-16.81%-1.72B
-387.61%-673M
274.03%268M
-38.77%-1.11B
329.37%289M
-87.66%-1.48B
189.66%234M
-140.96%-154M
-Change in inventory
47.62%-1.44B
5.17%6.78B
5.07%-7.56B
120.99%148M
-52.55%-807M
-236.59%-2.76B
-30.98%6.45B
-5.61%-7.97B
-287.50%-705M
-243.51%-529M
-Change in payables and accrued expense
-17.59%3.33B
-63.07%-4.97B
18.49%8.38B
-15.40%2.95B
12.64%-3.03B
459.06%4.04B
-39.47%-3.05B
464.19%7.08B
-23.70%3.49B
-19.10%-3.47B
Cash from discontinued investing activities
Operating cash flow
14.05%41.57B
4.35%14.11B
38.70%9.1B
6.88%12.94B
27.35%5.41B
2.01%36.44B
-19.07%13.53B
707.01%6.56B
-10.76%12.11B
-8.29%4.25B
Investing cash flow
Cash flow from continuing investing activities
-23.25%-26.35B
16.04%-7.32B
-209.16%-7.83B
-6.77%-6.11B
-15.51%-5.09B
-0.43%-21.38B
-47.44%-8.72B
53.65%-2.53B
-13.27%-5.72B
9.28%-4.41B
Net PPE purchase and sale
-13.64%-26.54B
-13.76%-7.98B
-17.43%-7.19B
-14.19%-6.41B
-7.75%-4.96B
-14.71%-23.35B
-19.98%-7.01B
-12.80%-6.12B
-19.36%-5.61B
-5.07%-4.6B
Net business purchase and sale
97.20%-53M
----
----
----
----
-20,966.67%-1.9B
-1,218.75%-1.9B
--0
-96.55%3M
--0
Net investment purchase and sale
-77.28%927M
-52.06%128M
-99.34%24M
----
----
--4.08B
--267M
--3.66B
----
----
Net other investing changes
-224.53%-688M
867.11%583M
-798.65%-665M
-84.44%-474M
-167.69%-132M
77.01%-212M
-200.00%-76M
-100.00%-74M
40.92%-257M
137.07%195M
Cash from discontinued investing activities
Investing cash flow
-23.25%-26.35B
16.04%-7.32B
-209.16%-7.83B
-6.77%-6.11B
-15.51%-5.09B
-0.43%-21.38B
-47.44%-8.72B
53.65%-2.53B
-13.27%-5.72B
9.28%-4.41B
Financing cash flow
Cash flow from continuing financing activities
8.56%-13.55B
-27.03%-6.54B
99.30%-19M
-5.69%-7B
102.49%8M
-10.50%-14.82B
61.10%-5.15B
-187.16%-2.73B
-26.20%-6.62B
-116.55%-321M
Net issuance payments of debt
488.61%4.88B
-59.96%-1.79B
668.22%2.8B
24.94%-2.64B
116.01%6.5B
-199.52%-1.26B
87.67%-1.12B
-93.05%365M
-728.44%-3.51B
-33.47%3.01B
Net common stock issuance
-79.97%-8.09B
25.26%-1.08B
17.30%-808M
-62.39%-1.65B
-330.12%-4.56B
-61.71%-4.49B
3.47%-1.45B
-780.18%-977M
-108.87%-1.01B
-54.37%-1.06B
Cash dividends paid
-12.25%-7.51B
-11.46%-1.88B
-12.41%-1.88B
-12.61%-1.88B
-12.51%-1.88B
-8.93%-6.69B
-9.78%-1.68B
-8.74%-1.67B
-8.54%-1.67B
-8.65%-1.67B
Net other financing activities
-19.09%-2.84B
-99.11%-1.79B
68.75%-140M
-94.92%-844M
89.87%-61M
58.59%-2.38B
20.19%-901M
6.08%-448M
88.57%-433M
-66.30%-602M
Cash from discontinued financing activities
Financing cash flow
8.56%-13.55B
-27.03%-6.54B
99.30%-19M
-5.69%-7B
102.49%8M
-10.50%-14.82B
61.10%-5.15B
-187.16%-2.73B
-26.20%-6.62B
-116.55%-321M
Net cash flow
Beginning cash position
-4.02%9.54B
9.14%11.1B
11.24%9.88B
4.99%9.93B
-4.02%9.54B
12.37%9.94B
-17.30%10.17B
-36.45%8.88B
-11.65%9.46B
12.37%9.94B
Current changes in cash
586.78%1.66B
173.68%252M
-3.85%1.25B
29.36%-166M
167.78%326M
-76.39%242M
85.96%-342M
185.41%1.3B
-107.19%-235M
-128.08%-481M
Effect of exchange rate changes
119.19%123M
90.34%-28M
-172.73%-30M
132.08%111M
1,066.67%70M
-1,028.99%-641M
-481.58%-290M
92.86%-11M
-4,842.86%-346M
-96.10%6M
End cash Position
18.72%11.32B
18.72%11.32B
9.14%11.1B
11.24%9.88B
4.99%9.93B
-4.02%9.54B
-4.02%9.54B
-17.30%10.17B
-36.45%8.88B
-11.65%9.46B
Free cash from
17.88%14.92B
-5.28%6.1B
405.91%1.88B
3.84%6.52B
199.53%425M
-16.27%12.66B
-40.28%6.44B
108.01%372M
-28.52%6.28B
-309.31%-427M
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)Jan 31, 2026(Q4)Jan 31, 2026(Q3)Oct 31, 2025(Q2)Jul 31, 2025(Q1)Apr 30, 2025(FY)Jan 31, 2025(Q4)Jan 31, 2025(Q3)Oct 31, 2024(Q2)Jul 31, 2024(Q1)Apr 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 14.05%41.57B4.35%14.11B38.70%9.1B6.88%12.94B27.35%5.41B2.01%36.44B-19.07%13.53B707.01%6.56B-10.76%12.11B-8.29%4.25B
Net income from continuing operations 10.48%22.27B-19.04%4.39B29.15%6.09B51.79%7.15B-12.59%4.64B23.89%20.16B-4.46%5.43B633.13%4.71B-41.50%4.71B179.91%5.31B
Operating gains losses -329.61%-2.02B840.63%2.11B-1,623.70%-2.06B-325.99%-2.62B186.23%551M-72.50%878M126.83%224M-97.19%135M130.20%1.16B-120.87%-639M
Depreciation and amortization 9.48%14.2B10.88%3.74B10.61%3.61B8.60%3.49B7.70%3.37B9.45%12.97B8.25%3.37B9.18%3.26B10.53%3.21B9.95%3.13B
Deferred tax 458.58%2.28B91.54%-33M76,000.00%759M570.23%1.63B-174.51%-76M-262.86%-635M-178.95%-390M99.91%-1M-129.80%-346M114.07%102M
Other non cashItems 41.19%4.08B-8.39%1.1B96.09%1.61B142.06%869M-1.18%501M9.35%2.89B-2.11%1.2B45.47%819M-40.17%359M103.61%507M
Change In working capital 315.47%752M-24.00%2.8B61.88%-902M-19.60%2.42B14.03%-3.57B-90.68%181M-47.52%3.69B66.56%-2.37B-35.63%3.02B-54.27%-4.16B
-Change in receivables -2.71%-1.14B243.25%992M-16.81%-1.72B-387.61%-673M274.03%268M-38.77%-1.11B329.37%289M-87.66%-1.48B189.66%234M-140.96%-154M
-Change in inventory 47.62%-1.44B5.17%6.78B5.07%-7.56B120.99%148M-52.55%-807M-236.59%-2.76B-30.98%6.45B-5.61%-7.97B-287.50%-705M-243.51%-529M
-Change in payables and accrued expense -17.59%3.33B-63.07%-4.97B18.49%8.38B-15.40%2.95B12.64%-3.03B459.06%4.04B-39.47%-3.05B464.19%7.08B-23.70%3.49B-19.10%-3.47B
Cash from discontinued investing activities
Operating cash flow 14.05%41.57B4.35%14.11B38.70%9.1B6.88%12.94B27.35%5.41B2.01%36.44B-19.07%13.53B707.01%6.56B-10.76%12.11B-8.29%4.25B
Investing cash flow
Cash flow from continuing investing activities -23.25%-26.35B16.04%-7.32B-209.16%-7.83B-6.77%-6.11B-15.51%-5.09B-0.43%-21.38B-47.44%-8.72B53.65%-2.53B-13.27%-5.72B9.28%-4.41B
Net PPE purchase and sale -13.64%-26.54B-13.76%-7.98B-17.43%-7.19B-14.19%-6.41B-7.75%-4.96B-14.71%-23.35B-19.98%-7.01B-12.80%-6.12B-19.36%-5.61B-5.07%-4.6B
Net business purchase and sale 97.20%-53M-----------------20,966.67%-1.9B-1,218.75%-1.9B--0-96.55%3M--0
Net investment purchase and sale -77.28%927M-52.06%128M-99.34%24M----------4.08B--267M--3.66B--------
Net other investing changes -224.53%-688M867.11%583M-798.65%-665M-84.44%-474M-167.69%-132M77.01%-212M-200.00%-76M-100.00%-74M40.92%-257M137.07%195M
Cash from discontinued investing activities
Investing cash flow -23.25%-26.35B16.04%-7.32B-209.16%-7.83B-6.77%-6.11B-15.51%-5.09B-0.43%-21.38B-47.44%-8.72B53.65%-2.53B-13.27%-5.72B9.28%-4.41B
Financing cash flow
Cash flow from continuing financing activities 8.56%-13.55B-27.03%-6.54B99.30%-19M-5.69%-7B102.49%8M-10.50%-14.82B61.10%-5.15B-187.16%-2.73B-26.20%-6.62B-116.55%-321M
Net issuance payments of debt 488.61%4.88B-59.96%-1.79B668.22%2.8B24.94%-2.64B116.01%6.5B-199.52%-1.26B87.67%-1.12B-93.05%365M-728.44%-3.51B-33.47%3.01B
Net common stock issuance -79.97%-8.09B25.26%-1.08B17.30%-808M-62.39%-1.65B-330.12%-4.56B-61.71%-4.49B3.47%-1.45B-780.18%-977M-108.87%-1.01B-54.37%-1.06B
Cash dividends paid -12.25%-7.51B-11.46%-1.88B-12.41%-1.88B-12.61%-1.88B-12.51%-1.88B-8.93%-6.69B-9.78%-1.68B-8.74%-1.67B-8.54%-1.67B-8.65%-1.67B
Net other financing activities -19.09%-2.84B-99.11%-1.79B68.75%-140M-94.92%-844M89.87%-61M58.59%-2.38B20.19%-901M6.08%-448M88.57%-433M-66.30%-602M
Cash from discontinued financing activities
Financing cash flow 8.56%-13.55B-27.03%-6.54B99.30%-19M-5.69%-7B102.49%8M-10.50%-14.82B61.10%-5.15B-187.16%-2.73B-26.20%-6.62B-116.55%-321M
Net cash flow
Beginning cash position -4.02%9.54B9.14%11.1B11.24%9.88B4.99%9.93B-4.02%9.54B12.37%9.94B-17.30%10.17B-36.45%8.88B-11.65%9.46B12.37%9.94B
Current changes in cash 586.78%1.66B173.68%252M-3.85%1.25B29.36%-166M167.78%326M-76.39%242M85.96%-342M185.41%1.3B-107.19%-235M-128.08%-481M
Effect of exchange rate changes 119.19%123M90.34%-28M-172.73%-30M132.08%111M1,066.67%70M-1,028.99%-641M-481.58%-290M92.86%-11M-4,842.86%-346M-96.10%6M
End cash Position 18.72%11.32B18.72%11.32B9.14%11.1B11.24%9.88B4.99%9.93B-4.02%9.54B-4.02%9.54B-17.30%10.17B-36.45%8.88B-11.65%9.46B
Free cash from 17.88%14.92B-5.28%6.1B405.91%1.88B3.84%6.52B199.53%425M-16.27%12.66B-40.28%6.44B108.01%372M-28.52%6.28B-309.31%-427M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------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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