BEST BUY CO INCBBY

Market cap
$16.2B
P/E ratio
Feb 27,
2010
Feb 26,
2011
Mar 3,
2012
Feb 1,
2014
Jan 31,
2015
Jan 30,
2016
Jan 28,
2017
Feb 3,
2018
Feb 2,
2019
Feb 1,
2020
Jan 30,
2021
Jan 29,
2022
Jan 28,
2023
Feb 3,
2024
Feb 1,
2025
Net earnings1,3941,366225321,2358971,2281,0001,4641,5411,7982,4541,4191,241927
Depreciation and amortization--------770812839869918923866
Restructuring Costs--------4641254-34147153-3
Goodwill impairment--1,207-----------475
Stock-based compensation1181211209087104108129123143135141138145139
Deferred income taxes-30-13428-----1070-361451-214-59
Gain on sale of subsidiary, net----143199-------21-
Other, net------31-25-21-3-11-12-26-12
Receivables63371-41-719-123185-315-28131-73-17103-204111
Merchandise inventories--------194-237435328-809-178155
Other assets98-402470-29-36-102134-1651142118-11
Accounts payable141-443574-986434-536518-196432471,676-201-1,099-1,025358
Income taxes103-33255485-94-21329022-132173-1563652-212
Other liabilities---------234-100498479-483-174-150
Total cash provided by operating activities2,2061,1903,2931,0941,9351,3222,5452,1412,4082,5654,9273,2521,8241,4702,098
Additions to property and equipment615744766547561649582688819743713737930795706
Purchases of investments162671122302,8042,2813,0454,325-33062023346926
Net proceeds from sale of subsidiary-21-20639103-------14-
Sales of investments56415290501,5802,4272,6894,0182,098322546667720
Other, net16421-5-28-39-16-11--7-2-8
Total cash used in investing activities-540-569-724-517-1,712-419-887-1,002508-895-788-1,372-962-781-704
Repurchase of common stock-1,1931,500--1,0006982,0041,5051,0033123,5021,014340500
Issuance of common stock--------38482829161917
Dividends paid234237228233251499505409497527568688789801807
Repayments of debt5,3423,1203,4122,033242839446546151,916133191917
Other, net-153-23-22022-1-6-1--3--3-2
Total cash used in financing activities-348-1,357-2,478319-223-1,515-1,404-2,297-2,018-1,498-876-4,297-1,806-1,144-1,309
Effect of exchange rate changes on cash----------17-3-8-5-10
Increase (decrease) in cash, cash equivalents and restricted cash--------8841713,270-2,420-952-46075
Income Taxes Paid, Net732882568332355550628366391514442716283543643
Interest paid7868898281777681-625022315146