HOME DEPOT, INC.HD

Market cap
$341.6B
P/E ratio
Jan 30,
2011
Jan 29,
2012
Feb 3,
2013
Feb 2,
2014
Feb 1,
2015
Jan 31,
2016
Jan 29,
2017
Jan 28,
2018
Feb 3,
2019
Feb 2,
2020
Jan 31,
2021
Jan 30,
2022
Jan 29,
2023
Jan 28,
2024
Feb 2,
2025
Net earnings3,3383,8834,5355,3856,3457,0097,9578,63011,12111,24212,86616,43317,10515,14314,806
Depreciation, Depletion and Amortization1,7181,6821,6841,7571,7861,8631,9732,0622,1522,2962,5192,8622,9753,2473,336
Intangible asset amortization--------------425
Stock-based compensation expense214215218228225244267273282251310399366380442
Changes in receivables, net1021701431581181138-139-33170465435-111-134-174
Changes in merchandise inventories355-256350455124546769841,2445931,6575,4032,830-4,137743
Changes in other current assets--159-93519954810257135-43330311184-86
Changes in accounts payable and accrued expenses-133422698605244888446352743685,1182,401-2,577-1,411518
Changes in deferred revenue10-29121751461099912880334702775-526-318-165
Changes in income taxes payable-85148711916815410929-4244-149-51-107-25809
Changes in deferred income taxes-104-170-10731-159-15117-92-26-202569276-138245-15
Other operating activities75-51-848-4833-4-420103-184-121-196-271-314-107
Net cash provided by operating activities4,585-6,9757,6288,2429,3739,78312,03113,03813,72318,83916,57114,61521,17219,810
Capital expenditures1,0961,2211,3121,3891,4421,5031,6211,8972,4422,6782,4632,5663,1193,2263,485
Payments for businesses acquired, net-651702062001,666-37421-7,780421-1,51417,644
Other investing activities-------4-1412-73-1821-11-98
Net cash used in investing activities-1,012--1,432-1,507-1,271-2,982-1,583-2,228-2,416-2,653-10,170-2,969-3,140-4,729-21,031
Proceeds from (Repayments of) Commercial Paper-----60360850-220-365-9741,035-1,035-316
Proceeds from long-term debt, net of discounts-1,994-5,2221,9813,9914,9592,9913,4663,4207,9332,9796,9421,99510,010
Repayments of long-term debt1,0291,028321,28939393,0455431,2091,0702,8721,5322,4911,2711,536
Repurchases of common stock2,6083,4703,9848,5467,0007,0006,8808,0009,9636,96579114,8096,6967,951649
Proceeds from sales of common stock104306784241252228218255236280326337264323395
Cash dividends1,5691,6321,7432,2432,5303,0313,4044,2124,7045,9586,4516,9857,7898,3838,929
Other financing activities-347-218-59-37-254-78-211-26-176-154-145-188-156-301
Net cash used in financing activities-4,451--5,034-6,652-7,071-5,787-7,870-8,870-12,420-10,834-2,983-19,120-10,993-15,443-694
Change in cash and cash equivalents---------1,7982365,686-5,5184821,000-1,915
Effect of exchange rate changes on cash and cash equivalents----------76-34-683-186
Income Taxes Paid2,0671,8652,4822,8393,4353,8534,6234,7323,7743,2204,6545,5045,4355,0233,653
Cash paid for interest, net of interest capitalized5795806176397828749249911,0351,1121,2411,2691,4491,8092,199
Lease Obligation Incurred-------150248136274421351364250
Stock Issued--------------321