KROGER COKR

Market cap
$43.7B
P/E ratio
Jan 29,
2011
Jan 28,
2012
Feb 2,
2013
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 earnings including noncontrolling interests1,1335961,5081,5311,7472,0491,9571,8893,0781,5122,5881,6662,2492,1692,672
Depreciation and amortization1,6001,6381,6521,7031,9482,0892,3402,4362,4652,6492,7472,8242,9653,1253,246
Asset impairment charges-37183937462671-1207064686998
Impairment of Goodwill And Long-Lived Assets to be Disposed of------------164--
Operating lease asset amortization-------------625603
LIFO charge--55521472819-829105-719762611395
Share-based employee compensation-8182107155165141151154155185203190172175
Company-sponsored pension plans-70897455103945917639-950-26-9-2
Deferred income taxes-311767273317201-694-45-5673-31161-155-102
Gain on sale of assets---------1585944405670
Gain on sale of business--------1,782176----79
Loss (gain) on investments---------------148
Other--8-17-47-72-5428-8-116109-165-648-78-22
Store deposits in-transit-120169-2527-95-1326520-3-83-13458897
Receivables-63126814159110-61208369061222-14288
Inventories-3617813114718438223354351-7-801,370-342144
Prepaid and other current assets-----228172-41-24433342-23236-72166
Accounts payable-82583135440161582133423304383545253
Accrued expenses-2167677197191-118-404163021,382331-126-222107
Income taxes receivable and payable--106164-47-68-359261-96289-1422416-1906876
Operating lease liabilities------------618-622-695-609
Other--3333611522109-14-239453-699660585-772144
Net cash provided by operating activities-------3,4134,1644,6646,8156,1904,4986,7885,794
Payments for property and equipment, including payments for lease buyouts-1,8982,0622,3302,8313,3493,6992,8092,9673,1282,8652,6143,0783,9044,017
Proceeds from sale of assets-51492437451321388527316515378101377
Net proceeds from sale of business--------2,169327----464
Other-10481211498-9320758311415015-5352
Net cash used by investing activities--------2,707-1,186-2,611-2,814-2,611-3,015-3,750-3,228
Proceeds from issuance of long-term debt-4538633,5485761,1812,7811,5232,2368131,04956-1510,502
Payments on long-term debt including obligations under finance leases-5471,4451,0603751,2451,3557881,3722,3047471,4425521,3014,883
Dividends paid-257267319338385429443437486534589682796883
Financing fees paid------------84-116
Proceeds from Issuance of Common Stock-1181101961101206851655512717213450127
Treasury stock purchases-1,5471,2616091,2837031,7661,6332,0104651,3241,647993624,156
Unsettled accelerated share repurchases--------------1,000
Other-23125-49-8-86-87-57-46-134-161-112-76-81
Net cash used by financing activities--------681-2,896-2,083-2,713-3,445-2,289-2,170-490
Net increase (decrease) in cash and temporary cash investments--------82-301,288134-8068682,076
Payments for property and equipment, including payments for lease buyouts-1,8982,0622,3302,8313,3493,6992,8092,9673,1282,8652,6143,0783,9044,017
Payments for lease buyouts-----3551358258-21-51
Changes in construction-in-progress payables-----35-7218856-2359542281-344-343
Total capital investments, excluding lease buyouts----2,305-2,7523,3493,6222,9843,0183,0443,1663,1563,3383,5603,623
Cash paid during the year for net interest-------656614523564607545488252
Income Taxes Paid, Net-------348600706659513698751681