US Stock MarketDetailed Quotes

HD Home Depot

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  • 355.660
  • +5.590+1.60%
Close Aug 14 16:00 ET
  • 356.000
  • +0.340+0.10%
Post 20:02 ET
352.68BMarket Cap23.90P/E (TTM)

Home Depot Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 28, 2024
(Q1)Apr 28, 2024
(FY)Jan 28, 2024
(Q4)Jan 28, 2024
(Q3)Oct 29, 2023
(Q2)Jul 30, 2023
(Q1)Apr 30, 2023
(FY)Jan 29, 2023
(Q4)Jan 29, 2023
(Q3)Oct 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-17.93%5.41B
-2.08%5.5B
44.86%21.17B
3.03%4.73B
49.14%4.23B
94.25%6.59B
48.17%5.61B
-11.80%14.62B
44.24%4.59B
-17.45%2.84B
Net income from continuing operations
-2.10%4.56B
-7.05%3.6B
-11.47%15.14B
-16.69%2.8B
-12.19%3.81B
-9.94%4.66B
-8.46%3.87B
4.09%17.11B
0.30%3.36B
5.09%4.34B
Depreciation and amortization
15.72%920M
5.55%837M
9.14%3.25B
9.62%832M
11.31%827M
6.57%795M
9.08%793M
3.95%2.98B
3.41%759M
4.06%743M
Other non cash items
-201.43%-71M
-85.14%11M
15.87%314M
-71.11%13M
18.05%157M
359.26%70M
-38.33%74M
38.27%271M
-23.73%45M
111.11%133M
Change In working capital
-110.14%-99M
23.33%925M
134.22%2.09B
189.37%1.01B
73.84%-645M
137.83%976M
153.42%750M
-83.85%-6.1B
133.24%348M
-58.79%-2.47B
-Change in receivables
----
10.97%-795M
20.72%134M
58.87%672M
-170.59%-46M
106.70%401M
-82.62%-893M
125.52%111M
331.63%423M
91.98%-17M
-Change in inventory
----
-217.72%-1.45B
246.18%4.14B
118.52%2.01B
45.59%380M
381.99%2.21B
85.83%-457M
47.62%-2.83B
159.92%918M
115.54%261M
-Change in payables and accrued expense
----
44.36%3.12B
46.50%-1.44B
-63.61%-1.88B
82.90%-458M
26.67%-1.27B
-24.54%2.16B
-214.21%-2.68B
-359.28%-1.15B
-2,889.58%-2.68B
-Change in other current assets
----
-88.33%-113M
40.84%-184M
-29.57%181M
-73.00%27M
-320.25%-332M
89.81%-60M
5.76%-311M
471.11%257M
-49.75%100M
-Change in other working capital
1,938.89%662M
8,300.00%164M
-45.10%-563M
122.12%23M
-315.15%-548M
80.75%-36M
-105.71%-2M
-177.76%-388M
-4.00%-104M
-400.00%-132M
Cash from discontinued investing activities
Operating cash flow
-17.93%5.41B
-2.08%5.5B
44.86%21.17B
3.03%4.73B
49.14%4.23B
94.25%6.59B
48.17%5.61B
-11.80%14.62B
44.24%4.59B
-17.45%2.84B
Investing cash flow
Cash flow from continuing investing activities
-1,728.63%-18.27B
8.08%-830M
-50.61%-4.73B
-76.65%-1.58B
-58.93%-1.25B
-31.45%-999M
-28.82%-903M
-5.76%-3.14B
-6.93%-895M
-16.32%-784M
Capital expenditure reported
9.22%-719M
6.41%-847M
-3.43%-3.23B
4.98%-858M
12.74%-671M
-6.59%-792M
-28.55%-905M
-21.55%-3.12B
-8.93%-903M
-10.65%-769M
Net business purchase and sale
----
----
---1.51B
---719M
---580M
----
----
--0
--0
--0
Net other investing changes
162.50%21M
750.00%17M
152.38%11M
-150.00%-4M
133.33%5M
147.06%8M
-33.33%2M
-216.67%-21M
366.67%8M
---15M
Cash from discontinued investing activities
Investing cash flow
-1,728.63%-18.27B
8.08%-830M
-50.61%-4.73B
-76.65%-1.58B
-58.93%-1.25B
-31.45%-999M
-28.82%-903M
-5.76%-3.14B
-6.93%-895M
-16.32%-784M
Financing cash flow
Cash flow from continuing financing activities
351.57%10.26B
33.00%-4.15B
-40.48%-15.44B
55.89%-1.52B
-388.25%-3.66B
3.34%-4.08B
-139.94%-6.19B
42.51%-10.99B
31.23%-3.45B
67.08%-749M
Net issuance payments of debt
18,589.55%12.39B
-9.50%-1.16B
-78.81%724M
2,929.41%1.92B
-102.93%-70M
91.33%-67M
-156.91%-1.06B
37.63%3.42B
-106.92%-68M
-18.55%2.39B
Net common stock issuance
107.76%148M
79.56%-587M
-18.59%-7.63B
6.03%-1.36B
-27.69%-1.49B
-25.71%-1.91B
-24.71%-2.87B
55.56%-6.43B
66.37%-1.44B
66.05%-1.17B
Cash dividends paid
-6.39%-2.23B
-5.24%-2.23B
-7.63%-8.38B
-7.55%-2.08B
-7.35%-2.09B
-7.65%-2.1B
-7.95%-2.12B
-11.51%-7.79B
-12.32%-1.93B
-11.97%-1.95B
Net other financing activities
-557.14%-46M
-22.96%-166M
17.02%-156M
-233.33%-10M
81.82%-4M
-136.84%-7M
25.82%-135M
-29.66%-188M
-120.00%-3M
8.33%-22M
Cash from discontinued financing activities
Financing cash flow
351.57%10.26B
33.00%-4.15B
-40.48%-15.44B
55.89%-1.52B
-388.25%-3.66B
3.34%-4.08B
-139.94%-6.19B
42.51%-10.99B
31.23%-3.45B
67.08%-749M
Net cash flow
Beginning cash position
238.41%4.26B
36.38%3.76B
17.67%2.76B
-16.41%2.06B
123.51%2.81B
-55.70%1.26B
17.67%2.76B
-70.32%2.34B
-51.41%2.46B
-72.43%1.26B
Current changes in cash
-271.73%-2.6B
135.27%521M
107.47%1B
545.06%1.63B
-151.23%-669M
195.46%1.51B
-390.18%-1.48B
108.74%482M
109.50%253M
166.53%1.31B
Effect of exchange rate changes
-227.50%-51M
15.00%-17M
104.41%3M
66.67%70M
15.53%-87M
3,900.00%40M
-150.00%-20M
-100.00%-68M
168.85%42M
-1,036.36%-103M
End cash Position
-42.68%1.61B
238.41%4.26B
36.38%3.76B
36.38%3.76B
-16.41%2.06B
123.51%2.81B
-55.70%1.26B
17.67%2.76B
17.67%2.76B
-51.41%2.46B
Free cash flow
-19.12%4.69B
-1.25%4.65B
56.11%17.95B
4.99%3.88B
72.13%3.56B
118.83%5.8B
52.64%4.71B
-17.92%11.5B
56.66%3.69B
-24.56%2.07B
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
(Q2)Jul 28, 2024(Q1)Apr 28, 2024(FY)Jan 28, 2024(Q4)Jan 28, 2024(Q3)Oct 29, 2023(Q2)Jul 30, 2023(Q1)Apr 30, 2023(FY)Jan 29, 2023(Q4)Jan 29, 2023(Q3)Oct 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -17.93%5.41B-2.08%5.5B44.86%21.17B3.03%4.73B49.14%4.23B94.25%6.59B48.17%5.61B-11.80%14.62B44.24%4.59B-17.45%2.84B
Net income from continuing operations -2.10%4.56B-7.05%3.6B-11.47%15.14B-16.69%2.8B-12.19%3.81B-9.94%4.66B-8.46%3.87B4.09%17.11B0.30%3.36B5.09%4.34B
Depreciation and amortization 15.72%920M5.55%837M9.14%3.25B9.62%832M11.31%827M6.57%795M9.08%793M3.95%2.98B3.41%759M4.06%743M
Other non cash items -201.43%-71M-85.14%11M15.87%314M-71.11%13M18.05%157M359.26%70M-38.33%74M38.27%271M-23.73%45M111.11%133M
Change In working capital -110.14%-99M23.33%925M134.22%2.09B189.37%1.01B73.84%-645M137.83%976M153.42%750M-83.85%-6.1B133.24%348M-58.79%-2.47B
-Change in receivables ----10.97%-795M20.72%134M58.87%672M-170.59%-46M106.70%401M-82.62%-893M125.52%111M331.63%423M91.98%-17M
-Change in inventory -----217.72%-1.45B246.18%4.14B118.52%2.01B45.59%380M381.99%2.21B85.83%-457M47.62%-2.83B159.92%918M115.54%261M
-Change in payables and accrued expense ----44.36%3.12B46.50%-1.44B-63.61%-1.88B82.90%-458M26.67%-1.27B-24.54%2.16B-214.21%-2.68B-359.28%-1.15B-2,889.58%-2.68B
-Change in other current assets -----88.33%-113M40.84%-184M-29.57%181M-73.00%27M-320.25%-332M89.81%-60M5.76%-311M471.11%257M-49.75%100M
-Change in other working capital 1,938.89%662M8,300.00%164M-45.10%-563M122.12%23M-315.15%-548M80.75%-36M-105.71%-2M-177.76%-388M-4.00%-104M-400.00%-132M
Cash from discontinued investing activities
Operating cash flow -17.93%5.41B-2.08%5.5B44.86%21.17B3.03%4.73B49.14%4.23B94.25%6.59B48.17%5.61B-11.80%14.62B44.24%4.59B-17.45%2.84B
Investing cash flow
Cash flow from continuing investing activities -1,728.63%-18.27B8.08%-830M-50.61%-4.73B-76.65%-1.58B-58.93%-1.25B-31.45%-999M-28.82%-903M-5.76%-3.14B-6.93%-895M-16.32%-784M
Capital expenditure reported 9.22%-719M6.41%-847M-3.43%-3.23B4.98%-858M12.74%-671M-6.59%-792M-28.55%-905M-21.55%-3.12B-8.93%-903M-10.65%-769M
Net business purchase and sale -----------1.51B---719M---580M----------0--0--0
Net other investing changes 162.50%21M750.00%17M152.38%11M-150.00%-4M133.33%5M147.06%8M-33.33%2M-216.67%-21M366.67%8M---15M
Cash from discontinued investing activities
Investing cash flow -1,728.63%-18.27B8.08%-830M-50.61%-4.73B-76.65%-1.58B-58.93%-1.25B-31.45%-999M-28.82%-903M-5.76%-3.14B-6.93%-895M-16.32%-784M
Financing cash flow
Cash flow from continuing financing activities 351.57%10.26B33.00%-4.15B-40.48%-15.44B55.89%-1.52B-388.25%-3.66B3.34%-4.08B-139.94%-6.19B42.51%-10.99B31.23%-3.45B67.08%-749M
Net issuance payments of debt 18,589.55%12.39B-9.50%-1.16B-78.81%724M2,929.41%1.92B-102.93%-70M91.33%-67M-156.91%-1.06B37.63%3.42B-106.92%-68M-18.55%2.39B
Net common stock issuance 107.76%148M79.56%-587M-18.59%-7.63B6.03%-1.36B-27.69%-1.49B-25.71%-1.91B-24.71%-2.87B55.56%-6.43B66.37%-1.44B66.05%-1.17B
Cash dividends paid -6.39%-2.23B-5.24%-2.23B-7.63%-8.38B-7.55%-2.08B-7.35%-2.09B-7.65%-2.1B-7.95%-2.12B-11.51%-7.79B-12.32%-1.93B-11.97%-1.95B
Net other financing activities -557.14%-46M-22.96%-166M17.02%-156M-233.33%-10M81.82%-4M-136.84%-7M25.82%-135M-29.66%-188M-120.00%-3M8.33%-22M
Cash from discontinued financing activities
Financing cash flow 351.57%10.26B33.00%-4.15B-40.48%-15.44B55.89%-1.52B-388.25%-3.66B3.34%-4.08B-139.94%-6.19B42.51%-10.99B31.23%-3.45B67.08%-749M
Net cash flow
Beginning cash position 238.41%4.26B36.38%3.76B17.67%2.76B-16.41%2.06B123.51%2.81B-55.70%1.26B17.67%2.76B-70.32%2.34B-51.41%2.46B-72.43%1.26B
Current changes in cash -271.73%-2.6B135.27%521M107.47%1B545.06%1.63B-151.23%-669M195.46%1.51B-390.18%-1.48B108.74%482M109.50%253M166.53%1.31B
Effect of exchange rate changes -227.50%-51M15.00%-17M104.41%3M66.67%70M15.53%-87M3,900.00%40M-150.00%-20M-100.00%-68M168.85%42M-1,036.36%-103M
End cash Position -42.68%1.61B238.41%4.26B36.38%3.76B36.38%3.76B-16.41%2.06B123.51%2.81B-55.70%1.26B17.67%2.76B17.67%2.76B-51.41%2.46B
Free cash flow -19.12%4.69B-1.25%4.65B56.11%17.95B4.99%3.88B72.13%3.56B118.83%5.8B52.64%4.71B-17.92%11.5B56.66%3.69B-24.56%2.07B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

No Data

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