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KR The Kroger

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  • 58.020
  • -0.740-1.26%
Close Nov 15 16:00 ET
  • 57.940
  • -0.080-0.14%
Post 20:01 ET
41.95BMarket Cap15.19P/E (TTM)

The Kroger Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 17, 2024
(Q1)May 25, 2024
(FY)Feb 3, 2024
(Q4)Feb 3, 2024
(Q3)Nov 4, 2023
(Q2)Aug 12, 2023
(Q1)May 20, 2023
(FY)Jan 28, 2023
(Q4)Jan 28, 2023
(Q3)Nov 5, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-25.40%1.12B
-18.11%2.34B
50.91%6.79B
65.52%1.92B
-44.68%504M
13.51%1.5B
159.53%2.86B
-27.33%4.5B
-17.08%1.16B
911M
Net income from continuing operations
359.78%465M
-0.62%956M
-3.56%2.17B
63.86%739M
61.35%647M
-124.49%-179M
44.44%962M
34.99%2.25B
-20.74%451M
--401M
Operating gains losses
132.70%121M
-167.57%-25M
-132.63%-216M
73.03%154M
-120.90%-37M
-198.39%-370M
-92.88%37M
-19.95%662M
-19.82%89M
--177M
Depreciation and amortization
3.61%890M
1.75%1.17B
4.78%3.75B
3.89%882M
4.47%864M
3.87%859M
6.41%1.15B
4.37%3.58B
7.06%849M
--827M
Deferred tax
112.09%33M
-1,180.00%-64M
-196.27%-155M
-58.27%106M
132.08%17M
-2,630.00%-273M
83.33%-5M
619.35%161M
490.77%254M
---53M
Other non cash items
330.00%43M
-64.71%60M
-69.09%191M
-147.22%-68M
-52.98%79M
-93.71%10M
15.65%170M
136.78%618M
754.55%144M
--168M
Change In working capital
-132.67%-462M
-61.55%193M
125.31%808M
98.89%-10M
-68.66%-1.1B
565.13%1.41B
137.63%502M
-1,294.32%-3.19B
-851.58%-904M
---651M
-Change in receivables
-227.66%-154M
-137.23%-102M
106.31%14M
-29.35%-119M
21.67%-94M
-487.50%-47M
13,800.00%274M
-263.93%-222M
-584.21%-92M
---120M
-Change in inventory
-78.20%46M
-46.30%225M
124.96%342M
-5.91%844M
24.18%-1.13B
315.31%211M
161.98%419M
-1,812.50%-1.37B
19.12%897M
---1.49B
-Change in prepaid assets
1,275.00%141M
-431.82%-219M
80.25%-16M
116.98%9M
42.75%-79M
-157.14%-12M
-25.84%66M
-133.06%-81M
35.37%-53M
---138M
-Change in payables and accrued expense
-174.23%-193M
236.57%295M
362.60%323M
79.50%-281M
-57.74%560M
12.07%260M
30.10%-216M
-115.99%-123M
-250.64%-1.37B
--1.33B
-Change in other current liabilities
2.45%-159M
36.28%-137M
-11.74%-695M
-75.28%-156M
-0.63%-161M
-2.52%-163M
-0.47%-215M
-0.65%-622M
-3.49%-89M
---160M
-Change in other working capital
-112.27%-143M
-24.71%131M
208.39%840M
-56.63%-307M
-195.38%-192M
498.97%1.17B
178.38%174M
-20.34%-775M
36.36%-196M
---65M
Cash from discontinued investing activities
Operating cash flow
-25.40%1.12B
-18.11%2.34B
50.91%6.79B
65.52%1.92B
-44.68%504M
13.51%1.5B
159.53%2.86B
-27.33%4.5B
-17.08%1.16B
--911M
Investing cash flow
Cash flow from continuing investing activities
-5.07%-891M
-7.07%-1.01B
-24.38%-3.75B
-22.11%-1.01B
-18.16%-950M
-27.52%-848M
-30.98%-947M
-15.47%-3.02B
-26.23%-823M
-804M
Net PPE purchase and sale
5.51%-875M
-26.85%-1.3B
-26.84%-3.9B
-22.03%-997M
-14.68%-953M
-35.18%-926M
-37.99%-1.03B
-17.75%-3.08B
-34.82%-817M
---831M
Net other investing changes
-120.51%-16M
258.02%290M
144.44%154M
-33.33%-8M
-88.89%3M
290.00%78M
268.18%81M
2,000.00%63M
86.96%-6M
--27M
Cash from discontinued investing activities
Investing cash flow
-5.07%-891M
-7.07%-1.01B
-24.38%-3.75B
-22.11%-1.01B
-18.16%-950M
-27.52%-848M
-30.98%-947M
-15.47%-3.02B
-26.23%-823M
---804M
Financing cash flow
Cash flow from continuing financing activities
66.13%-294M
-17.57%-348M
5.20%-2.17B
-218.07%-757M
15.02%-249M
7.66%-868M
63.81%-296M
33.56%-2.29B
80.40%-238M
-293M
Net issuance payments of debt
93.03%-45M
12.90%-54M
-132.97%-1.29B
-1,942.31%-531M
-17.50%-47M
-46.49%-646M
-37.78%-62M
60.17%-552M
94.94%-26M
---40M
Net common stock issuance
0.00%-5M
-200.00%-18M
98.60%-12M
--0
50.00%-1M
98.36%-5M
98.91%-6M
41.76%-859M
99.82%-1M
---2M
Cash dividends paid
-11.70%-210M
-11.70%-210M
-16.72%-796M
-11.70%-210M
-12.30%-210M
-22.88%-188M
-22.08%-188M
-15.79%-682M
-20.51%-188M
---187M
Net other financing activities
-17.24%-34M
-65.00%-66M
61.22%-76M
30.43%-16M
114.06%9M
30.95%-29M
40.30%-40M
-4,020.00%-196M
---23M
---64M
Cash from discontinued financing activities
Financing cash flow
66.13%-294M
-17.57%-348M
5.20%-2.17B
-218.07%-757M
15.02%-249M
7.66%-868M
63.81%-296M
33.56%-2.29B
80.40%-238M
---293M
Net cash flow
Beginning cash position
8.78%2.86B
85.52%1.88B
-44.26%1.02B
88.32%1.73B
119.60%2.42B
90.45%2.63B
-44.26%1.02B
7.94%1.82B
-59.97%916M
--1.1B
Current changes in cash
70.28%-63M
-39.39%980M
207.69%868M
59.60%158M
-273.66%-695M
24.29%-212M
468.34%1.62B
-701.49%-806M
121.20%99M
---186M
End cash Position
15.70%2.8B
8.78%2.86B
85.52%1.88B
85.52%1.88B
88.32%1.73B
119.60%2.42B
90.45%2.63B
-44.26%1.02B
-44.26%1.02B
--916M
Free cash flow
-57.27%247M
-43.34%1.04B
103.10%2.88B
169.10%923M
-661.25%-449M
-9.69%578M
413.17%1.83B
-60.29%1.42B
-56.75%343M
--80M
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
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
--
(Q2)Aug 17, 2024(Q1)May 25, 2024(FY)Feb 3, 2024(Q4)Feb 3, 2024(Q3)Nov 4, 2023(Q2)Aug 12, 2023(Q1)May 20, 2023(FY)Jan 28, 2023(Q4)Jan 28, 2023(Q3)Nov 5, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -25.40%1.12B-18.11%2.34B50.91%6.79B65.52%1.92B-44.68%504M13.51%1.5B159.53%2.86B-27.33%4.5B-17.08%1.16B911M
Net income from continuing operations 359.78%465M-0.62%956M-3.56%2.17B63.86%739M61.35%647M-124.49%-179M44.44%962M34.99%2.25B-20.74%451M--401M
Operating gains losses 132.70%121M-167.57%-25M-132.63%-216M73.03%154M-120.90%-37M-198.39%-370M-92.88%37M-19.95%662M-19.82%89M--177M
Depreciation and amortization 3.61%890M1.75%1.17B4.78%3.75B3.89%882M4.47%864M3.87%859M6.41%1.15B4.37%3.58B7.06%849M--827M
Deferred tax 112.09%33M-1,180.00%-64M-196.27%-155M-58.27%106M132.08%17M-2,630.00%-273M83.33%-5M619.35%161M490.77%254M---53M
Other non cash items 330.00%43M-64.71%60M-69.09%191M-147.22%-68M-52.98%79M-93.71%10M15.65%170M136.78%618M754.55%144M--168M
Change In working capital -132.67%-462M-61.55%193M125.31%808M98.89%-10M-68.66%-1.1B565.13%1.41B137.63%502M-1,294.32%-3.19B-851.58%-904M---651M
-Change in receivables -227.66%-154M-137.23%-102M106.31%14M-29.35%-119M21.67%-94M-487.50%-47M13,800.00%274M-263.93%-222M-584.21%-92M---120M
-Change in inventory -78.20%46M-46.30%225M124.96%342M-5.91%844M24.18%-1.13B315.31%211M161.98%419M-1,812.50%-1.37B19.12%897M---1.49B
-Change in prepaid assets 1,275.00%141M-431.82%-219M80.25%-16M116.98%9M42.75%-79M-157.14%-12M-25.84%66M-133.06%-81M35.37%-53M---138M
-Change in payables and accrued expense -174.23%-193M236.57%295M362.60%323M79.50%-281M-57.74%560M12.07%260M30.10%-216M-115.99%-123M-250.64%-1.37B--1.33B
-Change in other current liabilities 2.45%-159M36.28%-137M-11.74%-695M-75.28%-156M-0.63%-161M-2.52%-163M-0.47%-215M-0.65%-622M-3.49%-89M---160M
-Change in other working capital -112.27%-143M-24.71%131M208.39%840M-56.63%-307M-195.38%-192M498.97%1.17B178.38%174M-20.34%-775M36.36%-196M---65M
Cash from discontinued investing activities
Operating cash flow -25.40%1.12B-18.11%2.34B50.91%6.79B65.52%1.92B-44.68%504M13.51%1.5B159.53%2.86B-27.33%4.5B-17.08%1.16B--911M
Investing cash flow
Cash flow from continuing investing activities -5.07%-891M-7.07%-1.01B-24.38%-3.75B-22.11%-1.01B-18.16%-950M-27.52%-848M-30.98%-947M-15.47%-3.02B-26.23%-823M-804M
Net PPE purchase and sale 5.51%-875M-26.85%-1.3B-26.84%-3.9B-22.03%-997M-14.68%-953M-35.18%-926M-37.99%-1.03B-17.75%-3.08B-34.82%-817M---831M
Net other investing changes -120.51%-16M258.02%290M144.44%154M-33.33%-8M-88.89%3M290.00%78M268.18%81M2,000.00%63M86.96%-6M--27M
Cash from discontinued investing activities
Investing cash flow -5.07%-891M-7.07%-1.01B-24.38%-3.75B-22.11%-1.01B-18.16%-950M-27.52%-848M-30.98%-947M-15.47%-3.02B-26.23%-823M---804M
Financing cash flow
Cash flow from continuing financing activities 66.13%-294M-17.57%-348M5.20%-2.17B-218.07%-757M15.02%-249M7.66%-868M63.81%-296M33.56%-2.29B80.40%-238M-293M
Net issuance payments of debt 93.03%-45M12.90%-54M-132.97%-1.29B-1,942.31%-531M-17.50%-47M-46.49%-646M-37.78%-62M60.17%-552M94.94%-26M---40M
Net common stock issuance 0.00%-5M-200.00%-18M98.60%-12M--050.00%-1M98.36%-5M98.91%-6M41.76%-859M99.82%-1M---2M
Cash dividends paid -11.70%-210M-11.70%-210M-16.72%-796M-11.70%-210M-12.30%-210M-22.88%-188M-22.08%-188M-15.79%-682M-20.51%-188M---187M
Net other financing activities -17.24%-34M-65.00%-66M61.22%-76M30.43%-16M114.06%9M30.95%-29M40.30%-40M-4,020.00%-196M---23M---64M
Cash from discontinued financing activities
Financing cash flow 66.13%-294M-17.57%-348M5.20%-2.17B-218.07%-757M15.02%-249M7.66%-868M63.81%-296M33.56%-2.29B80.40%-238M---293M
Net cash flow
Beginning cash position 8.78%2.86B85.52%1.88B-44.26%1.02B88.32%1.73B119.60%2.42B90.45%2.63B-44.26%1.02B7.94%1.82B-59.97%916M--1.1B
Current changes in cash 70.28%-63M-39.39%980M207.69%868M59.60%158M-273.66%-695M24.29%-212M468.34%1.62B-701.49%-806M121.20%99M---186M
End cash Position 15.70%2.8B8.78%2.86B85.52%1.88B85.52%1.88B88.32%1.73B119.60%2.42B90.45%2.63B-44.26%1.02B-44.26%1.02B--916M
Free cash flow -57.27%247M-43.34%1.04B103.10%2.88B169.10%923M-661.25%-449M-9.69%578M413.17%1.83B-60.29%1.42B-56.75%343M--80M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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