Best Buy Co., Inc.

NYSE:BBY

90.7 (USD) • At close November 13, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Operating Activities:
Net Income 1,2411,4192,4541,7981,5411,4641,0001,2288971,235523-481.091221,3661,3941,0031,4071,3771,140934705622570395.839347.07224.494.51.74857.741.719.99.64.55.7
Depreciation & Amortization 923918869839812770683654657656716907.636945978926793580509456459385310309167.369109.54178.468.366.854.938.622.414.8107.85.5
Deferred Income Tax -2145114-36701616220149-297-28-1928-134-30-437482-151-28-14-372342.79300000-5.9-5.30-0.200
Stock Based Compensation 1451381411351431231291081048790122.18212012111800000000000000000000
Change In Working Capital -783-861-2031,934-6314170346-525224-671-1,596712-1,363-247-277-114-298150431209-173630181.594303.617359.7376.5-89.4-4.7-128.5-185.9-66.3-13.68.722.4
Accounts Receivables 204-10317520-215-240411-15219-154-336-601.091-28-404000000000000000000000
Inventory 178809-328-435237-194-33519386-141597-994.909120-400-609258-562-550-457-240-507-225-330-143.969-137.31514.471.369.1-293.5-269.7-388-114.2-40.2-2.78.9
Accounts Payables -1,025-1,099-2011,67647432-196518-536434-9861,735643-443000000000000000000000
Other Working Capital -140-468309173-13216290-213-948554-477-23-116362-53544825260767171652960325.563440.932345.3305.2-158.5288.8141.2202.147.926.611.413.5
Other Non Cash Items 158159-232576221-38140304641,159.6361,46622245359811031004512244620.6090-0.13.10.51.3-0.10.20.60.10.60.6
Operating Cash Flow 1,4701,8243,2524,9272,5652,4082,1412,5451,3221,9351,0941,586.1823,2931,1902,2061,8772,0251,7621,6951,8411,3616671,578808.204760.228662.4542.4-20.499.5-37.4-126.2-316.321.634.2
Investing Activities:
Investments In Property Plant And Equipment -795-930-737-713-743-819-688-582-649-561-547-769.091-766-744-615-1,303-797-733-648-502-545-725-627-657.706-361.024-165.7-72.1-87.6-126.2-118.1-101.4-74.9-25.3-20.3-9.7
Acquisitions Net 140-4680-145-78725610339206-31-17421-7-2,316-89-42100-3-3-368-326.07700000000000
Purchases Of Investments -9-46-233-620-3300-4,325-3,045-2,281-2,804-180-135-112-267-16-81-8,501-4,541-4,319-7,789000000000000000
Sales Maturities Of Investments 77665463222,0984,0182,6892,4271,58050029042711424610,9354,9104,1877,118000000000000000
Other Investing Activites 27-167-1116-9-5-1934-46182.18238-6-16-119-84526756930-46.019-39.09-83.949.867.2-32.3-73.937.9-1.10.50.31.7
Investing Cash Flow -781-962-1,372-788-895508-1,002-887-419-1,712-517-586.909-724-569-540-3,5731,464-780-754-1,166-543-659-965-1,029.802-400.114-249.6-22.3-20.4-158.5-192-63.5-76-24.8-20-8
Financing Activities:
Debt Repayment -19-19-133-24-15-48-46-394-28-24381127509-99-21089413312-33-371-175721-17-29.946-165.396-12.6947.8-2.481.8149.633.413.3-0.3-3.3
Common Stock Issued 191629284838163171475017106717913883146217292256114404823532.22920.64414.8692.73.1232.486.54.991.200.1
Common Stock Repurchased -340-1,014-3,502-312-1,003-1,505-2,004-698-1,05500-133.091-1,500-1,19300-3,461-599-772-200-100000-397.451-2.46200000-37.5000
Dividends Paid -801-789-688-568-527-497-409-505-499-251-233-241.091-228-237-234-223-204-174-151-137-13000000000000000
Other Financing Activities -30-30-1-6-122-120-19.091-23-7-42-1783145-7460-274000-91.97533.6006.30.6-0.21.90
Financing Cash Flow -1,144-1,806-4,297-876-1,498-2,018-2,297-1,404-1,515-223319-230.182-2,478-1,357-348737-3,378-513-641-459-13345495217.754-395.168-147.2-89.844.10.7314.2242.41.4104.31.6-3.2
Other Information:
Effect Of Forex Changes On Cash -5-8-37-1-142510-38-52-44-4.3645131019122-12279100000000000000
Net Change In Cash -460-952-2,4203,270171884-1,133264-650-5285262796-7231,328-940233457327225686531,108-3.844-35.054265.6430.33.3-58.384.852.7-105.685.83.223
Cash At End Of Period 1,7932,2533,2055,6252,3552,1841,3002,2401,9762,4322,6781,8261,1991,1031,8264981,4381,2056814702,6001,9141,855746.879750.723785.7520.189.786.4144.759.87.2112.92723.8