bf/NYSE:WMT_icon.jpeg

XETRA:WMT

Walmart Inc.

  • Stock

EUR

Last Close

70.02

26/07 20:00

Market Cap

566.35B

Beta: 0.49

Volume Today

16.78M

Avg: 1.76K

PE Ratio

27.92

PFCF: 35.13

Dividend Yield

1.35%

Payout:37.56%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Jan '14
Jan '15
Jan '16
Jan '17
Jan '18
Jan '19
Jan '20
Jan '21
Jan '22
Jan '23
Jan '24
net income
16.55B
-
16.81B
1.59%
15.08B
10.31%
14.29B
5.22%
10.52B
26.38%
7.18B
31.78%
15.20B
111.74%
13.71B
9.83%
13.94B
1.71%
11.29B
19.00%
15.51B
37.36%
depreciation and amortization
8.87B
-
9.17B
3.42%
9.45B
3.06%
10.08B
6.62%
10.53B
4.45%
10.68B
1.42%
10.99B
2.89%
11.15B
1.50%
10.66B
4.43%
10.95B
2.69%
11.85B
8.30%
deferred income tax
-279M
-
-503M
80.29%
-672M
33.60%
761M
213.24%
-304M
139.95%
-499M
64.14%
320M
164.13%
1.91B
497.19%
-755M
139.51%
449M
159.47%
-175M
138.98%
stock based compensation
3.14B
-
4.85B
54.66%
-1.02B
121.05%
8.40B
922.82%
1.16B
86.16%
227M
80.48%
-19.97B
8,897.80%
change in working capital
-2.82B
-
2.29B
181.30%
2.12B
7.76%
6.19B
192.39%
3.24B
47.61%
295M
90.90%
-327M
210.85%
7.97B
2,537.92%
-6.60B
182.75%
-288M
95.63%
1.94B
774.65%
accounts receivables
6.47B
-
2.84B
56.13%
5.19B
82.82%
10.47B
101.58%
18.15B
73.46%
15.36B
15.42%
154M
99.00%
-1.09B
805.19%
-1.80B
65.38%
240M
113.36%
-797M
432.08%
inventory
-1.67B
-
-1.23B
26.27%
-703M
42.80%
1.02B
245.23%
-140M
113.71%
-1.31B
836.43%
-300M
77.12%
-2.40B
698.33%
-11.76B
391.19%
-528M
95.51%
2.02B
482.01%
accounts payables
531M
-
2.68B
404.33%
2.01B
25.02%
3.94B
96.31%
4.09B
3.65%
1.83B
55.19%
-274M
114.96%
6.97B
2,642.34%
5.52B
20.76%
-1.17B
121.11%
2.52B
315.88%
other working capital
-8.16B
-
-1.99B
75.56%
-4.38B
119.66%
-9.24B
110.94%
-18.86B
104.10%
-15.58B
17.38%
93M
100.60%
4.49B
4,724.73%
1.44B
67.84%
1.17B
19.27%
-1.79B
253.82%
other non cash items
938M
-
785M
16.31%
1.41B
79.62%
206M
85.39%
1.21B
487.38%
5.25B
333.88%
95M
98.19%
-7.07B
7,540.00%
5.77B
181.66%
6.22B
7.69%
26.57B
327.36%
net cash provided by operating activities
23.26B
-
28.56B
22.82%
27.39B
4.11%
31.53B
15.12%
28.34B
10.13%
27.75B
2.06%
25.25B
9.00%
36.07B
42.84%
24.18B
32.97%
28.84B
19.27%
35.73B
23.87%
investments in property plant and equipment
-13.12B
-
-12.17B
7.17%
-11.48B
5.73%
-10.62B
7.48%
-10.05B
5.35%
-10.34B
2.92%
-10.71B
3.49%
-10.26B
4.12%
-13.11B
27.69%
-16.86B
28.62%
-20.61B
22.24%
acquisitions net
-15M
-
671M
4,573.33%
246M
63.34%
-1.80B
832.11%
671M
137.26%
-13.78B
2,153.65%
777M
105.64%
-124M
115.96%
7.58B
6,209.68%
-740M
109.77%
-3.09B
317.03%
purchases of investments
-1.90B
-
sales maturities of investments
456M
-
other investing activites
832M
-
378M
54.57%
556M
47.09%
-122M
121.94%
320M
362.30%
88M
72.50%
800M
809.09%
317M
60.38%
-485M
253.00%
-125M
74.23%
-1.06B
745.60%
net cash used for investing activites
-12.30B
-
-11.13B
9.54%
-10.68B
4.04%
-13.99B
31.03%
-9.06B
35.23%
-24.04B
165.30%
-9.13B
62.02%
-10.07B
10.33%
-6.01B
40.27%
-17.72B
194.63%
-24.75B
39.65%
debt repayment
-4.97B
-
-3.90B
21.42%
-4.43B
13.52%
-2.06B
53.63%
-13.06B
535.57%
-3.78B
71.03%
-1.91B
49.60%
-5.38B
182.22%
-13.01B
141.73%
-2.69B
79.33%
-1.26B
53.07%
common stock issued
7.98B
-
-1.11B
113.95%
1.27B
214.36%
-1.54B
220.57%
11.62B
856.77%
15.82B
36.09%
836M
94.72%
-324M
138.76%
716M
-
common stock repurchased
-6.68B
-
-1.01B
84.81%
-4.11B
305.12%
-8.30B
101.80%
-8.30B
0.02%
-7.41B
10.68%
-5.72B
22.85%
-2.63B
54.08%
-9.79B
272.84%
-9.92B
1.36%
-2.78B
71.99%
dividends paid
-6.14B
-
-6.18B
0.75%
-6.29B
1.76%
-6.22B
1.24%
-6.12B
1.48%
-6.10B
0.36%
-6.05B
0.88%
-6.12B
1.12%
-6.15B
0.59%
-6.11B
0.62%
-6.14B
0.43%
other financing activites
-1.21B
-
-2.85B
135.79%
-2.56B
10.34%
-824M
67.79%
-4.02B
387.62%
-1.06B
73.62%
-1.46B
38.02%
-1.67B
14.15%
6.12B
466.53%
1.68B
72.49%
-3.01B
278.80%
net cash used provided by financing activities
-11.02B
-
-15.07B
36.80%
-16.12B
6.97%
-18.93B
17.41%
-19.88B
5.00%
-2.54B
87.24%
-14.30B
463.62%
-16.12B
12.71%
-22.83B
41.64%
-17.04B
25.36%
-9.95B
41.59%
effect of forex changes on cash
-442M
-
-514M
16.29%
-1.02B
98.83%
-452M
55.77%
487M
207.74%
-438M
189.94%
-69M
84.25%
235M
440.58%
-140M
159.57%
-73M
47.86%
69M
194.52%
net change in cash
-500M
-
1.85B
470.80%
-430M
123.19%
-1.84B
327.44%
-111M
93.96%
742M
768.47%
1.76B
137.06%
8.27B
370.32%
-2.95B
135.71%
-5.73B
94.08%
1.24B
121.66%
cash at beginning of period
7.78B
-
7.28B
6.43%
9.13B
25.46%
8.71B
4.71%
6.87B
21.11%
7.01B
2.14%
7.76B
10.58%
9.52B
22.68%
17.79B
86.95%
14.83B
16.61%
8.63B
41.86%
cash at end of period
7.28B
-
9.13B
25.46%
8.71B
4.71%
6.87B
21.11%
6.76B
1.62%
7.76B
14.80%
9.52B
22.68%
17.79B
86.95%
14.83B
16.61%
9.10B
38.65%
9.87B
8.42%
operating cash flow
23.26B
-
28.56B
22.82%
27.39B
4.11%
31.53B
15.12%
28.34B
10.13%
27.75B
2.06%
25.25B
9.00%
36.07B
42.84%
24.18B
32.97%
28.84B
19.27%
35.73B
23.87%
capital expenditure
-13.12B
-
-12.17B
7.17%
-11.48B
5.73%
-10.62B
7.48%
-10.05B
5.35%
-10.34B
2.92%
-10.71B
3.49%
-10.26B
4.12%
-13.11B
27.69%
-16.86B
28.62%
-20.61B
22.24%
free cash flow
10.14B
-
16.39B
61.61%
15.91B
2.92%
20.91B
31.42%
18.29B
12.55%
17.41B
4.80%
14.55B
16.42%
25.81B
77.39%
11.07B
57.09%
11.98B
8.21%
15.12B
26.17%

All numbers in EUR (except ratios and percentages)