HOME DEPOT, INC.HD

時価総額
$3727.4億
PER
住宅リフォーム・建材小売の米国最大手。デジタルと実店舗を連携した相互接続型ショッピング体験やPro向けエコシステム、施工サービスを展開。2024年6月18日にSRSを買収、2024年度に資本支出約35億ドルと配当89億ドルを実施。米国中心に展開。
2011年
1月30日
2012年
1月29日
2013年
2月3日
2014年
2月2日
2015年
2月1日
2016年
1月31日
2017年
1月29日
2018年
1月28日
2019年
2月3日
2020年
2月2日
2021年
1月31日
2022年
1月30日
2023年
1月29日
2024年
1月28日
2025年
2月2日
Cash and cash equivalents5451,9872,4941,9291,7232,2162,5383,5951,7782,1337,8952,3432,7573,7601,659
Receivables, net1,0851,2451,3951,3981,4841,8902,0291,9521,9362,1062,9923,4263,3173,3284,903
Inventory, Net--10,71011,05711,07911,80912,54912,74813,92514,53116,62722,06824,88620,97623,451
Other current assets1,2249637738951,0161,0786086388901,0409631,2181,5111,7111,670
Total current assets13,47914,52015,37215,27915,30216,99317,72418,93318,52919,81028,47729,05532,47129,77531,683
Net property and equipment25,06024,44824,06923,34822,72022,19121,91422,07522,375-24,70525,19925,63126,15426,702
Operating lease right-of-use assets---------5,5955,9625,9686,9417,8848,592
Goodwill1,1871,1201,1701,2891,3532,1022,0932,2752,2522,2547,1267,4497,4448,45519,475
Intangible assets, net------------3,3233,6068,983
Other assets2602953336025711,2631,2351,2468478074,3114,2053,9584,262684
Total assets40,12540,51841,08440,51839,94642,54942,96644,52944,00351,23670,58171,87676,44576,53096,119
Short-term debt----2903507101,5591,339974-1,000--316
Accounts payable4,7174,8565,3765,7975,8076,5657,0007,2447,7557,78711,60613,46211,44310,03711,938
Accrued salaries and related expenses1,2901,3721,4141,4281,3911,5151,4841,6401,5061,4942,4632,4261,9912,0962,315
Sales taxes payable368391472396434476508520656605774848528449628
Deferred revenue1,1771,1471,2701,3371,4681,5661,6691,8051,7822,1162,8233,5963,0642,7622,610
Income taxes payable132322123534255411551931585028832
Current installments of long-term debt1,042301,3213338775421,2021,0561,8391,4162,4471,2311,3684,582
Current operating lease liabilities---------8288288309451,0501,274
Other accrued expenses1,5151,5571,5871,7461,8061,9432,1952,1702,6112,6773,0633,8913,8584,2254,166
Total current liabilities10,1229,37611,46210,74911,26912,52614,13316,19416,71618,37523,16628,69323,11022,01528,661
Long-Term Debt and Lease Obligation8,70710,7589,47514,69116,86920,88822,34924,26726,80728,67035,82236,60441,96242,74348,485
Long-term operating lease liabilities---------5,0665,3565,3536,2267,0827,633
Deferred income taxes---------7061,1319091,0198631,962
Other long-term liabilities2,1352,1462,0512,0421,8441,9651,8552,1741,8671,5351,8072,0132,5662,7832,738
Total liabilities21,23622,62023,30727,99630,62436,23338,63343,07545,88154,35267,28273,57274,88375,48689,479
Common Stock, Value, Outstanding-------------9090
Paid-in capital6,5566,9667,9488,4028,8859,3479,78710,19210,57811,00111,54012,13212,59213,14714,117
Retained earnings14,99517,24620,03823,18026,99530,97335,51939,93546,42351,72958,13467,58076,89683,65689,533
Accumulated other comprehensive loss44529339746-452-898-867-566-772-739-671-704-718-477-1,129
Treasury stock, at cost, 806 shares at February 2, 2025 and 804 shares at January 28, 20243,1936,69410,69419,19426,19433,19440,19448,19658,19665,19665,79380,79487,29895,37295,971
Total stockholders’ equity18,88917,89817,77712,5229,3226,3164,3331,454-1,878-3,1163,299-1,6961,5621,0446,640
Total liabilities and stockholders’ equity40,12540,51841,08440,51839,94642,54942,96644,52944,00351,23670,58171,87676,44576,53096,119