W.W. Grainger, Inc. (GWW)

USD 1091.33

(-2.59%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 2.03 Billion 1.33 Billion 937 Million 1.12 Billion 1.04 Billion 1.05 Billion
Net Income 1.82 Billion 1.61 Billion 1.11 Billion 755 Million 895 Million 823 Million
Depreciation & Amortization 214 Million 217 Million 185 Million 182 Million 229 Million 257 Million
Deferred income taxes -9 Million 8 Million 27 Million -5 Million 4 Million 7 Million
Stock-based compensation 62 Million 48 Million 42 Million 46 Million 40 Million 47 Million
Change in working capital -255 Million -565 Million -443 Million -170 Million -255 Million -242 Million
Other non-cash items 190 Million 12 Million 12 Million 315 Million 129 Million 165 Million
Investing Cash Flow -422 Million -263 Million -226 Million -179 Million -202 Million -166 Million
Investments in PPE -445 Million -256 Million -255 Million -197 Million -221 Million -239 Million
Acquisitions 21 Million 28 Million 29 Million 20 Million 2 Million -13 Million
Investment purchases - - - - -2 Million -13 Million
Sales/Maturities of investments - - - - 2 Million -
Other Investing Activities 2 Million -35 Million 29 Million -2 Million 17 Million 86 Million
Financing Cash Flow -1.27 Billion -972 Million -1.03 Billion -726 Million -1.02 Billion -670 Million
Debt repayment -30 Million -15 Million -8 Million -1.43 Billion -57 Million -101 Million
Dividends payments -392 Million -370 Million -357 Million -338 Million -328 Million -316 Million
Common Stock Repurchased -850 Million -603 Million -695 Million -601 Million -700 Million -425 Million
Common Stock Issuance 34 Million 26 Million 48 Million 1.66 Billion 69 Million 181 Million
Other Financing Activities -40 Million -10 Million -27 Million -18 Million -7 Million 172 Million
Accounts receivables -98 Million -436 Million -324 Million -121 Million -42 Million -79 Million
Accounts payables -65 Million 225 Million 54 Million 80 Million 32 Million -51 Million
Inventory -16 Million -412 Million -152 Million -158 Million -106 Million -129 Million
Other working capital -76 Million 58 Million -21 Million 29 Million -139 Million 17 Million
Cash at beginning of period 325 Million 241 Million 585 Million 360 Million 538 Million 327 Million
Cash at end of period 660 Million 325 Million 241 Million 585 Million 360 Million 538 Million
Capital Expenditure -445 Million -256 Million -255 Million -197 Million -221 Million -239 Million
Effect of forex changes on cash 4 Million -14 Million -16 Million 7 Million 5 Million -10 Million
Net cash flow / Change in cash 335 Million 84 Million -344 Million 225 Million -178 Million 211 Million
Free Cash Flow 1.58 Billion 1.07 Billion 682 Million 926 Million 821 Million 818 Million

Cash Flow Charts