Toyota Motor Corporation (TOM.F)

EUR 16.83

(2.56%)

Annual Cash Flows

(In JPY)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow 4206.37 Billion 2955.07 Billion 3722.61 Billion 2727.16 Billion 3590.64 Billion 3766.59 Billion
Net Income 4944.93 Billion 2492.96 Billion 2874.61 Billion 2282.37 Billion 2142.32 Billion 1985.58 Billion
Depreciation & Amortization 2087.06 Billion 2039.9 Billion 1821.88 Billion 1644.29 Billion 1605.38 Billion 1792.37 Billion
Deferred income taxes - 1175.76 Billion 1115.91 Billion 649.97 Billion 192.14 Billion -86.59 Billion
Stock-based compensation - 808 Million 772 Million 364 Million 477 Million 477 Million
Change in working capital -3975.83 Billion -1502.48 Billion -1130.66 Billion -1063.56 Billion -313.74 Billion -51.78 Billion
Other non-cash items 5830.37 Billion -1251.88 Billion -959.9 Billion -236.86 Billion -35.95 Billion 229.73 Billion
Investing Cash Flow -4998.75 Billion -1598.89 Billion -577.49 Billion -4684.17 Billion -3150.86 Billion -2697.24 Billion
Investments in PPE -5048.39 Billion -3705.83 Billion -3830.24 Billion -3767.94 Billion -3595.13 Billion -3738.88 Billion
Acquisitions 2163.61 Billion 1715.59 Billion 1579.88 Billion 1133.79 Billion -14.76 Billion 5.01 Billion
Investment purchases -2972.77 Billion -1150.21 Billion -2427.91 Billion -2729.17 Billion -2413.08 Billion -2087.16 Billion
Sales/Maturities of investments 2251.36 Billion 1333.72 Billion 2202.63 Billion 2061.91 Billion 2661.28 Billion 2698.79 Billion
Other Investing Activities -1392.56 Billion 207.83 Billion 1898.14 Billion -1382.77 Billion 210.84 Billion 425 Billion
Financing Cash Flow 2497.55 Billion -56.18 Billion -2466.51 Billion 2739.17 Billion 362.8 Billion -540.83 Billion
Debt repayment -3706.76 Billion -8353.03 Billion -720.98 Billion -5416.37 Billion -1233.65 Billion -558.68 Billion
Dividends payments -880.19 Billion -727.98 Billion -709.87 Billion -625.51 Billion -618.8 Billion -644.8 Billion
Common Stock Repurchased -231.06 Billion -431.09 Billion -404.71 Billion -1020.53 Billion -476.12 Billion -549.63 Billion
Common Stock Issuance - 431.09 Billion - 1020.53 Billion - -
Other Financing Activities -97.93 Billion 9024.83 Billion -630.93 Billion 8781.06 Billion 224.07 Billion 94.91 Billion
Accounts receivables -859.23 Billion -532.43 Billion 118.65 Billion 5.02 Billion 248.89 Billion -246.84 Billion
Accounts payables 560.73 Billion 712.4 Billion 384.14 Billion -685.5 Billion -76.41 Billion 94.88 Billion
Inventory -207.52 Billion -350.55 Billion -725.28 Billion -242.76 Billion -114.09 Billion -166.9 Billion
Other working capital -3469.8 Billion -1331.9 Billion -908.17 Billion -140.31 Billion -372.12 Billion 267.07 Billion
Cash at beginning of period 5948.29 Billion 6113.65 Billion 5100.85 Billion 4098.45 Billion 3706.51 Billion 3219.63 Billion
Cash at end of period 9412.06 Billion 7516.96 Billion 6113.65 Billion 5100.85 Billion 4412.19 Billion 3706.51 Billion
Capital Expenditure -5048.39 Billion -3705.83 Billion -3830.24 Billion -3767.94 Billion -3595.13 Billion -3738.88 Billion
Effect of forex changes on cash 189.91 Billion 103.3 Billion 334.19 Billion 220.24 Billion -131.24 Billion -41.64 Billion
Net cash flow / Change in cash 3463.76 Billion 1403.31 Billion 1012.79 Billion 1002.4 Billion 705.67 Billion 486.87 Billion
Free Cash Flow -842.02 Billion -750.75 Billion -107.62 Billion -1040.78 Billion -4.48 Billion 27.71 Billion

Cash Flow Charts