Dollar General Corporation (BIT:1DGX)
 85.43
 +1.04 (1.23%)
  At close: Nov 3, 2025
Dollar General Cash Flow Statement
Financials in millions USD. Fiscal year is February - January.
 Millions USD. Fiscal year is Feb - Jan.
Fiscal Year  | TTM | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | 2016 - 2020 | 
|---|---|---|---|---|---|---|---|
Period Ending  | Aug '25 Aug 1, 2025 | Jan '25 Jan 31, 2025 | Feb '24 Feb 2, 2024 | Feb '23 Feb 3, 2023 | Jan '22 Jan 28, 2022 | Jan '21 Jan 29, 2021 | 2016 - 2020 | 
Net Income     | 1,191 | 1,125 | 1,661 | 2,416 | 2,399 | 2,655 | Upgrade   | 
Depreciation & Amortization     | 1,010 | 971.7 | 848.79 | 724.88 | 641.32 | 574.24 | Upgrade   | 
Loss (Gain) From Sale of Assets     | 344.7 | 296.18 | 88.98 | 530.53 | 191.04 | 11.57 | Upgrade   | 
Stock-Based Compensation     | 77.07 | 58.74 | 51.89 | 72.71 | 78.18 | 68.61 | Upgrade   | 
Other Operating Activities     | -11.36 | -30.35 | 72.85 | 235.3 | 114.36 | 34.98 | Upgrade   | 
Change in Inventory     | 298.24 | 230.21 | -299.07 | -1,665 | -550.11 | -575.83 | Upgrade   | 
Change in Accounts Payable     | 107.8 | 302.92 | 36.94 | -194.72 | 98.74 | 745.6 | Upgrade   | 
Change in Income Taxes     | -21.14 | -15.44 | 25.3 | -37.52 | -14.64 | -6.52 | Upgrade   | 
Change in Other Net Operating Assets     | 161.54 | 56.85 | -95.17 | -97.26 | -92.29 | 368.47 | Upgrade   | 
Operating Cash Flow     | 3,158 | 2,996 | 2,392 | 1,985 | 2,866 | 3,876 | Upgrade   | 
Operating Cash Flow Growth     | -4.81% | 25.26% | 20.52% | -30.75% | -26.07% | 73.20% | Upgrade   | 
Capital Expenditures     | -1,308 | -1,310 | -1,700 | -1,561 | -1,070 | -1,028 | Upgrade   | 
Sale of Property, Plant & Equipment     | 4.46 | 3.56 | 6.2 | 5.24 | 4.9 | 3.05 | Upgrade   | 
Investing Cash Flow     | -1,304 | -1,306 | -1,694 | -1,555 | -1,066 | -1,025 | Upgrade   | 
Short-Term Debt Issued     | - | - | 500 | 1,448 | 54.3 | 300 | Upgrade   | 
Long-Term Debt Issued     | - | - | 1,498 | 2,296 | - | 1,494 | Upgrade   | 
Total Debt Issued     | - | - | 1,998 | 3,744 | 54.3 | 1,794 | Upgrade   | 
Short-Term Debt Repaid     | - | - | -2,002 | - | - | -725.2 | Upgrade   | 
Long-Term Debt Repaid     | - | -770.23 | -19.72 | -911.33 | -6.4 | -4.64 | Upgrade   | 
Total Debt Repaid     | -1,270 | -770.23 | -2,022 | -911.33 | -6.4 | -729.84 | Upgrade   | 
Net Debt Issued (Repaid)     | -1,270 | -770.23 | -23.36 | 2,832 | 47.9 | 1,064 | Upgrade   | 
Repurchase of Common Stock     | - | - | - | -2,748 | -2,550 | -2,466 | Upgrade   | 
Common Dividends Paid     | -519.22 | -518.98 | -517.98 | -493.73 | -392.19 | -355.93 | Upgrade   | 
Other Financing Activities     | -3.91 | -5.23 | -0.73 | 16.96 | 61.96 | 42.89 | Upgrade   | 
Financing Cash Flow     | -1,793 | -1,294 | -542.07 | -392.46 | -2,832 | -1,715 | Upgrade   | 
Net Cash Flow     | 61.88 | 395.29 | 155.71 | 36.75 | -1,032 | 1,136 | Upgrade   | 
Free Cash Flow     | 1,850 | 1,686 | 691.58 | 423.97 | 1,795 | 2,848 | Upgrade   | 
Free Cash Flow Growth     | 9.48% | 143.82% | 63.12% | -76.39% | -36.96% | 96.00% | Upgrade   | 
Free Cash Flow Margin     | 4.44% | 4.15% | 1.79% | 1.12% | 5.25% | 8.44% | Upgrade   | 
Free Cash Flow Per Share     | 8.40 | 7.66 | 3.14 | 1.87 | 7.61 | 11.39 | Upgrade   | 
Cash Interest Paid     | 336.63 | 336.63 | 352.47 | 195.31 | 159.8 | 128.21 | Upgrade   | 
Cash Income Tax Paid     | 354.73 | 354.73 | 359.58 | 500.81 | 568.27 | 721.57 | Upgrade   | 
Levered Free Cash Flow     | 1,500 | 1,323 | 226.48 | -250.93 | 1,303 | 2,203 | Upgrade   | 
Unlevered Free Cash Flow     | 1,660 | 1,495 | 430.72 | -118.88 | 1,401 | 2,297 | Upgrade   | 
Change in Working Capital     | 546.44 | 574.53 | -331.99 | -1,995 | -558.31 | 531.72 | Upgrade   | 
Source: S&P Global Market Intelligence. Standard template. Financial Sources.