Macy's, Inc. (M)
NYSE: M · Real-Time Price · USD
21.23
+0.04 (0.19%)
At close: Feb 3, 2026, 4:00 PM EST
21.23
0.00 (0.00%)
After-hours: Feb 3, 2026, 7:00 PM EST

Macy's Cash Flow Statement

Millions USD. Fiscal year is Mar - Feb.
Fiscal Quarter
Q3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021
Period Ending
Nov '25 Aug '25 May '25 Feb '25 Nov '24 Aug '24 May '24 Feb '24 Oct '23 Jul '23 Apr '23 Jan '23 Oct '22 Jul '22 Apr '22 Jan '22 Oct '21 Jul '21 May '21 Jan '21
Net Income
477494558582112124-48456827491,0461,1461,4111,5431,6131,430847516-260-3,944
Depreciation & Amortization
586579574571620624626628649642634622606605618636637663678691
Other Amortization
319322320321280279279279246246247246250299302308341296294286
Loss (Gain) From Sale of Assets
-85-139-159-144-144-83-51-61-35-62-58-89-104-121-127-91-101-56-50-60
Asset Writedown & Restructuring Costs
1701431201329861,0251,0291,0121616142013-2-291591673483,504
Stock-Based Compensation
5958585844454647555455546763575542403631
Other Operating Activities
87694335-228-204-70-91152146213911781911701057950-121
Change in Accounts Receivable
5069292-7-45-37-14-4-23-382-27-21-27-35-33132
Change in Inventory
-433324-51-182-198-32-99378481349116-262-312-726-610-995-7176841,406
Change in Accounts Payable
101-99-274-60-290-309-226-379-607-419-983-26241-539428463-376313-477-522
Change in Income Taxes
-228-78-695636-453-126-124-115-8556550463558815190-189-617
Change in Other Net Operating Assets
-164-161-130-99-130-123-176-86-111-142285-189-247-70-496-225463265226-137
Operating Cash Flow
1,5551,3961,0851,2781,1171,1711,3291,3051,2851,5831,4721,6152,3592,0502,4662,7121,2461,6211,307649
Operating Cash Flow Growth
39.21%19.21%-18.36%-2.07%-13.07%-26.03%-9.71%-19.20%-45.53%-22.78%-40.31%-40.45%89.33%26.46%88.68%317.87%-25.83%29.58%-11.81%-59.64%
Capital Expenditures
-391-426-464-518-545-512-570-631-718-900-932-888-779-590-464-354-278-252-277-338
Sale of Property, Plant & Equipment
1913073172832371056586519689137168203229164192116100113
Sale (Purchase) of Intangibles
-367-367-366-364-348-349-356-362-343-377-398-407-416-359-295-243-187-155-128-128
Other Investing Activities
5557411-6-6-4-4-11-95406359941928
Investing Cash Flow
-562-481-508-592-652-755-860-913-1,016-1,185-1,245-1,169-1,036-741-490-370-214-197-286-325
Short-Term Debt Issued
---3---2-----------181
Long-Term Debt Issued
---301---961---2,809---1,085---2,780
Total Debt Issued
6338043043047999639639631,3051,9591,9592,8092,0011,4351,4351,0851,1566811,9612,961
Short-Term Debt Repaid
------------181----23----
Long-Term Debt Repaid
----524----963----3,100----2,699----2,042
Total Debt Repaid
-1,057-1,166-526-524-1,123-983-971-963-1,319-2,005-2,030-3,281-2,292-3,198-3,208-2,722-2,989-1,263-2,586-2,042
Net Debt Issued (Repaid)
-424-362-222-220-324-20-8--14-46-71-472-291-1,763-1,773-1,637-1,833-582-625919
Issuance of Common Stock
------------7777----
Repurchase of Common Stock
-201-150-98-1---3-38-38-38-52-601-807-1,101-1,084-500-295-1-1-1
Common Dividends Paid
-197-196-195-192-190-187-184-181-178-176-173-173-174-177-135-90-46---117
Other Financing Activities
-40-24-6---1-1-1-1---50-50-187-190-161-161-28-123-102
Financing Cash Flow
-862-732-521-413-514-208-196-220-231-260-296-1,296-1,315-3,221-3,175-2,381-2,335-611-749699
Net Cash Flow
13118356273-4920827317238138-69-8508-1,912-1,199-39-1,3038132721,023
Free Cash Flow
1,1649706217605726597596745676835407271,5801,4602,0022,3589681,3691,030311
Free Cash Flow Growth
103.50%47.19%-18.18%12.76%0.88%-3.51%40.56%-7.29%-64.11%-53.22%-73.03%-69.17%63.22%6.65%94.37%658.20%-12.87%174.35%55.59%-55.95%
Free Cash Flow Margin
5.13%4.27%2.72%3.30%2.45%2.80%3.20%2.82%2.35%2.79%2.15%2.86%6.13%5.62%7.70%9.28%4.14%6.24%5.20%1.72%
Free Cash Flow Per Share
4.183.462.212.702.042.352.762.422.042.461.942.595.494.926.527.513.074.353.311.00
Cash Interest Paid
194189152155156154156157158162162188203398476442524305271257
Cash Income Tax Paid
151151299304230228246240316365460455----17123817810198
Levered Free Cash Flow
897.88845.63445425.75274.88228.5310.25250109.63185.25-13.545.751,1611,1671,8571,541338.25639.25762.751,248
Unlevered Free Cash Flow
950.13898.63504.38486.63339.5296380.88324.38185.5265.569.51361,2581,2221,9331,631450.88813.139331,407
Change in Working Capital
-58-130-429-277-553-639-482-554-480-208-487-423105-415-186195-784-84211262
Updated Dec 3, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q