Macy's, Inc. (M)
NYSE: M · Real-Time Price · USD
25.37
+0.33 (1.32%)
At close: Jun 12, 2026, 4:00 PM EDT
25.48
+0.11 (0.43%)
After-hours: Jun 12, 2026, 7:59 PM EDT

Macy's Cash Flow Statement

Millions USD. Fiscal year is Feb - Jan.
Fiscal Quarter
Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Period Ending
May '26 Jan '26 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
Net Income
66764247749455858217018210456517181,0151,1461,4111,5431,6131,430847516
Depreciation & Amortization
885894896889884881889893895897884877869857844843856874905931
Stock-Based Compensation
6059595858584445464755545554676357554240
Other Adjustments
25532113539-323462574885787014450-11-19-681685.5158236177.5
Change in Receivables
-71-3255069292-7-45-37-14-4-23-382-27-21-27-35
Changes in Inventories
-17251-433324-51-182-198-32-99378481349116-262-312-726-610-995-717
Changes in Accounts Payable
-1,292-109102-1,373-1,529-43-321,3551,3611,221-431-282-394-12996-3291832183831,072
Changes in Accrued Expenses
-36-83-36-85-104-49-248-295-218-266-176-137-165-133-128-132-65245-88-232
Changes in Income Taxes Payable
5577-228-78-697656-253-126-124-115-8556550463558815190
Changes in Other Operating Activities
-142-132-164-161-130-99-130-123-176-86-111-142-139-189-174-148-186-225-208-262
Operating Cash Flow
1,7861,4301,5551,3961,0851,2781,1171,1711,3291,3051,2851,5831,4721,6152,3592,0502,4662,7121,2461,621
Operating Cash Flow Growth
64.61%11.89%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%
Capital Expenditures
-361-373-391-426-464-518-545-512-570-631-718-900-932-888-779-590-464-354-278-252
Sale of Property, Plant & Equipment
941071913073172832371056586519689137168203229164192116
Purchases of Intangible Assets
-379-367-367-367-366-364-348-349-356-362-343-377-398-407-416-359-295-243-187-155
Other Investing Activities
-9-65557411-6-6-4-4-11-9540635994
Investing Cash Flow
-655-639-562-481-508-592-652-755-860-913-1,016-1,185-1,245-1,169-1,036-741-490-370-214-197
Long-Term Debt Issued
2505006255513013018266506509611,2291,9591,9592,8092,0011,4351,4351,085975500
Long-Term Debt Repaid
-846-846-1,057-1,174-524-524-1,123-963-963-963-1,255-1,961-1,962-3,100-2,249-3,321-3,335-2,699-2,982-1,056
Net Long-Term Debt Issued (Repaid)
-596-346-432-623-223-223-297-313-313-2-26-2-3-291-248-1,886-1,900-1,614-2,007-556
Issuance of Common Stock
-----------------7--
Repurchase of Common Stock
-204-250-201-150-98-100-3-38-38-38-52-601-807-1,101-1,084-500-295-1
Net Common Stock Issued (Repurchased)
-204-250-201-150-98-100-3-38-38-38-52-601-807-1,101-1,084-493-295-1
Common Dividends Paid
-196-197-197-196-195-192-190-187-184-181-178-176-173-173-174-177-135-90-460
Other Financing Activities
-17.5-59-32-7.5-53-27-18-6111-44-68-231-93-64-63-18413-54
Financing Cash Flow
-769-852-862-732-521-413-514-208-196-220-231-260-296-1,296-1,315-3,221-3,175-2,381-2,335-611
Net Cash Flow
362-6113118356273-4920827317238138-69-8508-1,912-1,199-39-1,303813
Free Cash Flow
1,4251,0571,1649706217605726597596745676835407271,5801,4602,0022,3589681,369
Free Cash Flow Growth
129.47%39.08%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%
FCF Margin
6.27%4.67%5.13%4.27%2.72%3.30%2.45%2.80%3.20%2.82%2.36%2.79%2.16%2.86%9.37%12.81%35.97%9.28%4.14%6.24%
Free Cash Flow Per Share
5.193.824.183.462.212.702.042.362.742.422.052.471.942.595.494.926.527.513.054.33
Levered Free Cash Flow
-991719408-1,223-1,062651-3579888751,2788119989941,1871,600-507-54552-1,130751
Unlevered Free Cash Flow
-262.931,212890.37-484.2-728.011,055-115.351,4011,3601,6491,2411,4081,2961,4811,7281,6582,2122,5371,2931,636
SEC Filings: 10-K · 10-Q