Fiscal Period | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|
Period End Date | Mar 24 | Mar 23 | Mar 22 | Mar 21 |
Net Income/ Starting Line | 7,201.00 | 6,048.50 | 3,061.40 | 2,883.50 |
Depreciation/ Depletion | 1,470.00 | 1,250.20 | 1,165.20 | 1,228.80 |
Non- Cash Items | -104.80 | 445.70 | 710.20 | 858.40 |
Changesin Working Capital | -4,022.90 | -1,856.90 | -2,126.00 | -1,400.40 |
Cashfrom Operating Activities | 4,543.30 | 5,887.50 | 2,810.80 | 3,570.30 |
Capital Expenditures | -2,743.50 | -1,886.60 | -1,904.90 | -1,256.10 |
Other Investing Cash Flow Items Total | -1,284.80 | -2,250.70 | -733.80 | -1,009.90 |
Cashfrom Investing Activities | -4,028.30 | -4,137.30 | -2,638.70 | -2,266.00 |
Financing Cash Flow Items | -226.60 | -185.30 | -134.50 | -132.10 |
Total Cash Dividends Paid | -664.80 | -497.90 | -414.60 | -414.70 |
Issuance( Retirement)of Stock Net | 80.50 | 36.80 | 33.40 | -92.40 |
Issuance( Retirement)of Debt Net | 434.60 | -2,039.70 | 273.50 | 609.40 |
Cashfrom Financing Activities | -376.30 | -2,686.10 | -242.20 | -29.80 |
Foreign Exchange Effects | -5.90 | 28.60 | 73.30 | 11.30 |
Net Changein Cash | 132.80 | -907.30 | 3.20 | 1,285.80 |
Cash Interest Paid | 226.60 | 185.30 | 134.50 | 132.10 |
Cash Taxes Paid | 2,004.70 | 1,071.40 | 743.70 | 571.60 |
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