TJX Company Financials

TJX 
$65.36
*  
0.34
0.52%
Get TJX Alerts
*Delayed - data as of Dec. 17, 2014  -  Find a broker to begin trading TJX now
Exchange: NYSE
Industry: Consumer Services
Community Rating:
View:    TJX Pre-Market
 
 
Symbol List Views
FlashQuotes InfoQuotes
Stock Details
Summary Quote Real-Time Quote After Hours Quote Pre-market Quote Historical Quote Option Chain
CHARTS
Basic Chart Interactive Chart
COMPANY NEWS
Company Headlines Press Releases Market Stream
STOCK ANALYSIS
Analyst Research Guru Analysis Stock Report Competitors Stock Consultant Stock Comparison
FUNDAMENTALS
Call Transcripts Annual Report Income Statement Revenue/EPS SEC Filings Short Interest Dividend History
HOLDINGS
Ownership Summary Institutional Holdings Insiders
(SEC Form 4)
 Save Stocks


Annual Income Statement (values in 000's) Get Quarterly Data

Period Ending: Trend 2/1/2014 2/2/2013 1/28/2012 1/29/2011
Net Income
$2,137,396 $1,906,687 $1,496,090 $1,343,141
Cash Flows-Operating Activities
Depreciation
$548,823 $508,929 $485,701 $458,052
Net Income Adjustments
$53,681 $27,085 $176,353 $177,423
Changes in Operating Activities
Accounts Receivable
$11,979 ($18,418) ($4,410) ($23,587)
Changes in Inventories
$35,233 $27,186 ($187,157) ($211,823)
Other Operating Activities
($25,916) ($62,521) ($24,640) $3,407
Liabilities
($170,867) $656,666 ($25,903) $229,868
Net Cash Flow-Operating
$2,590,329 $3,045,614 $1,916,034 $1,976,481
Cash Flows-Investing Activities
Capital Expenditures
($946,678) ($978,228) ($803,330) ($707,134)
Investments
($91,606) ($142,736) ($19,363) $60,586
Other Investing Activities
$2,653 ($155,884) $11,652 ($1,065)
Net Cash Flows-Investing
($1,035,631) ($1,276,848) ($811,041) ($647,613)
Cash Flows-Financing Activities
Sale and Purchase of Stock
($1,324,601) ($1,211,311) ($1,101,813) ($1,017,221)
Net Borrowings
$499,555 ($1,456) ($2,727) ($2,355)
Other Financing Activities
($3,251) $0 $0 $0
Net Cash Flows-Financing
($1,143,803) ($1,475,587) ($1,335,712) ($1,223,928)
Effect of Exchange Rate
($73,106) $11,666 ($3,920) $22,204
Net Cash Flow
$337,789 $304,845 ($234,639) $127,144

See also: Company Financials data entry page