US Stock MarketDetailed Quotes

TJX TJX Companies

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  • 117.930
  • -0.360-0.30%
Close Sep 20 16:00 ET
  • 117.930
  • 0.0000.00%
Post 20:02 ET
133.01BMarket Cap28.55P/E (TTM)

TJX Companies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 3, 2024
(Q1)May 4, 2024
(FY)Feb 3, 2024
(Q4)Feb 3, 2024
(Q3)Oct 28, 2023
(Q2)Jul 29, 2023
(Q1)Apr 29, 2023
(FY)Jan 28, 2023
(Q4)Jan 28, 2023
(Q3)Oct 29, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
21.48%1.63B
-1.07%737M
48.31%6.06B
-7.44%2.8B
11.21%1.17B
109.53%1.34B
217.51%745M
33.60%4.08B
172.51%3.03B
5.29%1.05B
Net income from continuing operations
11.12%1.1B
20.09%1.07B
27.90%4.47B
35.16%1.4B
12.04%1.19B
22.10%989M
51.79%891M
6.55%3.5B
10.38%1.04B
3.91%1.06B
Operating gains losses
-105.88%-1M
-25.00%3M
165.22%61M
-6.25%15M
1,150.00%25M
1,600.00%17M
0.00%4M
-90.84%23M
94.51%16M
4,445.45%2M
Depreciation and amortization
12.77%265M
13.79%264M
8.68%964M
9.09%252M
12.39%245M
7.80%235M
5.45%232M
2.19%887M
4.81%231M
0.44%218M
Deferred tax
--19M
50.00%24M
-110.94%-7M
-168.97%-20M
-133.33%-3M
--0
33.33%16M
245.45%64M
10,075.44%29M
279.03%9M
Other non cash items
-94.44%-35M
-342.86%-34M
-145.16%-42M
-110.00%-10M
-660.00%-28M
-181.82%-18M
141.18%14M
616.67%93M
260.31%100M
-85.00%5M
Change In working capital
187.80%236M
-40.81%-628M
154.45%447M
-29.67%1.11B
-7.83%-303M
117.98%82M
73.26%-446M
44.23%-821M
1,426.61%1.58B
9.59%-281M
-Change in receivables
50.00%-30M
-131.37%-16M
273.21%97M
175.61%113M
86.27%-7M
-46.34%-60M
1,120.00%51M
59.71%-56M
-38.79%41M
-250.85%-51M
-Change in inventory
-123.64%-246M
57.37%-266M
-350.00%-145M
-8.45%2.38B
-34.08%-1.79B
9.84%-110M
42.49%-624M
103.50%58M
313.62%2.6B
13.92%-1.34B
-Change in prepaid assets
84.21%-3M
-26.67%-19M
45.21%-40M
-1,900.00%-20M
163.64%14M
-11.76%-19M
54.55%-15M
-321.21%-73M
-108.18%-1M
-2,213.35%-22M
-Change in payables and accrued expense
93.33%522M
-325.87%-323M
173.83%553M
-20.17%-1.27B
24.25%1.41B
194.41%270M
126.43%143M
-277.91%-749M
-31.27%-1.06B
-6.86%1.13B
-Change in other current liabilities
-800.00%-7M
-300.00%-4M
-1,700.00%-18M
-3,000.00%-93M
1,975.00%75M
-90.00%1M
75.00%-1M
99.22%-1M
87.24%-3M
54.78%-4M
Cash from discontinued investing activities
Operating cash flow
21.48%1.63B
-1.07%737M
48.31%6.06B
-7.44%2.8B
11.21%1.17B
109.53%1.34B
217.51%745M
33.60%4.08B
172.51%3.03B
5.29%1.05B
Investing cash flow
Cash flow from continuing investing activities
-23.19%-563M
-17.96%-427M
-16.80%-1.72B
-21.11%-436M
-13.51%-462M
-20.58%-457M
-11.73%-362M
-40.54%-1.47B
-8.97%-360M
-49.16%-407M
Net PPE purchase and sale
-22.66%-563M
-16.07%-419M
-18.19%-1.72B
-23.81%-442M
-13.02%-460M
-21.11%-459M
-14.97%-361M
-39.43%-1.46B
-8.36%-357M
-50.41%-407M
Net investment purchase and sale
--0
-700.00%-8M
138.46%5M
300.00%6M
---2M
--2M
90.00%-1M
-1,200.00%-13M
-227.15%-3M
--0
Cash from discontinued investing activities
Investing cash flow
-23.19%-563M
-17.96%-427M
-16.80%-1.72B
-21.11%-436M
-13.51%-462M
-20.58%-457M
-11.73%-362M
-40.54%-1.47B
-8.97%-360M
-49.16%-407M
Financing cash flow
Cash flow from continuing financing activities
35.95%-882M
-0.36%-840M
-27.50%-4.22B
-85.62%-1.1B
-17.40%-904M
-35.80%-1.38B
10.10%-837M
46.68%-3.31B
54.94%-591M
24.88%-770M
Net issuance payments of debt
----
----
---500M
--0
--0
----
----
--0
--0
--0
Net common stock issuance
7.66%-458M
9.70%-419M
-13.70%-2.2B
-187.15%-715M
-22.43%-524M
25.75%-496M
21.22%-464M
0.67%-1.93B
75.10%-249M
39.92%-428M
Cash dividends paid
-10.73%-423M
-10.79%-380M
-10.83%-1.48B
-11.14%-379M
-10.79%-380M
-10.40%-382M
-11.00%-343M
-6.95%-1.34B
-9.83%-341M
-9.70%-343M
Net other financing activities
-200.00%-1M
-36.67%-41M
3.03%-32M
-200.00%-3M
--0
--1M
9.09%-30M
-32.00%-33M
-91.57%-1M
--1M
Cash from discontinued financing activities
Financing cash flow
35.95%-882M
-0.36%-840M
-27.50%-4.22B
-85.62%-1.1B
-17.40%-904M
-35.80%-1.38B
10.10%-837M
46.68%-3.31B
54.94%-591M
24.88%-770M
Net cash flow
Beginning cash position
0.68%5.06B
2.25%5.6B
-12.04%5.48B
27.49%4.29B
28.86%4.55B
17.00%5.03B
-12.04%5.48B
-40.53%6.23B
-50.45%3.37B
-50.31%3.53B
Current changes in cash
137.32%184M
-16.74%-530M
118.06%125M
-38.91%1.27B
-57.26%-195M
34.53%-493M
75.97%-454M
83.48%-692M
490.01%2.07B
58.38%-124M
Effect of exchange rate changes
-61.11%7M
-650.00%-11M
96.55%-2M
13.16%43M
-54.76%-65M
263.64%18M
104.65%2M
-7.41%-58M
214.28%38M
-154.22%-42M
End cash Position
15.38%5.25B
0.68%5.06B
2.25%5.6B
2.25%5.6B
27.49%4.29B
28.86%4.55B
17.00%5.03B
-12.04%5.48B
-12.04%5.48B
-50.45%3.37B
Free cash flow
20.86%1.07B
-17.19%318M
65.02%4.34B
-11.62%2.36B
10.06%711M
237.93%882M
140.51%384M
30.57%2.63B
241.78%2.67B
-11.44%646M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
--
(Q2)Aug 3, 2024(Q1)May 4, 2024(FY)Feb 3, 2024(Q4)Feb 3, 2024(Q3)Oct 28, 2023(Q2)Jul 29, 2023(Q1)Apr 29, 2023(FY)Jan 28, 2023(Q4)Jan 28, 2023(Q3)Oct 29, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 21.48%1.63B-1.07%737M48.31%6.06B-7.44%2.8B11.21%1.17B109.53%1.34B217.51%745M33.60%4.08B172.51%3.03B5.29%1.05B
Net income from continuing operations 11.12%1.1B20.09%1.07B27.90%4.47B35.16%1.4B12.04%1.19B22.10%989M51.79%891M6.55%3.5B10.38%1.04B3.91%1.06B
Operating gains losses -105.88%-1M-25.00%3M165.22%61M-6.25%15M1,150.00%25M1,600.00%17M0.00%4M-90.84%23M94.51%16M4,445.45%2M
Depreciation and amortization 12.77%265M13.79%264M8.68%964M9.09%252M12.39%245M7.80%235M5.45%232M2.19%887M4.81%231M0.44%218M
Deferred tax --19M50.00%24M-110.94%-7M-168.97%-20M-133.33%-3M--033.33%16M245.45%64M10,075.44%29M279.03%9M
Other non cash items -94.44%-35M-342.86%-34M-145.16%-42M-110.00%-10M-660.00%-28M-181.82%-18M141.18%14M616.67%93M260.31%100M-85.00%5M
Change In working capital 187.80%236M-40.81%-628M154.45%447M-29.67%1.11B-7.83%-303M117.98%82M73.26%-446M44.23%-821M1,426.61%1.58B9.59%-281M
-Change in receivables 50.00%-30M-131.37%-16M273.21%97M175.61%113M86.27%-7M-46.34%-60M1,120.00%51M59.71%-56M-38.79%41M-250.85%-51M
-Change in inventory -123.64%-246M57.37%-266M-350.00%-145M-8.45%2.38B-34.08%-1.79B9.84%-110M42.49%-624M103.50%58M313.62%2.6B13.92%-1.34B
-Change in prepaid assets 84.21%-3M-26.67%-19M45.21%-40M-1,900.00%-20M163.64%14M-11.76%-19M54.55%-15M-321.21%-73M-108.18%-1M-2,213.35%-22M
-Change in payables and accrued expense 93.33%522M-325.87%-323M173.83%553M-20.17%-1.27B24.25%1.41B194.41%270M126.43%143M-277.91%-749M-31.27%-1.06B-6.86%1.13B
-Change in other current liabilities -800.00%-7M-300.00%-4M-1,700.00%-18M-3,000.00%-93M1,975.00%75M-90.00%1M75.00%-1M99.22%-1M87.24%-3M54.78%-4M
Cash from discontinued investing activities
Operating cash flow 21.48%1.63B-1.07%737M48.31%6.06B-7.44%2.8B11.21%1.17B109.53%1.34B217.51%745M33.60%4.08B172.51%3.03B5.29%1.05B
Investing cash flow
Cash flow from continuing investing activities -23.19%-563M-17.96%-427M-16.80%-1.72B-21.11%-436M-13.51%-462M-20.58%-457M-11.73%-362M-40.54%-1.47B-8.97%-360M-49.16%-407M
Net PPE purchase and sale -22.66%-563M-16.07%-419M-18.19%-1.72B-23.81%-442M-13.02%-460M-21.11%-459M-14.97%-361M-39.43%-1.46B-8.36%-357M-50.41%-407M
Net investment purchase and sale --0-700.00%-8M138.46%5M300.00%6M---2M--2M90.00%-1M-1,200.00%-13M-227.15%-3M--0
Cash from discontinued investing activities
Investing cash flow -23.19%-563M-17.96%-427M-16.80%-1.72B-21.11%-436M-13.51%-462M-20.58%-457M-11.73%-362M-40.54%-1.47B-8.97%-360M-49.16%-407M
Financing cash flow
Cash flow from continuing financing activities 35.95%-882M-0.36%-840M-27.50%-4.22B-85.62%-1.1B-17.40%-904M-35.80%-1.38B10.10%-837M46.68%-3.31B54.94%-591M24.88%-770M
Net issuance payments of debt -----------500M--0--0----------0--0--0
Net common stock issuance 7.66%-458M9.70%-419M-13.70%-2.2B-187.15%-715M-22.43%-524M25.75%-496M21.22%-464M0.67%-1.93B75.10%-249M39.92%-428M
Cash dividends paid -10.73%-423M-10.79%-380M-10.83%-1.48B-11.14%-379M-10.79%-380M-10.40%-382M-11.00%-343M-6.95%-1.34B-9.83%-341M-9.70%-343M
Net other financing activities -200.00%-1M-36.67%-41M3.03%-32M-200.00%-3M--0--1M9.09%-30M-32.00%-33M-91.57%-1M--1M
Cash from discontinued financing activities
Financing cash flow 35.95%-882M-0.36%-840M-27.50%-4.22B-85.62%-1.1B-17.40%-904M-35.80%-1.38B10.10%-837M46.68%-3.31B54.94%-591M24.88%-770M
Net cash flow
Beginning cash position 0.68%5.06B2.25%5.6B-12.04%5.48B27.49%4.29B28.86%4.55B17.00%5.03B-12.04%5.48B-40.53%6.23B-50.45%3.37B-50.31%3.53B
Current changes in cash 137.32%184M-16.74%-530M118.06%125M-38.91%1.27B-57.26%-195M34.53%-493M75.97%-454M83.48%-692M490.01%2.07B58.38%-124M
Effect of exchange rate changes -61.11%7M-650.00%-11M96.55%-2M13.16%43M-54.76%-65M263.64%18M104.65%2M-7.41%-58M214.28%38M-154.22%-42M
End cash Position 15.38%5.25B0.68%5.06B2.25%5.6B2.25%5.6B27.49%4.29B28.86%4.55B17.00%5.03B-12.04%5.48B-12.04%5.48B-50.45%3.37B
Free cash flow 20.86%1.07B-17.19%318M65.02%4.34B-11.62%2.36B10.06%711M237.93%882M140.51%384M30.57%2.63B241.78%2.67B-11.44%646M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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