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Walmart Cash Flow Analysis 2025 by redachaibi1 is a document available to read on EtoBox.
Walmart generated $36.4 billion in net cash from operating activities for the fiscal year ending January 31, 2025, driven by a consolidated net income of $20.2 billion and effective working capital management. The company experienced a net cash outflow of $21.4 billion from investing activities, primarily due to significant investments in property and equipment, highlighting its focus on long-term growth. In financing activities, Walmart utilized $14.8 billion in cash, mainly for debt repayment and sharehol
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- redachaibi1
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