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index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40
Rok finansowy 2015 2016 2016 2016 2016 2017 2017 2017 2017 2018 2018 2018 2018 2019 2019 2019 2019 2020 2020 2020 2020 2021 2021 2021 2021 2022 2022 2022 2022 2023 2023 2023 2023 2024 2024 2024 2024 2025 2025 2025 2025
Kwartał Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4
Aktywa 15 256.0 13 719.0 13 566.0 15 150.0 13 519.0 12 901.0 13 254.0 14 542.0 13 856.0 12 955.0 13 444.0 14 785.0 13 049.0 12 082.0 11 993.0 15 000.0 12 901.0 14 550.0 14 978.0 16 926.0 15 591.0 15 605.0 17 412.0 21 202.0 19 067.0 17 705.0 18 579.0 20 102.0 17 504.0 15 251.0 15 419.0 17 021.0 15 803.0 14 688.0 15 318.0 16 882.0 14 967.0 14 752.0 15 624.0 17 018.0 14 782.0
Aktywa trwałe 3 527.0 3 323.0 3 321.0 3 415.0 3 633.0 3 619.0 3 560.0 3 521.0 3 340.0 3 299.0 3 366.0 3 380.0 3 220.0 3 152.0 3 222.0 4 099.0 4 031.0 6 536.0 6 786.0 6 751.0 6 734.0 6 609.0 6 729.0 6 651.0 6 527.0 6 437.0 6 539.0 6 582.0 6 965.0 6 936.0 7 075.0 7 099.0 7 001.0 6 926.0 7 014.0 7 017.0 7 070.0 6 999.0 7 062.0 7 063.0 6 558.0
Rzeczowe aktywa trwałe netto 2 295.0 2 244.0 2 235.0 2 304.0 2 346.0 2 332.0 2 295.0 2 298.0 2 293.0 2 287.0 2 327.0 2 352.0 2 421.0 2 385.0 2 432.0 2 525.0 2 510.0 5 042.0 5 135.0 5 110.0 5 037.0 4 922.0 5 047.0 4 957.0 4 872.0 4 796.0 4 896.0 4 944.0 4 904.0 4 955.0 5 115.0 5 172.0 5 098.0 5 015.0 5 118.0 5 140.0 5 018.0 4 967.0 5 043.0 5 038.0 4 955.0
Wartość firmy 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 921.0 915.0 915.0 965.0 982.0 984.0 986.0 986.0 986.0 986.0 986.0 986.0 986.0 1 384.0 1 385.0 1 385.0 1 383.0 1 383.0 1 383.0 1 383.0 1 383.0 1 383.0 1 383.0 1 383.0 1 383.0 908.0
Wartości niematerialne i prawne 57.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 383.0 350.0 351.0 416.0 402.0 363.0 362.0 359.0 339.0 301.0 281.0 261.0 241.0 275.0 253.0 231.0 210.0 189.0 169.0 148.0 133.0 128.0 122.0 101.0 0.0 0.0
Wartość firmy i wartości niematerialne i prawne 482.0 443.0 443.0 443.0 443.0 443.0 443.0 443.0 425.0 425.0 425.0 425.0 425.0 425.0 425.0 921.0 915.0 915.0 965.0 982.0 984.0 986.0 986.0 986.0 986.0 986.0 986.0 986.0 1 384.0 1 385.0 1 385.0 1 593.0 1 383.0 1 383.0 1 383.0 1 383.0 1 383.0 1 505.0 1 500.0 1 383.0 908.0
Należności netto 1 280.0 995.0 1 025.0 1 061.0 1 162.0 1 097.0 926.0 1 174.0 1 347.0 1 011.0 965.0 971.0 1 049.0 860.0 915.0 921.0 1 015.0 833.0 966.0 1 056.0 1 149.0 749.0 906.0 1 028.0 1 061.0 850.0 883.0 1 016.0 1 042.0 804.0 840.0 1 050.0 1 141.0 860.0 856.0 901.0 939.0 770.0 871.0 932.0 1 044.0
Inwestycje długoterminowe 3.0 9.0 15.0 12.0 27.0 17.0 29.0 13.0 13.0 4.0 16.0 0.0 0.0 0.0 0.0 0.0 26.0 28.0 78.0 70.0 89.0 107.0 115.0 95.0 91.0 118.0 133.0 112.0 104.0 55.0 67.0 44.0 47.0 46.0 47.0 44.0 48.0 49.0 38.0 0.0 0.0
Aktywa obrotowe 11 729.0 10 396.0 10 245.0 11 735.0 9 886.0 9 282.0 9 694.0 11 021.0 10 516.0 9 656.0 10 078.0 11 405.0 9 829.0 8 930.0 8 771.0 10 901.0 8 870.0 8 014.0 8 192.0 10 175.0 8 857.0 8 996.0 10 683.0 14 551.0 12 540.0 11 268.0 12 040.0 13 520.0 10 539.0 8 315.0 8 344.0 9 922.0 8 802.0 7 762.0 8 304.0 9 865.0 7 897.0 7 753.0 8 562.0 9 955.0 8 224.0
Środki pieniężne i Inwestycje 3 888.0 3 739.0 3 495.0 3 347.0 3 281.0 3 065.0 3 451.0 3 118.0 3 921.0 3 599.0 3 490.0 3 340.0 3 133.0 2 633.0 2 330.0 1 304.0 1 980.0 1 561.0 1 609.0 1 205.0 2 229.0 3 919.0 5 305.0 5 681.0 5 494.0 4 338.0 4 340.0 3 465.0 2 936.0 640.0 840.0 932.0 1 874.0 1 030.0 1 093.0 636.0 1 447.0 1 711.0 1 387.0 643.0 1 578.0
Zapasy 5 174.0 4 930.0 4 995.0 6 651.0 5 051.0 4 719.0 4 908.0 6 331.0 4 864.0 4 637.0 5 167.0 6 663.0 5 209.0 4 964.0 5 016.0 8 168.0 5 409.0 5 195.0 5 208.0 7 569.0 5 174.0 3 993.0 4 136.0 7 459.0 5 612.0 5 721.0 6 417.0 8 553.0 5 965.0 6 258.0 6 043.0 7 294.0 5 140.0 5 219.0 5 651.0 7 562.0 4 958.0 5 225.0 5 706.0 7 806.0 5 085.0
Inwestycje krótkoterminowe 1 456.0 1 566.0 1 695.0 1 650.0 1 305.0 1 220.0 1 590.0 1 777.0 1 681.0 1 948.0 2 125.0 2 237.0 2 032.0 785.0 465.0 76.0 183.0 195.0 320.0 120.0 101.0 107.0 108.0 545.0 65.0 60.0 690.0 625.0 0.0 0.0 125.0 0.0 178.0 200.0 227.0 251.0 0.0 184.0 147.0 0.0 0.0
Środki pieniężne i inne aktywa pieniężne 2 432.0 2 173.0 1 800.0 1 697.0 1 976.0 1 845.0 1 861.0 1 341.0 2 240.0 1 651.0 1 365.0 1 103.0 1 101.0 1 848.0 1 865.0 1 228.0 1 980.0 1 561.0 1 289.0 1 205.0 2 229.0 3 919.0 5 305.0 5 136.0 5 494.0 4 278.0 4 340.0 3 465.0 2 936.0 640.0 840.0 932.0 1 874.0 1 030.0 1 093.0 636.0 1 447.0 1 527.0 1 387.0 643.0 1 578.0
Należności krótkoterminowe 5 030.0 4 584.0 4 680.0 6 184.0 4 450.0 4 397.0 4 800.0 6 233.0 4 984.0 4 599.0 5 072.0 6 587.0 4 873.0 4 619.0 5 338.0 7 964.0 5 257.0 4 718.0 5 045.0 7 232.0 5 288.0 4 428.0 6 613.0 9 110.0 6 979.0 6 360.0 6 946.0 8 405.0 6 803.0 5 492.0 5 406.0 7 056.0 5 687.0 4 874.0 5 471.0 7 133.0 4 637.0 4 664.0 5 542.0 7 145.0 4 980.0
Dług krótkoterminowy 41.0 383.0 382.0 350.0 395.0 44.0 43.0 43.0 44.0 45.0 44.0 545.0 544.0 550.0 47.0 46.0 56.0 1 292.0 1 300.0 1 302.0 1 348.0 3 289.0 2 029.0 2 040.0 1 524.0 1 433.0 1 410.0 1 305.0 1 322.0 1 287.0 1 273.0 654.0 1 308.0 1 265.0 1 245.0 1 243.0 1 262.0 1 241.0 1 233.0 628.0 627.0
Zobowiązania krótkoterminowe 7 777.0 6 721.0 6 838.0 8 397.0 6 925.0 6 334.0 6 800.0 8 166.0 7 122.0 6 470.0 7 105.0 9 152.0 7 817.0 7 055.0 7 229.0 9 933.0 7 513.0 7 171.0 7 576.0 9 726.0 8 060.0 8 804.0 10 080.0 12 945.0 10 521.0 9 641.0 10 357.0 11 946.0 10 674.0 8 635.0 8 650.0 10 170.0 8 979.0 7 908.0 8 433.0 10 010.0 7 909.0 7 649.0 8 451.0 9 948.0 8 016.0
Rozliczenia międzyokresowe 737.0 689.0 687.0 709.0 766.0 728.0 749.0 757.0 845.0 760.0 810.0 801.0 838.0 656.0 713.0 730.0 736.0 674.0 732.0 716.0 782.0 788.0 966.0 1 066.0 1 028.0 1 031.0 1 147.0 1 283.0 1 419.0 1 385.0 1 406.0 1 353.0 1 390.0 1 271.0 1 246.0 1 179.0 1 253.0 1 165.0 1 183.0 878.0 951.0
Zobowiązania długoterminowe 2 479.0 2 130.0 2 106.0 2 103.0 2 216.0 2 141.0 2 135.0 2 115.0 2 025.0 1 986.0 1 992.0 1 481.0 1 620.0 1 607.0 1 578.0 2 055.0 2 082.0 4 025.0 4 117.0 4 075.0 4 052.0 3 391.0 3 554.0 4 171.0 3 959.0 3 906.0 3 887.0 3 878.0 3 810.0 3 849.0 3 877.0 3 858.0 4 029.0 3 987.0 4 050.0 4 060.0 4 005.0 4 021.0 4 066.0 3 437.0 3 958.0
Rezerwy z tytułu odroczonego podatku 0.0 0.0 0.0 0.0 391.0 0.0 0.0 0.0 359.0 0.0 0.0 0.0 230.0 20.0 15.0 12.0 273.0 10.0 9.0 9.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 22.0 0.0 0.0 0.0 51.0 (260.0) (254.0) (250.0) 2 220.0 2 222.0 0.0 0.0 0.0
Zobowiązania długoterminowe 2 479.0 2 130.0 2 106.0 2 103.0 2 216.0 2 141.0 2 135.0 2 115.0 2 025.0 1 986.0 1 992.0 1 481.0 1 620.0 1 607.0 1 578.0 2 055.0 2 082.0 4 025.0 4 117.0 4 075.0 4 052.0 3 391.0 3 554.0 4 171.0 3 959.0 3 906.0 3 887.0 3 878.0 3 810.0 3 849.0 3 877.0 3 858.0 4 029.0 3 987.0 4 050.0 4 060.0 4 005.0 4 021.0 4 066.0 3 437.0 3 958.0
Zobowiązania z tytułu leasingu 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 2 812.0 2 898.0 2 869.0 2 836.0 2 759.0 2 880.0 2 802.0 2 743.0 2 637.0 2 733.0 2 747.0 2 722.0 2 757.0 2 850.0 2 854.0 2 818.0 2 753.0 2 869.0 2 884.0 2 830.0 2 835.0 2 926.0 0.0 0.0
Zobowiązania ogółem 10 256.0 8 851.0 8 944.0 10 500.0 9 141.0 8 475.0 8 935.0 10 281.0 9 147.0 8 456.0 9 097.0 10 633.0 9 437.0 8 662.0 8 807.0 11 988.0 9 595.0 11 196.0 11 693.0 13 801.0 12 112.0 12 195.0 13 634.0 17 116.0 14 480.0 13 547.0 14 244.0 15 824.0 14 484.0 12 484.0 12 527.0 14 028.0 13 008.0 11 895.0 12 483.0 14 070.0 11 914.0 11 670.0 12 517.0 13 385.0 11 974.0
Kapitał (fundusz) podstawowy 35.0 35.0 34.0 34.0 32.0 32.0 32.0 31.0 31.0 31.0 30.0 30.0 28.0 28.0 27.0 27.0 27.0 27.0 26.0 26.0 26.0 26.0 26.0 26.0 26.0 25.0 25.0 24.0 23.0 22.0 22.0 22.0 22.0 22.0 22.0 22.0 22.0 22.0 22.0 0.0 0.0
Zyski zatrzymane 4 141.0 4 009.0 4 092.0 4 135.0 4 130.0 4 078.0 3 991.0 3 953.0 4 399.0 4 202.0 3 996.0 3 818.0 3 270.0 3 082.0 2 863.0 2 685.0 2 985.0 3 038.0 2 965.0 2 809.0 3 158.0 3 126.0 3 413.0 3 659.0 4 233.0 3 762.0 3 975.0 3 917.0 2 668.0 2 417.0 2 522.0 2 597.0 2 430.0 2 454.0 2 491.0 2 482.0 2 683.0 2 722.0 2 775.0 0.0 0.0
Kapitał własny 5 000.0 4 868.0 4 622.0 4 650.0 4 378.0 4 426.0 4 319.0 4 261.0 4 709.0 4 499.0 4 347.0 4 152.0 3 612.0 3 420.0 3 186.0 3 012.0 3 306.0 3 354.0 3 285.0 3 125.0 3 479.0 3 410.0 3 778.0 4 086.0 4 587.0 4 158.0 4 335.0 4 278.0 3 020.0 2 767.0 2 892.0 2 993.0 2 795.0 2 793.0 2 835.0 2 812.0 3 053.0 3 082.0 3 107.0 3 633.0 3 340.0
Udziały mniejszościowe 5.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Pasywa 15 256.0 13 719.0 13 566.0 15 150.0 13 519.0 12 901.0 13 254.0 14 542.0 13 856.0 12 955.0 13 444.0 14 785.0 13 049.0 12 082.0 11 993.0 15 000.0 12 901.0 14 550.0 14 978.0 16 926.0 15 591.0 15 605.0 17 412.0 21 202.0 19 067.0 17 705.0 18 579.0 20 102.0 17 504.0 15 251.0 15 419.0 17 021.0 15 803.0 14 688.0 15 318.0 16 882.0 14 967.0 14 752.0 15 624.0 17 018.0 14 782.0
Inwestycje 1 456.0 1 566.0 1 695.0 1 650.0 1 305.0 1 220.0 1 590.0 1 777.0 1 681.0 1 948.0 2 125.0 2 237.0 2 032.0 785.0 465.0 76.0 209.0 223.0 320.0 190.0 190.0 214.0 223.0 545.0 156.0 60.0 823.0 737.0 104.0 55.0 67.0 44.0 225.0 246.0 274.0 295.0 48.0 233.0 185.0 0.0 0.0
Dług 1 621.0 1 607.0 1 609.0 1 615.0 1 734.0 1 378.0 1 384.0 1 367.0 1 365.0 1 347.0 1 354.0 1 329.0 1 355.0 1 342.0 848.0 1 326.0 1 388.0 4 019.0 4 134.0 4 097.0 4 069.0 5 303.0 4 193.0 4 728.0 4 082.0 3 991.0 4 100.0 3 985.0 3 938.0 3 942.0 4 049.0 1 158.0 3 978.0 3 923.0 4 029.0 4 029.0 3 982.0 3 984.0 4 096.0 4 065.0 4 053.0
Środki pieniężne i inne aktywa pieniężne 2 432.0 2 173.0 1 800.0 1 697.0 1 976.0 1 845.0 1 861.0 1 341.0 2 240.0 1 651.0 1 365.0 1 103.0 1 101.0 1 848.0 1 865.0 1 228.0 1 980.0 1 561.0 1 289.0 1 205.0 2 229.0 3 919.0 5 305.0 5 136.0 5 494.0 4 278.0 4 340.0 3 465.0 2 936.0 640.0 840.0 932.0 1 874.0 1 030.0 1 093.0 636.0 1 447.0 1 527.0 1 387.0 643.0 1 578.0
Dług netto (811.0) (566.0) (191.0) (82.0) (242.0) (467.0) (477.0) 26.0 (875.0) (304.0) (11.0) 226.0 254.0 (506.0) (1 017.0) 98.0 (592.0) 2 458.0 2 845.0 2 892.0 1 840.0 1 384.0 (1 112.0) (408.0) (1 412.0) (287.0) (240.0) 520.0 1 002.0 3 302.0 3 209.0 226.0 2 104.0 2 893.0 2 936.0 3 393.0 2 535.0 2 457.0 2 709.0 3 422.0 2 475.0
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