Honda Motor Co. Ltd.

OTC: HNDAF · Real-Time Price · USD
10.54
-0.05 (-0.47%)
At close: Aug 15, 2025, 12:09 PM

Honda Motor Cash Flow Statement

Financials in JPY. Fiscal year is undefined.
Fiscal Year Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021 Dec 31, 2020 Sep 30, 2020 Jun 30, 2020
Net Income
1,152.8B 1,298.3B 1,199.9B 1,381.8B 1,502.1B 1,343.3B 1,301.6B 1,215.7B 938.19B 1,084.3B 1,025.6B 996.23B 1,070.2B 1,100.6B 1,202.2B 1,298.8B 914.05B 662.46B 482.77B 426.67B
Depreciation & Amortization
742.86B 1,524.1B 1,572.5B 1,581.7B 1,579.5B 788.11B 738.1B 745.9B 721.63B 689.96B 660.38B 621.2B 611.06B 637.68B 637.95B 626.11B 624.24B 614.7B 666.26B 679.28B
Stock-Based Compensation
n/a 453M 453M 453M 453M 286M 286M 286M 286M 159M 159M 159M 159M 129M 129M 129M 129M 140M 140M 140M
Other Working Capital
-862.61B -994.51B -1,048B -1,118.3B -968.57B -733.74B -448.08B 202.62B 1,019.3B 1,338.8B 1,555.6B 1,087.4B 485.43B 58.8B -300.75B -552.15B -228.08B -47.44B -75.86B 64.69B
Other Non-Cash Items
-254.2B 912.93B 928.3B 820.7B 701.23B -288.24B -302.2B -316.52B -328.01B -469.47B -467.96B -287.48B -304.25B -305.96B -379.81B -305.49B -273.62B -213.68B -89.97B -253.07B
Deferred Income Tax
n/a n/a n/a n/a n/a -286M -286M -286M -286M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Change in Working Capital
-1,349.3B -1,359.1B -1,367.4B -1,417B -1,138.2B -1,005.2B -569.91B 61.93B 797.21B 1,139.7B 1,504.8B 960.53B 302.62B -238.31B -591.73B -468.07B -192.29B 136.73B 12.29B -140.82B
Operating Cash Flow
292.15B 478.88B 436.02B 469.89B 747.28B 837.99B 1,167.6B 1,707B 2,129B 2,444.6B 2,722.9B 2,290.5B 1,679.6B 1,194B 868.58B 1,151.4B 1,072.4B 1,200.2B 1,071.4B 712.06B
Capital Expenditures
-847.43B -774.23B -734.38B -704.74B -608.66B -517.76B -545.53B -608.13B -632.49B -631.35B -552.7B -463.58B -449.23B -483.49B -520.56B -538.23B -551.14B -583.39B -589.57B -579.91B
Cash Acquisitions
-134.66B -83.22B -126.7B -78.34B -118.06B -124.57B -10.15B 29.59B 107.97B 175.22B 140.45B 104.52B 70.56B 18.25B -89.17B -93.43B -95.95B -107.92B -12.4B -13B
Purchase of Investments
-419.22B -504.87B -477.3B -331.9B -346.96B -266.94B -324.3B -416.06B -527.33B -547.23B -589.51B -539.62B -488.63B -531.03B -519.03B -520.43B -433.38B -354.38B -220.68B -261.21B
Sales Maturities Of Investments
447.96B 398.17B 239.13B 178.82B 201.37B 267.96B 378.9B 547.56B 488.64B 584.16B 540.37B 450.72B 534.69B 479.19B 406.39B 332.27B 276.81B 186.52B 261.8B 281.88B
Other Investing Acitivies
-325.25B -435.77B -346.85B -272.01B -201.22B 6.51B -37.45B -79.31B -114.84B -159.77B -152.04B -151.9B -153.97B -240.13B -314.3B -394.35B -451.91B -450.06B -434.31B -422.92B
Investing Cash Flow
-941.97B -962.62B -1,097.2B -933.28B -867.27B -634.79B -538.53B -526.36B -678.06B -578.97B -578B -525.63B -376.06B -514.98B -720.35B -816.28B -796.88B -847.17B -547.15B -560.66B
Debt Repayment
1,413.5B 1,559B 1,738.5B 1,635.4B 1,494B 948.64B 261.94B -391.01B -1,046.9B -887B -1,025.1B -765.1B -311.32B -712.7B -377.51B -303.85B -96.73B 441.87B 481.9B 445.65B
Common Stock Repurchased
-291.92B -329.36B -329.79B -203.08B -250.01B -279.45B -272.5B -216B -156.88B -89.87B -72.16B -62.57B -62.57B -62.7B -19.42B -3M 120M -56.6B -96.07B -96.07B
Dividend Paid
-347.81B -347.81B -330.37B -330.37B -241.87B -241.87B -202.13B -202.13B -213.47B -213.47B -206.39B -206.39B -188.4B -233.31B -171B -190B -145.09B -149.11B -165.58B -195.87B
Other Financial Acitivies
-63.14B -67.01B -85.19B -86.56B -83.47B -74.2B -59.85B -64.64B -51.38B -52.3B -52.41B -50.37B -53.81B -49.34B -53.3B -43.35B -42.31B -41.93B -49.31B -45.39B
Financial Cash Flow
280.48B 814.79B 993.2B 1,015.4B 918.65B 353.13B -272.55B -873.78B -1,468.4B -1,242.4B -1,355.8B -1,084.2B -615.72B -1,057.6B -620.81B -536.78B -283.98B 194.23B 170.95B 108.33B
Net Cash Flow
-425.77B 640.32B 205.54B 917.64B 1,175.3B 749.39B 505.17B 453.27B 128.08B 904.64B 1,316.1B 1,126.7B 916.91B -182.84B -346.06B -104.31B 85.67B 431.46B 630.37B 216.57B
Free Cash Flow
-555.28B -295.34B -298.36B -234.85B 138.61B 320.23B 622.11B 1,098.9B 1,496.5B 1,813.2B 2,170.2B 1,826.9B 1,230.4B 710.5B 348.01B 613.17B 521.24B 616.82B 481.78B 132.15B