Toyota Motor Corporation

NYSE: TM · Real-Time Price · USD
193.52
1.04 (0.54%)
At close: Aug 15, 2025, 3:59 PM
189.80
-1.92%
After-hours: Aug 15, 2025, 07:43 PM EDT

Toyota Motor Cash Flow Statement

Financials in JPY. Fiscal year is April - March.
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
4,841.3B 5,170.7B 4,361.5B 5,108.4B 5,071.4B 4,560.5B 3,920.9B 3,061.6B 2,493B 2,454.8B 2,529.1B 2,706.3B 2,874.6B 3,167.6B 3,216.2B 3,059.5B 2,282.4B 1,562.4B 1,281.1B 1,351.9B
Depreciation & Amortization
2,251.2B 2,237.4B 2,195.1B 2,156.5B 2,087.1B 2,040.5B 2,043.7B 2,042.3B 2,039.9B 2,014.1B 1,966.6B 1,885.5B 1,821.9B 1,768.6B 1,705.1B 1,686B 1,644.3B 1,629.8B 1,631.9B 1,605.1B
Stock-Based Compensation
n/a 1.86B 1.86B 1.86B 1.86B 808M 808M 808M 808M 772M 772M 772M 772M 364M 364M 364M 364M 477M 477M 477M
Other Working Capital
-2,815.6B -2,490.6B -2,452.6B -3,563.1B -3,340.6B -1,479.6B -1,072.8B -87.75B 428.39B -826.49B -338.42B -374.29B -676.43B -1,454.7B -1,679.6B -1,785.9B -1,063.6B -1,163.7B -837.13B -582.9B
Other Non-Cash Items
-1,362.5B -1,010.8B -1,147.1B -1,438.9B -765.72B -872.12B -822.5B -842.86B -1,251.9B -1,448.6B -1,096.5B -1,034.6B -709.51B -406.38B -639.4B -535.33B -362.69B 168.82B 111.54B 98.95B
Deferred Income Tax
782.52B 1,076.7B 1,528.1B 2,008.4B 1,893.7B 1,596.1B 1,435B 1,305.9B 1,175.8B 1,167.4B 1,151.6B 1,048.7B 1,115.9B 1,132.3B 1,131.3B 1,011.9B 649.98B 339.02B 171.97B 104.89B
Change in Working Capital
-2,815.6B -3,686.5B -3,648.6B -4,759.1B -4,536.6B -3,410.4B -3,003.7B -2,018.6B -1,502.5B -1,433.1B -945.05B -980.92B -1,283.1B -1,838.9B -2,063.8B -2,170.1B -1,447.7B -1,163.7B -837.13B -666.85B
Operating Cash Flow
3,696.9B 4,244B 3,745.5B 3,531.8B 4,206.4B 3,915.3B 3,574.4B 3,549.2B 2,955.1B 2,907B 3,508.6B 3,527.7B 3,722.6B 3,534.6B 3,310.4B 3,012.9B 2,727.2B 2,535.9B 2,435.3B 2,728.6B
Capital Expenditures
-5,100.1B -5,844.8B -5,610.5B -5,371.3B -5,048.4B -4,475.4B -4,175.1B -3,976.2B -3,705.8B -3,657.3B -3,528.5B -3,595.6B -3,830.2B -3,945.7B -4,185.8B -4,087.2B -3,767.9B -3,561.8B -3,387.3B -3,416.5B
Cash Acquisitions
640.01B 1,280.7B 1,716.2B 2,180.7B 1,928.9B 1,706.9B 1,670.4B 1,659.1B 1,715.6B 1,296.8B 1,170.5B 1,004.6B 925.25B 1,231.5B 1,264.9B 1,295.6B 1,133.8B 1,161.3B 855.3B 910.44B
Purchase of Investments
-3,228.4B -3,377.5B -4,289.2B -3,495.8B -2,972.8B -1,972B -1,505.8B -1,411.2B -1,150.2B -1,742.4B -1,773.2B -1,913B -2,427.9B -2,715.3B -2,922.2B -3,005.4B -2,729.2B -3,050.3B -2,653.7B -2,712.8B
Sales Maturities Of Investments
3,138.7B 2,624.6B 3,192B 2,145.2B 2,251.4B 2,175.1B 1,804.5B 1,806.6B 1,333.7B 1,209.1B 1,733.7B 1,844.5B 2,202.6B 2,284.8B 2,015.2B 2,109.4B 2,061.9B 2,757.8B 2,680.3B 2,369.1B
Other Investing Acitivies
227.5B 1,025.1B -441.43B -1,740B -1,157.8B -1,750B -1,262B -343.41B 207.83B 527.57B 1,152.9B 903.14B 2,451.9B 2,323.8B 849.23B -31.85B -1,382.8B -1,457.9B -657.6B 510.55B
Investing Cash Flow
-4,189.7B -4,291.9B -5,432.9B -6,281.3B -4,998.8B -4,315.4B -3,468B -2,265B -1,598.9B -2,265.3B -1,143.8B -1,655.5B -577.5B -820.86B -2,978.6B -3,719.5B -4,684.2B -4,151.1B -3,220.9B -2,397.1B
Debt Repayment
2,585B 2,712B 3,794.5B 3,597.4B 3,706.8B 3,295.6B 2,124.5B 1,156.5B 1,163.6B 526.3B 98.64B 431.29B -1,300.2B -630.65B -143.17B -556.56B 3,201.4B 3,094.6B 3,150.1B 3,484.7B
Common Stock Repurchased
-1,179B -1,085.3B -1,018B -215.66B -231.07B -286.11B -352.06B -344.17B -431.1B -424.97B -350.44B -504.51B -404.72B -316.38B -249.87B -21.59B -74M -105.82B -176B -421.82B
Dividend Paid
-1,132.3B -1,132.3B -1,011.8B -1,011.8B -880.2B -880.2B -816.97B -816.97B -727.98B -727.98B -718.21B -718.21B -709.87B -709.87B -671.03B -671.03B -625.51B -614.33B -605.88B -605.88B
Other Financial Acitivies
-76.39B -103.36B -110.95B -98.35B -97.94B -53.85B -57.22B -70.68B -60.67B -84.83B -77.46B -57.42B -51.72B -52.2B -47.79B -38.16B -36.6B -35.86B -48.32B 11.07B
Financial Cash Flow
197.24B 391.01B 1,653.8B 2,271.6B 2,497.6B 2,075.5B 898.28B -75.32B -56.18B -711.48B -1,047.5B -848.85B -2,466.5B -1,709.1B -1,111.9B -1,287.4B 2,739.2B 2,526.8B 2,514.3B 2,662.4B
Net Cash Flow
2,737.1B 3,868.8B 2,872.2B 2,857.4B 1,895.1B 1,561.1B 945.89B 1,221.4B 1,403.3B 251.86B 2,025.3B 1,671.6B 1,012.8B 1,290.2B -559.6B -1,788.1B 1,002.4B 911.09B 1,728.4B 3,224.8B
Free Cash Flow
-1,403.1B -1,600.8B -1,865B -1,839.5B -842.02B -560.15B -600.72B -426.96B -750.76B -750.26B -19.9B -67.84B -107.63B -411.08B -875.38B -1,074.3B -1,040.8B -1,026B -574.67B -60.96B