ROSS STORES, INC.

Annual Trend FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 TTM
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Net earnings $1.1b
$1.4b +21.93%
$1.6b +16.49%
$1.7b +4.63%
$85.4m -94.86%
$1.7b +1917.51%
$1.5b -12.22%
$1.9b +23.97%
$2.1b +11.53%
$2.1b +2.60%
Net Income (Loss) Attributable to Parent
$1.1b +9.50%
$1.4b +21.93%
$1.6b +16.49%
$1.7b +4.63%
$85.4m -94.86%
$1.7b +1917.51%
$1.5b -12.22%
$1.9b +23.97%
$2.1b +11.53%
$2.1b +2.60%
Depreciation, Depletion and Amortization $302.5m $313.2m $330.4m $350.9m $364.2m $360.7m $394.7m $419.4m $446.8m $509.4m $526.1m
Deferred Income Tax Expense (Benefit) ($8.7m) ($34.9m) $31.8m $32.0m ($27.8m) $15.8m $79.4m ($20.8m) ($9.2m) $74.4m $86.2m
Share-based Payment Arrangement, Expense $74.6m $87.4m $95.6m $195.2m
Share-based Payment Arrangement, Noncash Expense $74.6m $87.4m $95.6m $95.4m $101.6m $134.2m $121.9m $145.5m $156.3m $175.4m $195.2m
Stock-based compensation $74.6m $87.4m $95.6m $95.4m $101.6m $134.2m $121.9m $145.5m $156.3m $175.4m $195.2m
Changes in operating assets and liabilities:
Increase (Decrease) in Inventories $93.8m $128.8m $108.7m $81.9m ($323.4m) $753.3m ($238.8m) $168.7m $252.3m $186.5m ($307.1m)
Merchandise inventory ($93.8m) ($128.8m) ($108.7m) ($81.9m) $323.4m ($753.3m) $238.8m ($168.7m) ($252.3m) ($186.5m)
Accounts payable $83.1m $41.3m $110.5m $114.2m $938.8m $135.3m ($365.3m) ($65.3m) $154.7m $285.2m $480.2m
Accrued capital expenditures $297.9m $371.4m $413.9m $555.5m $405.4m $557.8m $654.1m $762.8m $720.1m $819.3m
Increase (Decrease) in Other Operating Assets $928k $31.8m $30.8m
Increase (Decrease) in Other Operating Liabilities $76.7m $49.1m $37.1m
Other current assets ($928k) ($31.8m) ($22.0m) ($10.3m) ($39.4m) $1.4m ($39.5m) ($2.3m) ($27.3m) ($47.4m) ($39.5m)
Other current liabilities $76.7m $49.1m $74.8m $30.5m $171.4m $198.6m ($304.5m) $297.0m ($123.6m) $50.8m $167.4m
Net Cash Provided by (Used in) Operating Activities
$1.6b +17.54%
$1.7b +7.86%
$2.1b +22.92%
$2.2b +5.07%
$2.2b +3.43%
$1.7b -22.58%
$1.7b -2.85%
$2.5b +48.84%
$2.4b -6.26%
$3.0b +28.42%
$3.5b +14.08%
Cash flows from investing activities:
Gain (Loss) on Disposition of Property Plant Equipment $0 $61.6m $0 ($61.6m)
Gain on sale of property $0 $0 ($61.6m) $0
Payments to Acquire Property, Plant, and Equipment $297.9m $371.4m $413.9m $555.5m $405.4m $557.8m $654.1m $762.8m $720.1m $819.3m ($820.9m)
Proceeds from sale of property $0 $0 $82.6m $0 $0
Payments to Acquire Investments $0
Restricted Cash and Investments, Current $13.6m
Net Cash Provided by (Used in) Investing Activities ($292.8m) ($354.8m) ($410.4m) ($555.0m) ($405.4m) ($557.8m) ($654.1m) ($762.8m) ($637.5m) ($819.3m) ($820.9m)
Cash flows from financing activities:
Gain (Loss) on Extinguishment of Debt $0 ($240.0m) $0
Payment of long-term debt $0 $0 ($85.0m) $0 ($775.0m) ($65.0m) $0 $0 ($250.0m) ($700.0m)
Proceeds from Issuance of Long-term Debt $0 $3.0b $0 $0
Repayments of Long-term Debt $0 $85.0m $0 $775.0m $65.0m $0 $0 $250.0m $700.0m ($500.0m)
Issuance of common stock related to stock plans $18.5m $18.5m $20.1m $22.2m $23.5m $25.1m $24.7m $24.9m $25.1m $25.3m
Payments for Repurchase of Common Stock $700.0m $875.0m $1.1b $1.3b $132.5m $650.0m $950.0m $950.0m $1.0b $1.1b
Payments of Ordinary Dividends, Common Stock $214.6m $247.5m $337.2m $369.8m $101.4m $405.1m $431.3m $454.8m $488.7m $528 ($538.3m)
Repurchase of common stock ($700.0m) ($875.0m) ($1.1b) ($1.3b) ($132.5m) ($650.0m) ($950.0m) ($950.0m) ($1.0b) ($1.1b)
Dividends paid ($215) ($248) ($337) ($370) ($101) ($405) ($431) ($455) ($489) ($528) ($538.3m)
Payments of Dividends $214.6m $247.5m $337.2m $369.8m $101.4m $405.1m $431.3m $454.8m $488.7m $528 ($538.3m)
Net Cash Provided by (Used in) Financing Activities
($916.1m) -1.93%
($1.1b) -25.48%
($1.5b) -33.23%
($1.7b) -9.91%
$1.7b +201.11%
($1.2b) -167.71%
($1.4b) -21.96%
($1.4b) -1.64%
($1.9b) -30.10%
($2.3b) -26.02%
($2.3b) +2.56%
Net (decrease) increase in cash, cash equivalents, and restricted cash and cash equivalents $346.6m $177.1m $124.8m ($66.7m) $3.5b $28.6m ($370.1m) $323.2m ($139.0m) ($134.5m)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect $346.6m $177.1m $124.8m ($66.7m) $3.5b $28.6m ($370.1m) $323.2m ($139.0m) ($134.5m) $4.2b
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $346.6m $1.4b $1.5b $1.4b $5.0b $5.0b $4.6b $4.9b $4.8b $4.7b $4.2b
Additional Supplementary Disclosures
Additional Supplementary Disclosures
Additional Financial Items
Beginning of year $761.6m $1.1b $1.5b $1.4b $5.0b $5.0b $4.6b $4.9b $4.8b $4.7b
Gain (Loss) on Disposition of Assets $0 $6.3m $0
Income Tax Expense (Benefit) $668.5m $678.0m $463.4m $503.4m $20.9m $536.0m $475.4m $597.3m $666.4m $697.1m
Income Taxes Paid, Net $628.4m $714.6m $427.9m $506.6m $8.9m $564.8m $362.2m $595.2m $703.1m $605.6m
Income taxes ($1.7m) $3.7m ($35.2m) $39.8m ($44.6m) $33.9m $22.9m ($27.5m) $17.2m
Interest Paid, Excluding Capitalized Interest, Operating Activities $18.1m $18.1m $18.1m $12.7m $72.5m $84.3m $80.3m $80.3m $80.3m $55.8m
Operating lease assets and liabilities, net $0 $0 $15.6m $13.7m $7.6m $9.3m $8.3m $12.6m $2.4m
Other long-term, net $7.8m $29.4m ($33.1m) ($567k) $34.9m ($39.5m) $8.6m $3.9m ($2.7m) $995k
Supplemental disclosure of cash flow information:
Treasury stock purchased ($43.3m) ($45.4m) ($54.4m) ($60.7m) ($45.2m) ($57.3m) ($48.9m) ($48.6m) ($86.1m) ($79.9m)

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.