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NAME:

TICKER SYMBOL:
PRIMARY SIC CODE:
STOCK EXCHANGE:
CUSIP:

HOME DEPOT INC


HD
5211
11

New York Stock Exchange

437076

STATEMENT OF FINANCIAL POSITION


Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

ASSETS
Cash & Equivalents
Receivables - Total (Net)

807.000

614.000

457.000

525.000

2,396.000

3,223.000

1,259.000

972.000

11,401.000

12,822.000

11,731.000

10,673.000

42.000

44.000

31.000

18.000

700.000

1,297.000

1,196.000

1,174.000

15,346.000

18,000.000

14,674.000

13,362.000

31,530.000

34,358.000

36,412.000

36,477.000

Accumulated Depreciation

6,629.000

7,753.000

8,936.000

10,243.000

Plant, Property & Equip (Net)

24,901.000

26,605.000

27,476.000

26,234.000

.000

.000

.000

.000

Inventories - Total
Prepaid Expenses
Current Assets - Other

Current Assets - Total

Plant, Property & Equip (Gross)

Investments at Equity
Investments and Advances - Other
Intangibles

348.000

343.000

342.000

36.000

3,684.000

7,092.000

1,309.000

1,134.000

Deferred Charges
Assets - Other

.000
203.000

223.000

523.000

398.000

44,482.000

52,263.000

44,324.000

41,164.000

6,032.000

7,356.000

5,732.000

4,822.000

900.000

.000

1,747.000

.000

2,763.000

3,201.000

2,938.000

2,768.000

Taxes Payable

388.000

217.000

60.000

289.000

Debt (Long-Term) Due In One Year

513.000

18.000

300.000

1,767.000

2,305.000

2,139.000

1,929.000

1,507.000

12,901.000

12,931.000

12,706.000

11,153.000

1,638.000

4,455.000

1,511.000

1,684.000

TOTAL ASSETS

LIABILITIES
Accounts Payable
Notes Payable
Accrued Expenses

Other Current Liabilities

Total Current Liabilities

Net working capital

Long Term Debt

2,672.000

11,643.000

11,383.000

9,667.000

Deferred Taxes (Balance Sheet)

1,023.000

1,416.000

688.000

369.000

.000

.000

.000

.000

977.000

1,243.000

1,833.000

2,198.000

.000

.000

.000

.000

17,573.000

27,233.000

26,610.000

23,387.000

Investment Tax Credit


Liabilities - Other
Noncontrolling Interest - Redeemable

TOTAL LIABILITIES

SHAREHOLDERS' EQUITY
Preferred Stock

.000

.000

.000

.000

Common Stock

120.000

121.000

85.000

85.000

Capital Surplus

7,149.000

7,930.000

5,800.000

6,048.000

29,352.000

33,362.000

12,143.000

12,016.000

9,712.000

16,383.000

314.000

372.000

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL SHAREHOLDERS EQUITY

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL LIABILITIES AND EQUITY

44,482.000

52,263.000

44,324.000

41,164.000

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Retained Earnings (Net Other)


Less: Treasury Stock
Shareholders Equity - Parent
Noncontrolling Interest - Nonredeemable

INCOME STATEMENT
Fiscal Year:
(FYR Ending):
Sales (Net)
Cost of Goods Sold

Gross Profit

81,511.000

90,837.000

77,349.000

71,288.000

54,191.000

61,054.000

51,352.000

47,268.000

27,320.000

29,783.000

25,997.000

24,020.000

Selling, General, & Admin Expenses

16,394.000

18,348.000

16,965.000

16,927.000

Operating Income Before Depreciation

10,926.000

11,435.000

9,032.000

7,093.000

Depreciation, Depletion, & Amortiz

1,472.000

1,762.000

1,702.000

1,783.000

9,454.000

9,673.000

7,330.000

5,310.000

Interest Expense

194.000

427.000

742.000

644.000

Non-Operating Income/Expense

113.000

74.000

120.000

38.000

Special Items

-91.000

-12.000

-88.000

-1,114.000

9,282.000

9,308.000

6,620.000

3,590.000

3,444.000

3,547.000

2,410.000

1,278.000

Operating Income After Depreciation

Pretax Income
Income Taxes - Total

Minority Interest

.000

.000

.000

.000

Income Before EI&DO

5,838.000

5,761.000

4,210.000

2,312.000

Extraordinary Items

.000

.000

.000

.000

Discontinued Operations

.000

.000

185.000

-52.000

Net Income (Loss)

5,838.000

5,761.000

4,395.000

2,260.000

Income Before EI&DO

5,838.000

5,761.000

4,210.000

2,312.000

Preferred Dividends

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

EPS - Primary, Excluding EI&DO

2.730

2.800

2.280

1.370

EPS - Primary, Including EI&DO

2.730

2.800

2.380

1.340

EPS - Fully Diluted, Excluding EI&DO

2.720

2.790

2.270

1.370

EPS - Fully Diluted, Including EI&DO

2.720

2.790

2.370

1.340

Common Shares for Primary EPS Calculation

2,138.000

2,054.000

1,849.000

1,682.000

Common Shares for Fully Diluted EPS Calc.

2,147.000

2,062.000

1,856.000

1,686.000

Common Shares Outstanding at Fiscal Yr End

2,124.000

1,970.000

1,690.000

1,696.000

Available for Common Before EI&DO


Common Stock Equivalents - Savings

Adjusted Available for Common

EARNINGS PER SHARE

COMMON SHARES

STATEMENT OF RETAINED EARNINGS


Fiscal Year:
(FYR Ending):
Retained Rearnings - Beginning Balance

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

24,189.000

29,352.000

33,362.000

12,143.000

5,838.000

5,761.000

4,395.000

2,260.000

857.000

1,395.000

1,709.000

1,521.000

29,170.000

33,718.000

36,048.000

12,882.000

Adj. to Long-Term Marketable Securities

.000

.000

.000

.000

Other CMP Adj,(Stock Splits/Retirement)

.000

-22.000

-32.000

-33.000

182.000

-334.000

-23,873.000

-833.000

29,352.000

33,362.000

12,143.000

12,016.000

Retroactive Adjustments (Acct'g Chgs)

.000

.000

.000

.000

Retained Earnings - After Adjustments

29,352.000

33,362.000

12,143.000

12,016.000

Net Income
Cash Dividends

Retained Earnings After Dividends


Change - Foreign Currency Translation

Non-Compustat Adjustments (Plug Calculation)

Retained Earnings - Ending Balance

STATEMENT OF CASH FLOWS


Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

INDIRECT OPERATING ACTIVITIES


Income Before Extraordinary Items

5,838.000

5,761.000

4,210.000

2,312.000

Depreciation and Amortizations

1,579.000

1,886.000

1,906.000

1,902.000

Extraordinary Items and Disc. Operations


Deferred Taxes
Equity in Net Loss (Earnings)
Sale of PPEq and Investments - Loss (Gain)

.000

.000

185.000

-52.000

-609.000

46.000

-348.000

-282.000

.000

.000

.000

.000

.000

.000

.000

.000

253.000

297.000

207.000

919.000

Receivables - Decrease (Increase)

-358.000

96.000

116.000

121.000

Inventory - Decrease (Increase)

-971.000

-563.000

-491.000

743.000

12.000

531.000

-465.000

-646.000

Income Taxes - Accrued - Increase(Decrease)

175.000

-172.000

.000

262.000

Other Assets and Liabilities - Net Change

565.000

-221.000

407.000

249.000

6,484.000

7,661.000

5,727.000

5,528.000

Investments - Increase

.000

.000

.000

.000

Sale of Investments

.000

.000

.000

.000

Short term Investments - Change

1,677.000

25.000

-326.000

-29.000

Capital Expenditures

3,881.000

3,542.000

3,558.000

1,847.000

164.000

138.000

318.000

147.000

2,546.000

4,268.000

13.000

.000

.000

.000

8,337.000

.000

-4,586.000

-7,647.000

4,758.000

-1,729.000

Funds from Operations - Other

Accounts/P and Accrued Liabs - Inc(Dec)

Operating Actiities - Net Cash Flow

INVESTING ACTIVITIES

Sale of Property Plant and Equipment


Acquisitions
Investing Activities - Other

Investing Activites - Net Cash Flow

FINANCING ACTIVITIES
Sale of Common and Preferred Stock

414.000

381.000

276.000

84.000

3,040.000

6,684.000

10,815.000

70.000

Cash Dividends

857.000

1,395.000

1,709.000

1,521.000

Long Term Debt - Issuance

995.000

8,935.000

.000

.000

24.000

509.000

20.000

313.000

900.000

-900.000

1,734.000

-1,732.000

.000

-31.000

-105.000

-128.000

-1,612.000

-203.000

-10,639.000

-3,680.000

1.000

-4.000

-1.000

-45.000

287.000

-193.000

-155.000

74.000

Purchase of Common and Preferred Stock

Long Term Debt - Reduction


Current Debt - Changes
Financing Activities - Other

Financing Activities - Net Cash Flow

Exchange Rate Effect

Cash and Cash Equivalents - Change

OTHER INFORMATION
Interest Paid - Net<

114.000

270.000

672.000

622.000

Income Taxes Paid

3,860.000

3,963.000

2,524.000

1,265.000

ADDITIONAL SCHEDULES
Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Receivables - Trade

2,396.000

3,223.000

1,259.000

972.000

Income Tax Refund

.000

.000

.000

.000

Receivables - Other - Current

.000

.000

.000

.000

2,396.000

3,223.000

1,259.000

972.000

Receivables - Total (Net)

Inventories - Raw Materials

.000

Inventories - Work In Process

.000

Inventories - Finished Goods

10,673.000

Inventories - Other

Inventories - Total

.000

11,401.000

12,822.000

11,731.000

10,673.000

-513.000

-18.000

-300.000

-1,767.000

Debt - Convertible Subordinated

.000

.000

.000

.000

Debt - Senior Convertible

.000

.000

.000

.000

LESS: Debt (Long Term) Due In One Year

Debt - Subordinated

.000

.000

.000

.000

2,492.000

10,931.000

10,966.000

10,998.000

.000

.000

.000

.000

Debt - Long Term - Other

312.000

311.000

302.000

19.000

Debt - Capitalized Lease Obligations

381.000

419.000

415.000

417.000

2,672.000

11,643.000

11,383.000

9,667.000

3,881.000

3,542.000

3,558.000

1,847.000

31,530.000

34,358.000

36,412.000

36,477.000

Debt - Notes
Debt - Debentures

Long Term Debt Total

Property, Plant and Equipment (Cost)


Beginning Balance
Capital Expenditures
Retirements
Other Changes

Ending Balance

Accumulated Depreciation on PPE


Beginning Balance
Depreciation Expense

Depletion Expense
Retirements
Other Changes

Ending Balance

6,629.000

7,753.000

8,936.000

10,243.000

Deferred Taxes - Federal

-527.000

-9.000

-242.000

-209.000

Deferred Taxes - Foreign

25.000

-4.000

-15.000

-23.000

Deferred Taxes - State

-111.000

-9.000

17.000

-56.000

Income Taxes - Federal

3,394.000

2,831.000

2,055.000

1,283.000

Income Taxes - Foreign

156.000

329.000

310.000

85.000

Income Taxes - State

507.000

409.000

285.000

198.000

Income Taxes - Other

.000

.000

.000

.000

Income Taxes - Total

3,444.000

3,547.000

2,410.000

1,278.000

Common Shares Reserved For Conversion


Convertible Debt
Preferred Stock
Stock Options
Warrants and Other

Total

ADDITIONAL DATA
Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Acquisitions - Income Contribution

.000

.000

Acquisitions - Sales Contribution

.000

.000

Adjustmnet Factor-Cum, Ex-Date


Advertising Expense

1.000

1.000

1.000

1.000

1,100.000

1,100.000

1,200.000

1,000.000

5.100

5.000

3.400

Average Short Term Borrowing Rate


Average Short term Borrowing
Common Shareholders (# of)

300.000

526.000

403.000

2,090.000

1,880.000

1,560.000

1,356.000

.000

.000

.000

.000

16.000

301.000

1,800.000

1,000.000

Common Shares Traded (Calendar Yr)


Compensating Balance
Convertible Debt and Preferred Stock
Debt (Long Term) Maturing Due in 2 Years
Debt (Long Term) Maturing Due in 3 Years

300.000

1,800.000

1,000.000

1,000.000

Debt (Long Term) Maturing Due in 4 Years Years

1,000.000

1,000.000

1,000.000

24.000

Debt (Long Term) Maturing Due in 5 Years

1,000.000

1,000.000

23.000

1,300.000

381.000

419.000

415.000

Debt - Long-Term Debt - Tied to Prime


Debt - Martgages and Other Securities

3,047.000
417.000

Debt - Unamortized Debt Discount and Other

.000

Dividends (Cash)per Share Ex-Date

.000

.000

.000

.400

.675

.900

.900

Dividends (Cash) - Common

857.000

1,395.000

1,709.000

1,521.000

Dividends (Cash) - Preferred

.000

.000

.000

.000

Employees (# of)

344.810

364.400

331.000

322.000

44,482.000

52,263.000

44,324.000

41,164.000

409.000

332.000

787.000

-44.000

51.000

47.000

46.000

20.000

.000

.000

.000

.000

LIFO Reserve

.000

.000

.000

.000

Order Backlog

.000

.000

.000

.000

Preferred Stock - Dividends In Arrears

.000

.000

.000

.000

Preferred Stock - Liquidation Value

.000

.000

.000

.000

Equity in Earnings - Unconsolidated Subs


Foreign Currency Translation Adj - Bal. Sheet
Foreign Currency Translation Adj - Inc. Stmnt.
Interest Capitalized (in fiscal yr)
Interest Capitalized - Net Income Effect
Interest Expense on Long Term Debt
Investment Tax Credit
Labor Related Expenses

Preferred Stock - Redemption Value

.000

.000

.000

.000

1,634.000

1,866.000

1,887.000

1,849.000

40.550

40.740

30.640

21.530

Rental Commitments - Minimum Year+1

706.000

917.000

802.000

804.000

Rental Commitments - Minimum Year+2

669.000

846.000

716.000

724.000

Rental Commitments - Minimum Year+3

618.000

734.000

644.000

642.000

Rental Commitments - Minimum Year+4

558.000

647.000

582.000

572.000

Rental Commitments - Minimum Year+5

535.000

566.000

523.000

522.000

Rental Expense

782.000

958.000

824.000

846.000

.000

.000

.000

.000

Present Value - Noncapitalized Leases


Price - Calendar Year Close
Price - Calendar Year High
Price - Calendar Year Low
Price - Fiscal Year Close
Receivables - Estimated Doubtful

Rental Income
Research and Development Expense
Tax Loss Carry Forward

5.000

Treasury Stock ($) - Common

9,712.000

16,383.000

314.000

372.000

Treasury Stock ($) - Preferred

.000

.000

.000

.000

277.000

451.000

8.000

11.000

Treasury Stock - # Shares

INPUTS INTO FINANCIAL STATEMENTS AND


MARKET RELATIONS
Fiscal Year:
(FYR Ending):
Cash & Equivalents
Receivables - Total (Net)
Inventories - Total

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

807.000

614.000

457.000

525.000

2,396.000

3,223.000

1,259.000

972.000

11,401.000

12,822.000

11,731.000

10,673.000

Prepaid Expenses

42.000

44.000

31.000

18.000

Current Assets - Other

700.000

1,297.000

1,196.000

1,174.000

Current Assets - Total

15,346.000

18,000.000

14,674.000

13,362.000

Plant, Property & Equip (Gross)

31,530.000

34,358.000

36,412.000

36,477.000

Accumulated Depreciation
Plant, Property & Equip (Net)
Investments at Equity

6,629.000

7,753.000

8,936.000

10,243.000

24,901.000

26,605.000

27,476.000

26,234.000

.000

.000

.000

.000

348.000

343.000

342.000

36.000

3,684.000

7,092.000

1,309.000

1,134.000

203.000

223.000

523.000

398.000

TOTAL ASSETS

44,482.000

52,263.000

44,324.000

41,164.000

Accounts Payable

6,032.000

7,356.000

5,732.000

4,822.000

900.000

.000

1,747.000

.000

2,763.000

3,201.000

2,938.000

2,768.000

Taxes Payable

388.000

217.000

60.000

289.000

Debt (Long-Term) Due In One Year

513.000

18.000

300.000

1,767.000

Investments and Advances - Other


Intangibles
Deferred Charges
Assets - Other

Notes Payable
Accrued Expenses

.000

Other Current Liabilities

5,068.000

5,340.000

4,867.000

4,275.000

Total Current Liabilities

12,901.000

12,931.000

12,706.000

11,153.000

Long Term Debt

2,672.000

11,643.000

11,383.000

9,667.000

Deferred Taxes (Balance Sheet)

1,023.000

1,416.000

688.000

369.000

.000

.000

.000

.000

977.000

1,243.000

1,833.000

2,198.000

17,573.000

27,233.000

26,610.000

23,387.000

.000

.000

.000

.000

Investment Tax Credit


Liabilities - Other
TOTAL LIABILITIES
Noncontrolling Interest - Redeemable
Preferred Stock

.000

.000

.000

.000

Common Stock

120.000

121.000

85.000

85.000

Capital Surplus

7,149.000

7,930.000

5,800.000

6,048.000

29,352.000

33,362.000

12,143.000

12,016.000

9,712.000

16,383.000

314.000

372.000

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL SHAREHOLDERS EQUITY

26,909.000

25,030.000

17,714.000

17,777.000

Sales (Net)

81,511.000

90,837.000

77,349.000

71,288.000

Cost of Goods Sold

54,191.000

61,054.000

51,352.000

47,268.000

Gross Profit

27,320.000

29,783.000

25,997.000

24,020.000

Selling, General, & Admin Expenses

16,394.000

18,348.000

16,965.000

16,927.000

Operating Income Before Depreciation

10,926.000

11,435.000

9,032.000

7,093.000

Depreciation, Depletion, & Amortization

1,472.000

1,762.000

1,702.000

1,783.000

Operating Income After Depreciation

Retained Earnings (Net Other)


Less: Treasury Stock
Shareholders Equity - Parent
Noncontrolling Interest - Nonredeemable

9,454.000

9,673.000

7,330.000

5,310.000

Interest Expense

194.000

427.000

742.000

644.000

Non-Operating Income/Expense

113.000

74.000

120.000

38.000

Special Items
Pretax Income

-91.000

-12.000

-88.000

-1,114.000

9,282.000

9,308.000

6,620.000

3,590.000

Income Taxes - Total


Minority Interest
INCOME BEFORE EI&DO
Extraordinary Items
Discontinued Operations
Net Income (Loss)
Preferred Dividends

3,444.000

3,547.000

2,410.000

1,278.000

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

.000

.000

.000

.000

.000

.000

185.000

-52.000

5,838.000

5,761.000

4,395.000

2,260.000

.000

.000

.000

.000

EPS - Primary - Excluding EI&DO

2.730

2.800

2.280

1.370

EPS - Primary - Including EI&DO

2.730

2.800

2.380

1.340

EPS - Fully Diluted - Excluding EI&DO

2.720

2.790

2.270

1.370

EPS - Fully Diluted - Including EI&DO

2.720

2.790

2.370

1.340

SHARES - for Primary EPS Calculation

2,138.000

2,054.000

1,849.000

1,682.000

SHARES - for Fully Diluted EPS Calculation

2,147.000

2,062.000

1,856.000

1,686.000

SHARES - Outstanding at Fiscal Year End

2,124.000

1,970.000

1,690.000

1,696.000

Operating Activities - Net Cash Flow

6,484.000

7,661.000

5,727.000

5,528.000

Capital Expenditures

3,881.000

3,542.000

3,558.000

1,847.000

STATEMENT OF CASH FLOWS

Sale of Property Plant and Equipment

164.000

138.000

318.000

147.000

2,546.000

4,268.000

13.000

.000

-4,586.000

-7,647.000

4,758.000

-1,729.000

857.000

1,395.000

1,709.000

1,521.000

114.000

270.000

672.000

622.000

3,860.000

3,963.000

2,524.000

1,265.000

900.000

-900.000

1,734.000

-1,732.000

1.000

1.000

1.000

1.000

1,100.000

1,100.000

1,200.000

1,000.000

.400

.675

.900

.900

Dividends (Cash) - Common

857.000

1,395.000

1,709.000

1,521.000

Dividends (Cash) - Preferred

.000

.000

.000

.000

Preferred Stock - Liquidation Value

.000

.000

.000

.000

Preferred Stock - Redemption Value

.000

.000

.000

.000

40.550

40.740

30.640

21.530

782.000

958.000

824.000

846.000

.000

.000

.000

.000

Acquisitions
Investing Activites - Net Cash Flow
Cash Dividends
CASH STATEMENT - SOURCE & USE
Interest Paid - Net
Income Taxes Paid
Funds From Operations - Total
Current Debt - Changes
Working Capital Changes - Other - Inc(Dec)
Adjustmnet Factor-Cum, Ex-Date
Advertising Expense
Dividends (Cash)per Share Ex-Date

Price - Calendar Year Close


Price - Fiscal Year Close
Receivables - Estimated Doubtful
Rental Expense
Research and Development Expense

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

1,427.000

545.000

1,987.000

ROW
94
80
12
18
41
156

2,494.000

964.000

1,085.000

1,245.000

1,395.000

10,188.000

10,625.000

10,325.000

10,710.000

1,321.000

1,224.000

963.000

773.000

13,900.000

13,479.000

14,520.000

15,372.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

25,550.000

25,060.000

24,448.000

24,069.000

.000

.000

.000

.000

33.000

139.000

135.000

140.000

1,171.000

1,187.000

1,120.000

1,170.000

223.000

260.000

295.000

333.000

40,877.000

40,125.000

40,518.000

41,084.000

4,863.000

4,717.000

4,856.000

5,376.000

.000

.000

.000

.000

2,846.000

2,800.000

3,317.000

3,471.000

SIGN
+
-

.000

108.000

13.000

23.000

22.000

1,020.000

1,042.000

30.000

1,321.000

1,526.000

1,550.000

1,150.000

1,272.000

10,363.000

10,122.000

9,376.000

11,462.000

2,110.000

2,812.000

3,157.000

1,416.000

ROW
111

8,662.000

8,707.000

10,758.000

9,475.000

319.000

272.000

340.000

319.000

.000

.000

.000

.000

2,140.000

2,135.000

2,146.000

2,051.000

.000

.000

.000

.000

21,484.000

21,236.000

22,620.000

23,307.000

.000

.000

.000

.000

86.000

86.000

87.000

88.000

6,304.000

6,556.000

6,966.000

7,948.000

13,588.000

15,440.000

17,539.000

20,435.000

585.000

3,193.000

6,694.000

10,694.000

19,393.000

18,889.000

17,898.000

17,777.000

.000

.000

.000

.000

19,393.000

18,889.000

17,898.000

17,777.000

40,877.000

40,125.000

40,518.000

41,084.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

65,955.000

67,997.000

70,395.000

74,754.000

43,571.000

44,693.000

46,133.000

48,912.000

22,384.000

23,304.000

24,262.000

25,842.000

15,732.000

15,849.000

16,028.000

16,411.000

6,652.000

7,455.000

8,234.000

9,431.000

1,703.000

1,616.000

1,573.000

1,568.000

4,949.000

5,839.000

6,661.000

7,863.000

680.000

533.000

609.000

635.000

22.000

18.000

16.000

23.000

-309.000

-51.000

.000

-30.000

3,982.000

5,273.000

6,068.000

7,221.000

1,362.000

1,935.000

2,185.000

2,686.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

41.000

.000

.000

.000

2,661.000

3,338.000

3,883.000

4,535.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

1.560

2.030

2.490

3.030

1.580

2.030

2.490

3.030

1.550

2.010

2.470

3.000

1.570

2.010

2.470

3.000

1,683.000

1,648.000

1,562.000

1,499.000

1,692.000

1,658.000

1,570.000

1,511.000

1,698.000

1,623.000

1,537.000

1,484.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

12,016.000

13,588.000

15,440.000

17,539.000

2,661.000

3,338.000

3,883.000

4,535.000

1,525.000

1,569.000

1,632.000

1,743.000

13,152.000

15,357.000

17,691.000

20,331.000

2.000

2.000

2.000

2.000

-22.000

-145.000

-154.000

-150.000

458.000

228.000

2.000

254.000

13,588.000

15,440.000

17,539.000

20,435.000

.000

.000

.000

.000

13,588.000

15,440.000

17,539.000

20,435.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

2,620.000

3,338.000

3,883.000

4,535.000

1,806.000

1,718.000

1,682.000

1,684.000

41.000

.000

.000

.000

-227.000

104.000

170.000

107.000

.000

.000

.000

.000

.000

.000

.000

.000

364.000

214.000

215.000

315.000

-23.000

-102.000

-170.000

-143.000

625.000

-355.000

256.000

-350.000

59.000

-133.000

422.000

698.000

-174.000

-85.000

14.000

87.000

34.000

-114.000

179.000

42.000

5,125.000

4,585.000

6,651.000

6,975.000

.000

.000

.000

.000

.000

.000

.000

.000

33.000

.000

.000

.000

966.000

1,096.000

1,221.000

1,312.000

178.000

84.000

56.000

50.000

.000

.000

65.000

170.000

.000

.000

101.000

.000

-755.000

-1,012.000

-1,129.000

-1,432.000

73.000

104.000

306.000

784.000

213.000

2,608.000

3,470.000

3,984.000

1,525.000

1,569.000

1,632.000

1,743.000

.000

998.000

1,994.000

.000

1,774.000

1,029.000

1,028.000

32.000

.000

.000

-64.000

-347.000

-218.000

-59.000

-3,503.000

-4,451.000

-4,048.000

-5,034.000

35.000

2.000

-32.000

-2.000

902.000

-876.000

1,442.000

507.000

664.000

579.000

580.000

617.000

2,082.000

2,067.000

1,865.000

2,482.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

964.000

1,085.000

1,245.000

1,395.000

.000

.000

.000

.000

.000

.000

.000

.000

964.000

1,085.000

1,245.000

1,395.000

.000

.000

.000

.000

.000

.000

.000

.000

10,188.000

10,625.000

10,325.000

10,710.000

.000

.000

.000

.000

10,188.000

10,625.000

10,325.000

10,710.000

-1,020.000

-1,042.000

-30.000

-1,321.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

9,257.000

9,288.000

10,331.000

10,298.000

.000

.000

.000

.000

17.000

9.000

8.000

6.000

408.000

452.000

449.000

492.000

8,662.000

8,707.000

10,758.000

9,475.000

966.000

1,096.000

1,221.000

1,312.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

-121.000

79.000

199.000

114.000

-29.000

25.000

1.000

-21.000

-24.000

21.000

35.000

1.000

1,157.000

1,478.000

1,566.000

2,060.000

195.000

151.000

150.000

230.000

184.000

181.000

234.000

302.000

.000

.000

.000

.000

1,362.000

1,935.000

2,185.000

2,686.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

.000

.000

.000

.000

.000

.000

1.000

1.000

1.000

1.000

897.000

864.000

846.000

831.000

1.100

.400

.500

55.000

5.000

44.000

1,371.000

1,194.000

1,203.000

1,212.000

.000

.000

.000

.000

1,000.000

29.000

1,300.000

32.000

30.000

1,300.000

30.000

29.000

1,300.000

28.000

27.000

3,100.000

33.000

26.000

3,100.000

27.000

1,250.000

1,750.000

1,750.000

452.000

449.000

492.000

408.000

.000

.000

.000

.000

.900

.945

1.040

1.160

1,525.000

1,569.000

1,632.000

1,743.000

.000

.000

.000

.000

317.000

321.000

331.000

340.000

40,877.000

40,125.000

40,518.000

41,084.000

382.000

588.000

445.000

545.000

4.000

3.000

3.000

3.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

1,887.000

1,941.000

1,960.000

2,040.000

28.010

36.770

44.390

66.920

802.000

783.000

800.000

856.000

717.000

699.000

746.000

807.000

640.000

639.000

682.000

747.000

584.000

582.000

637.000

656.000

535.000

543.000

557.000

582.000

823.000

821.000

823.000

849.000

.000

.000

.000

.000

585.000

3,193.000

6,694.000

10,694.000

.000

.000

.000

.000

18.000

99.000

196.000

270.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

1,427.000

545.000

1,987.000

2,494.000

964.000

1,085.000

1,245.000

1,395.000

10,188.000

10,625.000

10,325.000

10,710.000

1,321.000

1,224.000

963.000

773.000

13,900.000

13,479.000

14,520.000

15,372.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

25,550.000

25,060.000

24,448.000

24,069.000

.000

.000

.000

.000

33.000

139.000

135.000

140.000

1,171.000

1,187.000

1,120.000

1,170.000

223.000

260.000

295.000

333.000

40,877.000

40,125.000

40,518.000

41,084.000

4,863.000

4,717.000

4,856.000

5,376.000

.000

.000

.000

.000

2,846.000

2,800.000

3,317.000

3,471.000

108.000

13.000

23.000

22.000

1,020.000

1,042.000

30.000

1,321.000

.000

4,372.000

4,350.000

4,467.000

4,743.000

10,363.000

10,122.000

9,376.000

11,462.000

8,662.000

8,707.000

10,758.000

9,475.000

319.000

272.000

340.000

319.000

.000

.000

.000

.000

2,140.000

2,135.000

2,146.000

2,051.000

21,484.000

21,236.000

22,620.000

23,307.000

.000

.000

.000

.000

.000

.000

.000

.000

86.000

86.000

87.000

88.000

6,304.000

6,556.000

6,966.000

7,948.000

13,588.000

15,440.000

17,539.000

20,435.000

585.000

3,193.000

6,694.000

10,694.000

19,393.000

18,889.000

17,898.000

17,777.000

.000

.000

.000

.000

19,393.000

18,889.000

17,898.000

17,777.000

65,955.000

67,997.000

70,395.000

74,754.000

43,571.000

44,693.000

46,133.000

48,912.000

22,384.000

23,304.000

24,262.000

25,842.000

15,732.000

15,849.000

16,028.000

16,411.000

6,652.000

7,455.000

8,234.000

9,431.000

1,703.000

1,616.000

1,573.000

1,568.000

4,949.000

5,839.000

6,661.000

7,863.000

680.000

533.000

609.000

635.000

22.000

18.000

16.000

23.000

-309.000

-51.000

.000

-30.000

3,982.000

5,273.000

6,068.000

7,221.000

1,362.000

1,935.000

2,185.000

2,686.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

41.000

.000

.000

.000

2,661.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

1.560

2.030

2.490

3.030

1.580

2.030

2.490

3.030

1.550

2.010

2.470

3.000

1.570

2.010

2.470

3.000

1,683.000

1,648.000

1,562.000

1,499.000

1,692.000

1,658.000

1,570.000

1,511.000

1,698.000

1,623.000

1,537.000

1,484.000

5,125.000

4,585.000

6,651.000

6,975.000

966.000

1,096.000

1,221.000

1,312.000

178.000

84.000

56.000

50.000

.000

.000

65.000

170.000

-755.000

-1,012.000

-1,129.000

-1,432.000

1,525.000

1,569.000

1,632.000

1,743.000

664.000

579.000

580.000

617.000

2,082.000

2,067.000

1,865.000

2,482.000

.000

.000

1.000

1.000

1.000

1.000

897.000

864.000

846.000

831.000

.900

.945

1.040

1.160

1,525.000

1,569.000

1,632.000

1,743.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

28.010

36.770

44.390

66.920

823.000

821.000

823.000

849.000

.000

.000

.000

.000

2005

2006

2007

2008

2009

Net income
Depreciation
Cash
Total current assets
Total current liabilities
Capital expenditures

Working capital calculation


Total current assets - cash
Total current liabilities
Net working capital (excl cash)
Increase in NWC
Owner earnings
Net income
Depreciation
Increase in NWC
Capital expenditures
Owner earnings

Dividend discount model


Owner earnings in 2012
Number of shares outstanding
OE per share

Assumed required return


Assumed constant growth rate
DDM Value
Current price

2012
0

al calculation

arnings

nd discount model

2010

2011

2012

NAME:
TICKER SYMBOL:
PRIMARY SIC CODE:
STOCK EXCHANGE:
CUSIP:

HOME DEPOT INC


HD
5211
11

New York Stock Exchange

437076

STATEMENT OF FINANCIAL POSITION


Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

ASSETS
Cash & Equivalents
Receivables - Total (Net)

807.000

614.000

457.000

525.000

2,396.000

3,223.000

1,259.000

972.000

11,401.000

12,822.000

11,731.000

10,673.000

42.000

44.000

31.000

18.000

700.000

1,297.000

1,196.000

1,174.000

15,346.000

18,000.000

14,674.000

13,362.000

31,530.000

34,358.000

36,412.000

36,477.000

Accumulated Depreciation

6,629.000

7,753.000

8,936.000

10,243.000

Plant, Property & Equip (Net)

24,901.000

26,605.000

27,476.000

26,234.000

.000

.000

.000

.000

Inventories - Total
Prepaid Expenses
Current Assets - Other

Current Assets - Total

Plant, Property & Equip (Gross)

Investments at Equity
Investments and Advances - Other
Intangibles

348.000

343.000

342.000

36.000

3,684.000

7,092.000

1,309.000

1,134.000

Deferred Charges
Assets - Other

.000
203.000

223.000

523.000

398.000

44,482.000

52,263.000

44,324.000

41,164.000

6,032.000

7,356.000

5,732.000

4,822.000

900.000

.000

1,747.000

.000

2,763.000

3,201.000

2,938.000

2,768.000

Taxes Payable

388.000

217.000

60.000

289.000

Debt (Long-Term) Due In One Year

513.000

18.000

300.000

1,767.000

2,305.000

2,139.000

1,929.000

1,507.000

12,901.000

12,931.000

12,706.000

11,153.000

1,638.000

4,455.000

TOTAL ASSETS

LIABILITIES
Accounts Payable
Notes Payable
Accrued Expenses

Other Current Liabilities

Total Current Liabilities

Net working capital

1,511.000

1,684.000

2,534.667

2,550.000

.033

.036

Long Term Debt

2,672.000

11,643.000

11,383.000

9,667.000

Deferred Taxes (Balance Sheet)

1,023.000

1,416.000

688.000

369.000

.000

.000

.000

.000

977.000

1,243.000

1,833.000

2,198.000

.000

.000

.000

.000

17,573.000

27,233.000

26,610.000

23,387.000

Investment Tax Credit


Liabilities - Other
Noncontrolling Interest - Redeemable

TOTAL LIABILITIES

SHAREHOLDERS' EQUITY
Preferred Stock

.000

.000

.000

.000

Common Stock

120.000

121.000

85.000

85.000

Capital Surplus

7,149.000

7,930.000

5,800.000

6,048.000

29,352.000

33,362.000

12,143.000

12,016.000

9,712.000

16,383.000

314.000

372.000

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL SHAREHOLDERS EQUITY

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL LIABILITIES AND EQUITY

44,482.000

52,263.000

44,324.000

41,164.000

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Retained Earnings (Net Other)


Less: Treasury Stock
Shareholders Equity - Parent
Noncontrolling Interest - Nonredeemable

INCOME STATEMENT
Fiscal Year:
(FYR Ending):
Sales (Net)
Cost of Goods Sold

Gross Profit

81,511.000

90,837.000

77,349.000

71,288.000

54,191.000

61,054.000

51,352.000

47,268.000

27,320.000

29,783.000

25,997.000

24,020.000

Selling, General, & Admin Expenses

16,394.000

18,348.000

16,965.000

16,927.000

Operating Income Before Depreciation

10,926.000

11,435.000

9,032.000

7,093.000

Depreciation, Depletion, & Amortiz

1,472.000

1,762.000

1,702.000

1,783.000

9,454.000

9,673.000

7,330.000

5,310.000

Interest Expense

194.000

427.000

742.000

644.000

Non-Operating Income/Expense

113.000

74.000

120.000

38.000

Special Items

-91.000

-12.000

-88.000

-1,114.000

9,282.000

9,308.000

6,620.000

3,590.000

3,444.000

3,547.000

2,410.000

1,278.000

Operating Income After Depreciation

Pretax Income
Income Taxes - Total

Minority Interest

.000

.000

.000

.000

Income Before EI&DO

5,838.000

5,761.000

4,210.000

2,312.000

Extraordinary Items

.000

.000

.000

.000

Discontinued Operations

.000

.000

185.000

-52.000

Net Income (Loss)

5,838.000

5,761.000

4,395.000

2,260.000

Income Before EI&DO

5,838.000

5,761.000

4,210.000

2,312.000

Preferred Dividends

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

EPS - Primary, Excluding EI&DO

2.730

2.800

2.280

1.370

EPS - Primary, Including EI&DO

2.730

2.800

2.380

1.340

EPS - Fully Diluted, Excluding EI&DO

2.720

2.790

2.270

1.370

EPS - Fully Diluted, Including EI&DO

2.720

2.790

2.370

1.340

Common Shares for Primary EPS Calculation

2,138.000

2,054.000

1,849.000

1,682.000

Common Shares for Fully Diluted EPS Calc.

2,147.000

2,062.000

1,856.000

1,686.000

Common Shares Outstanding at Fiscal Yr End

2,124.000

1,970.000

1,690.000

1,696.000

Available for Common Before EI&DO


Common Stock Equivalents - Savings

Adjusted Available for Common

EARNINGS PER SHARE

COMMON SHARES

STATEMENT OF RETAINED EARNINGS


Fiscal Year:
(FYR Ending):
Retained Rearnings - Beginning Balance

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

24,189.000

29,352.000

33,362.000

12,143.000

5,838.000

5,761.000

4,395.000

2,260.000

857.000

1,395.000

1,709.000

1,521.000

29,170.000

33,718.000

36,048.000

12,882.000

Adj. to Long-Term Marketable Securities

.000

.000

.000

.000

Other CMP Adj,(Stock Splits/Retirement)

.000

-22.000

-32.000

-33.000

182.000

-334.000

-23,873.000

-833.000

29,352.000

33,362.000

12,143.000

12,016.000

Retroactive Adjustments (Acct'g Chgs)

.000

.000

.000

.000

Retained Earnings - After Adjustments

29,352.000

33,362.000

12,143.000

12,016.000

Net Income
Cash Dividends

Retained Earnings After Dividends


Change - Foreign Currency Translation

Non-Compustat Adjustments (Plug Calculation)

Retained Earnings - Ending Balance

STATEMENT OF CASH FLOWS


Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

INDIRECT OPERATING ACTIVITIES


Income Before Extraordinary Items

5,838.000

5,761.000

4,210.000

2,312.000

Depreciation and Amortizations

1,579.000

1,886.000

1,906.000

1,902.000

Extraordinary Items and Disc. Operations


Deferred Taxes
Equity in Net Loss (Earnings)
Sale of PPEq and Investments - Loss (Gain)

.000

.000

185.000

-52.000

-609.000

46.000

-348.000

-282.000

.000

.000

.000

.000

.000

.000

.000

.000

253.000

297.000

207.000

919.000

Receivables - Decrease (Increase)

-358.000

96.000

116.000

121.000

Inventory - Decrease (Increase)

-971.000

-563.000

-491.000

743.000

12.000

531.000

-465.000

-646.000

Income Taxes - Accrued - Increase(Decrease)

175.000

-172.000

.000

262.000

Other Assets and Liabilities - Net Change

565.000

-221.000

407.000

249.000

6,484.000

7,661.000

5,727.000

5,528.000

Investments - Increase

.000

.000

.000

.000

Sale of Investments

.000

.000

.000

.000

Short term Investments - Change

1,677.000

25.000

-326.000

-29.000

Capital Expenditures

3,881.000

3,542.000

3,558.000

1,847.000

164.000

138.000

318.000

147.000

2,546.000

4,268.000

13.000

.000

.000

.000

8,337.000

.000

-4,586.000

-7,647.000

4,758.000

-1,729.000

Funds from Operations - Other

Accounts/P and Accrued Liabs - Inc(Dec)

Operating Actiities - Net Cash Flow

INVESTING ACTIVITIES

Sale of Property Plant and Equipment


Acquisitions
Investing Activities - Other

Investing Activites - Net Cash Flow

FINANCING ACTIVITIES
Sale of Common and Preferred Stock

414.000

381.000

276.000

84.000

3,040.000

6,684.000

10,815.000

70.000

Cash Dividends

857.000

1,395.000

1,709.000

1,521.000

Long Term Debt - Issuance

995.000

8,935.000

.000

.000

24.000

509.000

20.000

313.000

900.000

-900.000

1,734.000

-1,732.000

.000

-31.000

-105.000

-128.000

-1,612.000

-203.000

-10,639.000

-3,680.000

1.000

-4.000

-1.000

-45.000

287.000

-193.000

-155.000

74.000

Purchase of Common and Preferred Stock

Long Term Debt - Reduction


Current Debt - Changes
Financing Activities - Other

Financing Activities - Net Cash Flow

Exchange Rate Effect

Cash and Cash Equivalents - Change

OTHER INFORMATION
Interest Paid - Net<

114.000

270.000

672.000

622.000

Income Taxes Paid

3,860.000

3,963.000

2,524.000

1,265.000

ADDITIONAL SCHEDULES
Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Receivables - Trade

2,396.000

3,223.000

1,259.000

972.000

Income Tax Refund

.000

.000

.000

.000

Receivables - Other - Current

.000

.000

.000

.000

2,396.000

3,223.000

1,259.000

972.000

Receivables - Total (Net)

Inventories - Raw Materials

.000

Inventories - Work In Process

.000

Inventories - Finished Goods

10,673.000

Inventories - Other

Inventories - Total

.000

11,401.000

12,822.000

11,731.000

10,673.000

-513.000

-18.000

-300.000

-1,767.000

Debt - Convertible Subordinated

.000

.000

.000

.000

Debt - Senior Convertible

.000

.000

.000

.000

LESS: Debt (Long Term) Due In One Year

Debt - Subordinated

.000

.000

.000

.000

2,492.000

10,931.000

10,966.000

10,998.000

.000

.000

.000

.000

Debt - Long Term - Other

312.000

311.000

302.000

19.000

Debt - Capitalized Lease Obligations

381.000

419.000

415.000

417.000

2,672.000

11,643.000

11,383.000

9,667.000

3,881.000

3,542.000

3,558.000

1,847.000

31,530.000

34,358.000

36,412.000

36,477.000

Debt - Notes
Debt - Debentures

Long Term Debt Total

Property, Plant and Equipment (Cost)


Beginning Balance
Capital Expenditures
Retirements
Other Changes

Ending Balance

Accumulated Depreciation on PPE


Beginning Balance
Depreciation Expense

Depletion Expense
Retirements
Other Changes

Ending Balance

6,629.000

7,753.000

8,936.000

10,243.000

Deferred Taxes - Federal

-527.000

-9.000

-242.000

-209.000

Deferred Taxes - Foreign

25.000

-4.000

-15.000

-23.000

Deferred Taxes - State

-111.000

-9.000

17.000

-56.000

Income Taxes - Federal

3,394.000

2,831.000

2,055.000

1,283.000

Income Taxes - Foreign

156.000

329.000

310.000

85.000

Income Taxes - State

507.000

409.000

285.000

198.000

Income Taxes - Other

.000

.000

.000

.000

Income Taxes - Total

3,444.000

3,547.000

2,410.000

1,278.000

Common Shares Reserved For Conversion


Convertible Debt
Preferred Stock
Stock Options
Warrants and Other

Total

ADDITIONAL DATA
Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Acquisitions - Income Contribution

.000

.000

Acquisitions - Sales Contribution

.000

.000

Adjustmnet Factor-Cum, Ex-Date


Advertising Expense

1.000

1.000

1.000

1.000

1,100.000

1,100.000

1,200.000

1,000.000

5.100

5.000

3.400

Average Short Term Borrowing Rate


Average Short term Borrowing
Common Shareholders (# of)

300.000

526.000

403.000

2,090.000

1,880.000

1,560.000

1,356.000

.000

.000

.000

.000

16.000

301.000

1,800.000

1,000.000

Common Shares Traded (Calendar Yr)


Compensating Balance
Convertible Debt and Preferred Stock
Debt (Long Term) Maturing Due in 2 Years
Debt (Long Term) Maturing Due in 3 Years

300.000

1,800.000

1,000.000

1,000.000

Debt (Long Term) Maturing Due in 4 Years Years

1,000.000

1,000.000

1,000.000

24.000

Debt (Long Term) Maturing Due in 5 Years

1,000.000

1,000.000

23.000

1,300.000

381.000

419.000

415.000

Debt - Long-Term Debt - Tied to Prime


Debt - Martgages and Other Securities

3,047.000
417.000

Debt - Unamortized Debt Discount and Other

.000

Dividends (Cash)per Share Ex-Date

.000

.000

.000

.400

.675

.900

.900

Dividends (Cash) - Common

857.000

1,395.000

1,709.000

1,521.000

Dividends (Cash) - Preferred

.000

.000

.000

.000

Employees (# of)

344.810

364.400

331.000

322.000

44,482.000

52,263.000

44,324.000

41,164.000

409.000

332.000

787.000

-44.000

51.000

47.000

46.000

20.000

.000

.000

.000

.000

LIFO Reserve

.000

.000

.000

.000

Order Backlog

.000

.000

.000

.000

Preferred Stock - Dividends In Arrears

.000

.000

.000

.000

Preferred Stock - Liquidation Value

.000

.000

.000

.000

Equity in Earnings - Unconsolidated Subs


Foreign Currency Translation Adj - Bal. Sheet
Foreign Currency Translation Adj - Inc. Stmnt.
Interest Capitalized (in fiscal yr)
Interest Capitalized - Net Income Effect
Interest Expense on Long Term Debt
Investment Tax Credit
Labor Related Expenses

Preferred Stock - Redemption Value

.000

.000

.000

.000

1,634.000

1,866.000

1,887.000

1,849.000

40.550

40.740

30.640

21.530

Rental Commitments - Minimum Year+1

706.000

917.000

802.000

804.000

Rental Commitments - Minimum Year+2

669.000

846.000

716.000

724.000

Rental Commitments - Minimum Year+3

618.000

734.000

644.000

642.000

Rental Commitments - Minimum Year+4

558.000

647.000

582.000

572.000

Rental Commitments - Minimum Year+5

535.000

566.000

523.000

522.000

Rental Expense

782.000

958.000

824.000

846.000

.000

.000

.000

.000

Present Value - Noncapitalized Leases


Price - Calendar Year Close
Price - Calendar Year High
Price - Calendar Year Low
Price - Fiscal Year Close
Receivables - Estimated Doubtful

Rental Income
Research and Development Expense
Tax Loss Carry Forward

5.000

Treasury Stock ($) - Common

9,712.000

16,383.000

314.000

372.000

Treasury Stock ($) - Preferred

.000

.000

.000

.000

277.000

451.000

8.000

11.000

Treasury Stock - # Shares

INPUTS INTO FINANCIAL STATEMENTS AND


MARKET RELATIONS
Fiscal Year:
(FYR Ending):
Cash & Equivalents
Receivables - Total (Net)
Inventories - Total

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

807.000

614.000

457.000

525.000

2,396.000

3,223.000

1,259.000

972.000

11,401.000

12,822.000

11,731.000

10,673.000

Prepaid Expenses

42.000

44.000

31.000

18.000

Current Assets - Other

700.000

1,297.000

1,196.000

1,174.000

Current Assets - Total

15,346.000

18,000.000

14,674.000

13,362.000

Plant, Property & Equip (Gross)

31,530.000

34,358.000

36,412.000

36,477.000

Accumulated Depreciation
Plant, Property & Equip (Net)
Investments at Equity

6,629.000

7,753.000

8,936.000

10,243.000

24,901.000

26,605.000

27,476.000

26,234.000

.000

.000

.000

.000

348.000

343.000

342.000

36.000

3,684.000

7,092.000

1,309.000

1,134.000

203.000

223.000

523.000

398.000

TOTAL ASSETS

44,482.000

52,263.000

44,324.000

41,164.000

Accounts Payable

6,032.000

7,356.000

5,732.000

4,822.000

900.000

.000

1,747.000

.000

2,763.000

3,201.000

2,938.000

2,768.000

Taxes Payable

388.000

217.000

60.000

289.000

Debt (Long-Term) Due In One Year

513.000

18.000

300.000

1,767.000

Investments and Advances - Other


Intangibles
Deferred Charges
Assets - Other

Notes Payable
Accrued Expenses

.000

Other Current Liabilities

5,068.000

5,340.000

4,867.000

4,275.000

Total Current Liabilities

12,901.000

12,931.000

12,706.000

11,153.000

Long Term Debt

2,672.000

11,643.000

11,383.000

9,667.000

Deferred Taxes (Balance Sheet)

1,023.000

1,416.000

688.000

369.000

.000

.000

.000

.000

977.000

1,243.000

1,833.000

2,198.000

17,573.000

27,233.000

26,610.000

23,387.000

.000

.000

.000

.000

Investment Tax Credit


Liabilities - Other
TOTAL LIABILITIES
Noncontrolling Interest - Redeemable
Preferred Stock

.000

.000

.000

.000

Common Stock

120.000

121.000

85.000

85.000

Capital Surplus

7,149.000

7,930.000

5,800.000

6,048.000

29,352.000

33,362.000

12,143.000

12,016.000

9,712.000

16,383.000

314.000

372.000

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL SHAREHOLDERS EQUITY

26,909.000

25,030.000

17,714.000

17,777.000

Sales (Net)

81,511.000

90,837.000

77,349.000

71,288.000

Cost of Goods Sold

54,191.000

61,054.000

51,352.000

47,268.000

Gross Profit

27,320.000

29,783.000

25,997.000

24,020.000

Selling, General, & Admin Expenses

16,394.000

18,348.000

16,965.000

16,927.000

Operating Income Before Depreciation

10,926.000

11,435.000

9,032.000

7,093.000

Depreciation, Depletion, & Amortization

1,472.000

1,762.000

1,702.000

1,783.000

Operating Income After Depreciation

Retained Earnings (Net Other)


Less: Treasury Stock
Shareholders Equity - Parent
Noncontrolling Interest - Nonredeemable

9,454.000

9,673.000

7,330.000

5,310.000

Interest Expense

194.000

427.000

742.000

644.000

Non-Operating Income/Expense

113.000

74.000

120.000

38.000

Special Items
Pretax Income

-91.000

-12.000

-88.000

-1,114.000

9,282.000

9,308.000

6,620.000

3,590.000

Income Taxes - Total


Minority Interest
INCOME BEFORE EI&DO
Extraordinary Items
Discontinued Operations
Net Income (Loss)
Preferred Dividends

3,444.000

3,547.000

2,410.000

1,278.000

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

.000

.000

.000

.000

.000

.000

185.000

-52.000

5,838.000

5,761.000

4,395.000

2,260.000

.000

.000

.000

.000

EPS - Primary - Excluding EI&DO

2.730

2.800

2.280

1.370

EPS - Primary - Including EI&DO

2.730

2.800

2.380

1.340

EPS - Fully Diluted - Excluding EI&DO

2.720

2.790

2.270

1.370

EPS - Fully Diluted - Including EI&DO

2.720

2.790

2.370

1.340

SHARES - for Primary EPS Calculation

2,138.000

2,054.000

1,849.000

1,682.000

SHARES - for Fully Diluted EPS Calculation

2,147.000

2,062.000

1,856.000

1,686.000

SHARES - Outstanding at Fiscal Year End

2,124.000

1,970.000

1,690.000

1,696.000

Operating Activities - Net Cash Flow

6,484.000

7,661.000

5,727.000

5,528.000

Capital Expenditures

3,881.000

3,542.000

3,558.000

1,847.000

STATEMENT OF CASH FLOWS

Sale of Property Plant and Equipment

164.000

138.000

318.000

147.000

2,546.000

4,268.000

13.000

.000

-4,586.000

-7,647.000

4,758.000

-1,729.000

857.000

1,395.000

1,709.000

1,521.000

114.000

270.000

672.000

622.000

3,860.000

3,963.000

2,524.000

1,265.000

900.000

-900.000

1,734.000

-1,732.000

1.000

1.000

1.000

1.000

1,100.000

1,100.000

1,200.000

1,000.000

.400

.675

.900

.900

Dividends (Cash) - Common

857.000

1,395.000

1,709.000

1,521.000

Dividends (Cash) - Preferred

.000

.000

.000

.000

Preferred Stock - Liquidation Value

.000

.000

.000

.000

Preferred Stock - Redemption Value

.000

.000

.000

.000

40.550

40.740

30.640

21.530

782.000

958.000

824.000

846.000

.000

.000

.000

.000

Acquisitions
Investing Activites - Net Cash Flow
Cash Dividends
CASH STATEMENT - SOURCE & USE
Interest Paid - Net
Income Taxes Paid
Funds From Operations - Total
Current Debt - Changes
Working Capital Changes - Other - Inc(Dec)
Adjustmnet Factor-Cum, Ex-Date
Advertising Expense
Dividends (Cash)per Share Ex-Date

Price - Calendar Year Close


Price - Fiscal Year Close
Receivables - Estimated Doubtful
Rental Expense
Research and Development Expense

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

1,427.000

545.000

1,987.000

ROW
94
80
12
18
41
156

2,494.000

964.000

1,085.000

1,245.000

1,395.000

10,188.000

10,625.000

10,325.000

10,710.000

1,321.000

1,224.000

963.000

773.000

13,900.000

13,479.000

14,520.000

15,372.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

25,550.000

25,060.000

24,448.000

24,069.000

.000

.000

.000

.000

33.000

139.000

135.000

140.000

1,171.000

1,187.000

1,120.000

1,170.000

223.000

260.000

295.000

333.000

40,877.000

40,125.000

40,518.000

41,084.000

4,863.000

4,717.000

4,856.000

5,376.000

.000

.000

.000

.000

2,846.000

2,800.000

3,317.000

3,471.000

SIGN
+
-

.000

108.000

13.000

23.000

22.000

1,020.000

1,042.000

30.000

1,321.000

1,526.000

1,550.000

1,150.000

1,272.000

10,363.000

10,122.000

9,376.000

11,462.000

2,110.000

2,812.000

3,157.000

1,416.000

1,768.333

2,202.000

2,693.000

2,461.667

111

.027

.032

.038

.033

8,662.000

8,707.000

10,758.000

9,475.000

319.000

272.000

340.000

319.000

.000

.000

.000

.000

2,140.000

2,135.000

2,146.000

2,051.000

.000

.000

.000

.000

21,484.000

21,236.000

22,620.000

23,307.000

.000

.000

.000

.000

86.000

86.000

87.000

88.000

6,304.000

6,556.000

6,966.000

7,948.000

13,588.000

15,440.000

17,539.000

20,435.000

585.000

3,193.000

6,694.000

10,694.000

19,393.000

18,889.000

17,898.000

17,777.000

.000

.000

.000

.000

19,393.000

18,889.000

17,898.000

17,777.000

40,877.000

40,125.000

40,518.000

41,084.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

65,955.000

67,997.000

70,395.000

74,754.000

43,571.000

44,693.000

46,133.000

48,912.000

22,384.000

23,304.000

24,262.000

25,842.000

15,732.000

15,849.000

16,028.000

16,411.000

6,652.000

7,455.000

8,234.000

9,431.000

1,703.000

1,616.000

1,573.000

1,568.000

4,949.000

5,839.000

6,661.000

7,863.000

680.000

533.000

609.000

635.000

22.000

18.000

16.000

23.000

-309.000

-51.000

.000

-30.000

3,982.000

5,273.000

6,068.000

7,221.000

1,362.000

1,935.000

2,185.000

2,686.000

.033

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

41.000

.000

.000

.000

2,661.000

3,338.000

3,883.000

4,535.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

1.560

2.030

2.490

3.030

1.580

2.030

2.490

3.030

1.550

2.010

2.470

3.000

1.570

2.010

2.470

3.000

1,683.000

1,648.000

1,562.000

1,499.000

1,692.000

1,658.000

1,570.000

1,511.000

1,698.000

1,623.000

1,537.000

1,484.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

12,016.000

13,588.000

15,440.000

17,539.000

2,661.000

3,338.000

3,883.000

4,535.000

1,525.000

1,569.000

1,632.000

1,743.000

13,152.000

15,357.000

17,691.000

20,331.000

2.000

2.000

2.000

2.000

-22.000

-145.000

-154.000

-150.000

458.000

228.000

2.000

254.000

13,588.000

15,440.000

17,539.000

20,435.000

.000

.000

.000

.000

13,588.000

15,440.000

17,539.000

20,435.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

2,620.000

3,338.000

3,883.000

4,535.000

1,806.000

1,718.000

1,682.000

1,684.000

41.000

.000

.000

.000

-227.000

104.000

170.000

107.000

.000

.000

.000

.000

.000

.000

.000

.000

364.000

214.000

215.000

315.000

-23.000

-102.000

-170.000

-143.000

625.000

-355.000

256.000

-350.000

59.000

-133.000

422.000

698.000

-174.000

-85.000

14.000

87.000

34.000

-114.000

179.000

42.000

5,125.000

4,585.000

6,651.000

6,975.000

.000

.000

.000

.000

.000

.000

.000

.000

33.000

.000

.000

.000

966.000

1,096.000

1,221.000

1,312.000

178.000

84.000

56.000

50.000

.000

.000

65.000

170.000

.000

.000

101.000

.000

-755.000

-1,012.000

-1,129.000

-1,432.000

73.000

104.000

306.000

784.000

213.000

2,608.000

3,470.000

3,984.000

1,525.000

1,569.000

1,632.000

1,743.000

.000

998.000

1,994.000

.000

1,774.000

1,029.000

1,028.000

32.000

.000

.000

-64.000

-347.000

-218.000

-59.000

-3,503.000

-4,451.000

-4,048.000

-5,034.000

35.000

2.000

-32.000

-2.000

902.000

-876.000

1,442.000

507.000

664.000

579.000

580.000

617.000

2,082.000

2,067.000

1,865.000

2,482.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

964.000

1,085.000

1,245.000

1,395.000

.000

.000

.000

.000

.000

.000

.000

.000

964.000

1,085.000

1,245.000

1,395.000

.000

.000

.000

.000

.000

.000

.000

.000

10,188.000

10,625.000

10,325.000

10,710.000

.000

.000

.000

.000

10,188.000

10,625.000

10,325.000

10,710.000

-1,020.000

-1,042.000

-30.000

-1,321.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

9,257.000

9,288.000

10,331.000

10,298.000

.000

.000

.000

.000

17.000

9.000

8.000

6.000

408.000

452.000

449.000

492.000

8,662.000

8,707.000

10,758.000

9,475.000

966.000

1,096.000

1,221.000

1,312.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

-121.000

79.000

199.000

114.000

-29.000

25.000

1.000

-21.000

-24.000

21.000

35.000

1.000

1,157.000

1,478.000

1,566.000

2,060.000

195.000

151.000

150.000

230.000

184.000

181.000

234.000

302.000

.000

.000

.000

.000

1,362.000

1,935.000

2,185.000

2,686.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

.000

.000

.000

.000

.000

.000

1.000

1.000

1.000

1.000

897.000

864.000

846.000

831.000

1.100

.400

.500

55.000

5.000

44.000

1,371.000

1,194.000

1,203.000

1,212.000

.000

.000

.000

.000

1,000.000

29.000

1,300.000

32.000

30.000

1,300.000

30.000

29.000

1,300.000

28.000

27.000

3,100.000

33.000

26.000

3,100.000

27.000

1,250.000

1,750.000

1,750.000

452.000

449.000

492.000

408.000

.000

.000

.000

.000

.900

.945

1.040

1.160

1,525.000

1,569.000

1,632.000

1,743.000

.000

.000

.000

.000

317.000

321.000

331.000

340.000

40,877.000

40,125.000

40,518.000

41,084.000

382.000

588.000

445.000

545.000

4.000

3.000

3.000

3.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

1,887.000

1,941.000

1,960.000

2,040.000

28.010

36.770

44.390

66.920

802.000

783.000

800.000

856.000

717.000

699.000

746.000

807.000

640.000

639.000

682.000

747.000

584.000

582.000

637.000

656.000

535.000

543.000

557.000

582.000

823.000

821.000

823.000

849.000

.000

.000

.000

.000

585.000

3,193.000

6,694.000

10,694.000

.000

.000

.000

.000

18.000

99.000

196.000

270.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

1,427.000

545.000

1,987.000

2,494.000

964.000

1,085.000

1,245.000

1,395.000

10,188.000

10,625.000

10,325.000

10,710.000

1,321.000

1,224.000

963.000

773.000

13,900.000

13,479.000

14,520.000

15,372.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

25,550.000

25,060.000

24,448.000

24,069.000

.000

.000

.000

.000

33.000

139.000

135.000

140.000

1,171.000

1,187.000

1,120.000

1,170.000

223.000

260.000

295.000

333.000

40,877.000

40,125.000

40,518.000

41,084.000

4,863.000

4,717.000

4,856.000

5,376.000

.000

.000

.000

.000

2,846.000

2,800.000

3,317.000

3,471.000

108.000

13.000

23.000

22.000

1,020.000

1,042.000

30.000

1,321.000

.000

4,372.000

4,350.000

4,467.000

4,743.000

10,363.000

10,122.000

9,376.000

11,462.000

8,662.000

8,707.000

10,758.000

9,475.000

319.000

272.000

340.000

319.000

.000

.000

.000

.000

2,140.000

2,135.000

2,146.000

2,051.000

21,484.000

21,236.000

22,620.000

23,307.000

.000

.000

.000

.000

.000

.000

.000

.000

86.000

86.000

87.000

88.000

6,304.000

6,556.000

6,966.000

7,948.000

13,588.000

15,440.000

17,539.000

20,435.000

585.000

3,193.000

6,694.000

10,694.000

19,393.000

18,889.000

17,898.000

17,777.000

.000

.000

.000

.000

19,393.000

18,889.000

17,898.000

17,777.000

65,955.000

67,997.000

70,395.000

74,754.000

43,571.000

44,693.000

46,133.000

48,912.000

22,384.000

23,304.000

24,262.000

25,842.000

15,732.000

15,849.000

16,028.000

16,411.000

6,652.000

7,455.000

8,234.000

9,431.000

1,703.000

1,616.000

1,573.000

1,568.000

4,949.000

5,839.000

6,661.000

7,863.000

680.000

533.000

609.000

635.000

22.000

18.000

16.000

23.000

-309.000

-51.000

.000

-30.000

3,982.000

5,273.000

6,068.000

7,221.000

1,362.000

1,935.000

2,185.000

2,686.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

41.000

.000

.000

.000

2,661.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

1.560

2.030

2.490

3.030

1.580

2.030

2.490

3.030

1.550

2.010

2.470

3.000

1.570

2.010

2.470

3.000

1,683.000

1,648.000

1,562.000

1,499.000

1,692.000

1,658.000

1,570.000

1,511.000

1,698.000

1,623.000

1,537.000

1,484.000

5,125.000

4,585.000

6,651.000

6,975.000

966.000

1,096.000

1,221.000

1,312.000

178.000

84.000

56.000

50.000

.000

.000

65.000

170.000

-755.000

-1,012.000

-1,129.000

-1,432.000

1,525.000

1,569.000

1,632.000

1,743.000

664.000

579.000

580.000

617.000

2,082.000

2,067.000

1,865.000

2,482.000

.000

.000

1.000

1.000

1.000

1.000

897.000

864.000

846.000

831.000

.900

.945

1.040

1.160

1,525.000

1,569.000

1,632.000

1,743.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

28.010

36.770

44.390

66.920

823.000

821.000

823.000

849.000

.000

.000

.000

.000

Net income
Depreciation
Cash
Total current assets
Total current liabilities
Capital expenditures

Total current assets - cash


Total current liabilities
Net working capital (excl cash)
Increase in NWC

2005
5,838
1,472
807
15,346
12,901
3,881

2006
5,761
1,762
614
18,000
12,931
3,542

2007
4,395
1,702
457
14,674
12,706
3,558

14,539
12,901
1,638

17,386
12,931
4,455
2,817

14,217
12,706
1,511
-2,944

Net income
Depreciation
Increase in NWC
Capital expenditures
Owner earnings

5,761
1,762
2,817
3,542
13,882

4,395
1,702
-2,944
3,558
6,711

2008
2,260
1,783
525
13,362
11,153
1,847

2009
2,661
1,703
1,427
13,900
10,363
966

Working capital calculation


12,837
12,473
11,153
10,363
1,684
2,110
173
426
Owner earnings
2,260
2,661
1,783
1,703
173
426
1,847
966
6,063
5,756

Dividend discount model


Owner earnings in 2012
Number of shares outstanding
OE per share

2012
5,674
1,484
3.82

Assumed required return


Assumed constant growth rate
DDM Value
Current price

12%
3.00%
$43.76
$74.60

2010
3,338
1,616
545
13,479
10,122
1,096

2011
3,883
1,573
1,987
14,520
9,376
1,221

2012
4,535
1,568
2,494
15,372
11,462
1,312

12,934
10,122
2,812
702

12,533
9,376
3,157
345

12,878
11,462
1,416
-1,741

3,338
1,616
702
1,096
6,752

3,883
1,573
345
1,221
7,022

4,535
1,568
-1,741
1,312
5,674

al calculation

arnings

nd discount model

NAME:
TICKER SYMBOL:
PRIMARY SIC CODE:
STOCK EXCHANGE:
CUSIP:

HOME DEPOT INC


HD
5211
11

New York Stock Exchange

437076

STATEMENT OF FINANCIAL POSITION


Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

ASSETS
Cash & Equivalents
Receivables - Total (Net)

807.000

614.000

457.000

525.000

2,396.000

3,223.000

1,259.000

972.000

11,401.000

12,822.000

11,731.000

10,673.000

42.000

44.000

31.000

18.000

700.000

1,297.000

1,196.000

1,174.000

15,346.000

18,000.000

14,674.000

13,362.000

31,530.000

34,358.000

36,412.000

36,477.000

Accumulated Depreciation

6,629.000

7,753.000

8,936.000

10,243.000

Plant, Property & Equip (Net)

24,901.000

26,605.000

27,476.000

26,234.000

.000

.000

.000

.000

Inventories - Total
Prepaid Expenses
Current Assets - Other

Current Assets - Total

Plant, Property & Equip (Gross)

Investments at Equity
Investments and Advances - Other
Intangibles

348.000

343.000

342.000

36.000

3,684.000

7,092.000

1,309.000

1,134.000

Deferred Charges
Assets - Other

.000
203.000

223.000

523.000

398.000

44,482.000

52,263.000

44,324.000

41,164.000

6,032.000

7,356.000

5,732.000

4,822.000

900.000

.000

1,747.000

.000

2,763.000

3,201.000

2,938.000

2,768.000

Taxes Payable

388.000

217.000

60.000

289.000

Debt (Long-Term) Due In One Year

513.000

18.000

300.000

1,767.000

2,305.000

2,139.000

1,929.000

1,507.000

12,901.000

12,931.000

12,706.000

11,153.000

Long Term Debt

2,672.000

11,643.000

11,383.000

9,667.000

Deferred Taxes (Balance Sheet)

1,023.000

1,416.000

688.000

369.000

TOTAL ASSETS

LIABILITIES
Accounts Payable
Notes Payable
Accrued Expenses

Other Current Liabilities

Total Current Liabilities

Investment Tax Credit

.000

.000

.000

.000

977.000

1,243.000

1,833.000

2,198.000

.000

.000

.000

.000

17,573.000

27,233.000

26,610.000

23,387.000

Preferred Stock

.000

.000

.000

.000

Common Stock

120.000

121.000

85.000

85.000

Liabilities - Other
Noncontrolling Interest - Redeemable

TOTAL LIABILITIES

SHAREHOLDERS' EQUITY

Capital Surplus

7,149.000

7,930.000

5,800.000

6,048.000

29,352.000

33,362.000

12,143.000

12,016.000

9,712.000

16,383.000

314.000

372.000

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL SHAREHOLDERS EQUITY

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL LIABILITIES AND EQUITY

44,482.000

52,263.000

44,324.000

41,164.000

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Retained Earnings (Net Other)


Less: Treasury Stock
Shareholders Equity - Parent
Noncontrolling Interest - Nonredeemable

INCOME STATEMENT
Fiscal Year:
(FYR Ending):
Sales (Net)

81,511.000

90,837.000

77,349.000

71,288.000

54,191.000

61,054.000

51,352.000

47,268.000

27,320.000

29,783.000

25,997.000

24,020.000

Selling, General, & Admin Expenses

16,394.000

18,348.000

16,965.000

16,927.000

Operating Income Before Depreciation

10,926.000

11,435.000

9,032.000

7,093.000

Depreciation, Depletion, & Amortiz

1,472.000

1,762.000

1,702.000

1,783.000

9,454.000

9,673.000

7,330.000

5,310.000

Interest Expense

194.000

427.000

742.000

644.000

Non-Operating Income/Expense

113.000

74.000

120.000

38.000

Special Items

-91.000

-12.000

-88.000

-1,114.000

9,282.000

9,308.000

6,620.000

3,590.000

3,444.000

3,547.000

2,410.000

1,278.000

Cost of Goods Sold

Gross Profit

Operating Income After Depreciation

Pretax Income
Income Taxes - Total

.000

.000

.000

.000

Income Before EI&DO

Minority Interest

5,838.000

5,761.000

4,210.000

2,312.000

Extraordinary Items

.000

.000

.000

.000

Discontinued Operations

.000

.000

185.000

-52.000

Net Income (Loss)

5,838.000

5,761.000

4,395.000

2,260.000

Income Before EI&DO

5,838.000

5,761.000

4,210.000

2,312.000

Preferred Dividends

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

EPS - Primary, Excluding EI&DO

2.730

2.800

2.280

1.370

EPS - Primary, Including EI&DO

2.730

2.800

2.380

1.340

EPS - Fully Diluted, Excluding EI&DO

2.720

2.790

2.270

1.370

EPS - Fully Diluted, Including EI&DO

2.720

2.790

2.370

1.340

Common Shares for Primary EPS Calculation

2,138.000

2,054.000

1,849.000

1,682.000

Common Shares for Fully Diluted EPS Calc.

2,147.000

2,062.000

1,856.000

1,686.000

Common Shares Outstanding at Fiscal Yr End

2,124.000

1,970.000

1,690.000

1,696.000

Available for Common Before EI&DO


Common Stock Equivalents - Savings

Adjusted Available for Common

EARNINGS PER SHARE

COMMON SHARES

STATEMENT OF RETAINED EARNINGS


Fiscal Year:
(FYR Ending):
Retained Rearnings - Beginning Balance

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

24,189.000

29,352.000

33,362.000

12,143.000

5,838.000

5,761.000

4,395.000

2,260.000

857.000

1,395.000

1,709.000

1,521.000

29,170.000

33,718.000

36,048.000

12,882.000

Adj. to Long-Term Marketable Securities

.000

.000

.000

.000

Other CMP Adj,(Stock Splits/Retirement)

.000

-22.000

-32.000

-33.000

182.000

-334.000

-23,873.000

-833.000

Net Income
Cash Dividends

Retained Earnings After Dividends


Change - Foreign Currency Translation

Non-Compustat Adjustments (Plug Calculation)

Retained Earnings - Ending Balance

29,352.000

33,362.000

12,143.000

12,016.000

Retroactive Adjustments (Acct'g Chgs)

.000

.000

.000

.000

Retained Earnings - After Adjustments

29,352.000

33,362.000

12,143.000

12,016.000

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

STATEMENT OF CASH FLOWS


Fiscal Year:
(FYR Ending):
INDIRECT OPERATING ACTIVITIES
Income Before Extraordinary Items

5,838.000

5,761.000

4,210.000

2,312.000

Depreciation and Amortizations


Extraordinary Items and Disc. Operations
Deferred Taxes
Equity in Net Loss (Earnings)
Sale of PPEq and Investments - Loss (Gain)
Funds from Operations - Other

1,579.000

1,886.000

1,906.000

1,902.000

.000

.000

185.000

-52.000

-609.000

46.000

-348.000

-282.000

.000

.000

.000

.000

.000

.000

.000

.000

253.000

297.000

207.000

919.000

Receivables - Decrease (Increase)

-358.000

96.000

116.000

121.000

Inventory - Decrease (Increase)

-971.000

-563.000

-491.000

743.000

12.000

531.000

-465.000

-646.000

Income Taxes - Accrued - Increase(Decrease)

175.000

-172.000

.000

262.000

Other Assets and Liabilities - Net Change

565.000

-221.000

407.000

249.000

6,484.000

7,661.000

5,727.000

5,528.000

Investments - Increase

.000

.000

.000

.000

Sale of Investments

.000

.000

.000

.000

Accounts/P and Accrued Liabs - Inc(Dec)

Operating Actiities - Net Cash Flow

INVESTING ACTIVITIES

Short term Investments - Change

1,677.000

25.000

-326.000

-29.000

Capital Expenditures

3,881.000

3,542.000

3,558.000

1,847.000

164.000

138.000

318.000

147.000

2,546.000

4,268.000

13.000

.000

.000

.000

8,337.000

.000

-4,586.000

-7,647.000

4,758.000

-1,729.000

414.000

381.000

276.000

84.000

3,040.000

6,684.000

10,815.000

70.000

Cash Dividends

857.000

1,395.000

1,709.000

1,521.000

Long Term Debt - Issuance

995.000

8,935.000

.000

.000

24.000

509.000

20.000

313.000

900.000

-900.000

1,734.000

-1,732.000

.000

-31.000

-105.000

-128.000

-1,612.000

-203.000

-10,639.000

-3,680.000

1.000

-4.000

-1.000

-45.000

287.000

-193.000

-155.000

74.000

Interest Paid - Net<

114.000

270.000

672.000

622.000

Income Taxes Paid

3,860.000

3,963.000

2,524.000

1,265.000

Sale of Property Plant and Equipment


Acquisitions
Investing Activities - Other

Investing Activites - Net Cash Flow

FINANCING ACTIVITIES
Sale of Common and Preferred Stock
Purchase of Common and Preferred Stock

Long Term Debt - Reduction


Current Debt - Changes
Financing Activities - Other

Financing Activities - Net Cash Flow

Exchange Rate Effect

Cash and Cash Equivalents - Change

OTHER INFORMATION

ADDITIONAL SCHEDULES
Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Receivables - Trade

2,396.000

3,223.000

1,259.000

972.000

Income Tax Refund

.000

.000

.000

.000

Receivables - Other - Current

.000

.000

.000

.000

2,396.000

3,223.000

1,259.000

972.000

Receivables - Total (Net)

Inventories - Raw Materials

.000

Inventories - Work In Process

.000

Inventories - Finished Goods

10,673.000

Inventories - Other

Inventories - Total

LESS: Debt (Long Term) Due In One Year

.000

11,401.000

12,822.000

11,731.000

10,673.000

-513.000

-18.000

-300.000

-1,767.000

Debt - Convertible Subordinated

.000

.000

.000

.000

Debt - Senior Convertible

.000

.000

.000

.000

Debt - Subordinated

.000

.000

.000

.000

2,492.000

10,931.000

10,966.000

10,998.000

.000

.000

.000

.000

Debt - Long Term - Other

312.000

311.000

302.000

19.000

Debt - Capitalized Lease Obligations

381.000

419.000

415.000

417.000

2,672.000

11,643.000

11,383.000

9,667.000

3,881.000

3,542.000

3,558.000

1,847.000

31,530.000

34,358.000

36,412.000

36,477.000

6,629.000

7,753.000

8,936.000

10,243.000

Debt - Notes
Debt - Debentures

Long Term Debt Total

Property, Plant and Equipment (Cost)


Beginning Balance
Capital Expenditures
Retirements
Other Changes

Ending Balance

Accumulated Depreciation on PPE


Beginning Balance
Depreciation Expense
Depletion Expense
Retirements
Other Changes

Ending Balance

Deferred Taxes - Federal

-527.000

-9.000

-242.000

-209.000

Deferred Taxes - Foreign

25.000

-4.000

-15.000

-23.000

Deferred Taxes - State

-111.000

-9.000

17.000

-56.000

Income Taxes - Federal

3,394.000

2,831.000

2,055.000

1,283.000

Income Taxes - Foreign

156.000

329.000

310.000

85.000

Income Taxes - State

507.000

409.000

285.000

198.000

Income Taxes - Other

.000

.000

.000

.000

Income Taxes - Total

3,444.000

3,547.000

2,410.000

1,278.000

Common Shares Reserved For Conversion


Convertible Debt
Preferred Stock
Stock Options
Warrants and Other

Total

ADDITIONAL DATA
Fiscal Year:
(FYR Ending):

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

Acquisitions - Income Contribution

.000

.000

Acquisitions - Sales Contribution

.000

.000

Adjustmnet Factor-Cum, Ex-Date


Advertising Expense

1.000

1.000

1.000

1.000

1,100.000

1,100.000

1,200.000

1,000.000

5.100

5.000

3.400

Average Short Term Borrowing Rate


Average Short term Borrowing
Common Shareholders (# of)

300.000

526.000

403.000

2,090.000

1,880.000

1,560.000

1,356.000

.000

.000

.000

.000

Common Shares Traded (Calendar Yr)


Compensating Balance
Convertible Debt and Preferred Stock
Debt (Long Term) Maturing Due in 2 Years

16.000

301.000

1,800.000

1,000.000

Debt (Long Term) Maturing Due in 3 Years

300.000

1,800.000

1,000.000

1,000.000

Debt (Long Term) Maturing Due in 4 Years Years

1,000.000

1,000.000

1,000.000

24.000

Debt (Long Term) Maturing Due in 5 Years

1,000.000

1,000.000

23.000

1,300.000

Debt - Long-Term Debt - Tied to Prime


Debt - Martgages and Other Securities

3,047.000
381.000

419.000

415.000

417.000

Debt - Unamortized Debt Discount and Other

.000

.000

.000

.000

Dividends (Cash)per Share Ex-Date

.400

.675

.900

.900

857.000

1,395.000

1,709.000

1,521.000

Dividends (Cash) - Common


Dividends (Cash) - Preferred
Employees (# of)

.000

.000

.000

.000

344.810

364.400

331.000

322.000

Equity in Earnings - Unconsolidated Subs

44,482.000

52,263.000

44,324.000

41,164.000

409.000

332.000

787.000

-44.000

51.000

47.000

46.000

20.000

.000

.000

.000

.000

LIFO Reserve

.000

.000

.000

.000

Order Backlog

.000

.000

.000

.000

Preferred Stock - Dividends In Arrears

.000

.000

.000

.000

Preferred Stock - Liquidation Value

.000

.000

.000

.000

Foreign Currency Translation Adj - Bal. Sheet


Foreign Currency Translation Adj - Inc. Stmnt.
Interest Capitalized (in fiscal yr)
Interest Capitalized - Net Income Effect
Interest Expense on Long Term Debt
Investment Tax Credit
Labor Related Expenses

Preferred Stock - Redemption Value

.000

.000

.000

.000

1,634.000

1,866.000

1,887.000

1,849.000

40.550

40.740

30.640

21.530

Rental Commitments - Minimum Year+1

706.000

917.000

802.000

804.000

Rental Commitments - Minimum Year+2

669.000

846.000

716.000

724.000

Rental Commitments - Minimum Year+3

618.000

734.000

644.000

642.000

Rental Commitments - Minimum Year+4

558.000

647.000

582.000

572.000

Rental Commitments - Minimum Year+5

535.000

566.000

523.000

522.000

Rental Expense

782.000

958.000

824.000

846.000

.000

.000

.000

.000

Present Value - Noncapitalized Leases


Price - Calendar Year Close
Price - Calendar Year High
Price - Calendar Year Low
Price - Fiscal Year Close
Receivables - Estimated Doubtful

Rental Income
Research and Development Expense
Tax Loss Carry Forward

5.000

Treasury Stock ($) - Common

9,712.000

16,383.000

314.000

372.000

Treasury Stock ($) - Preferred

.000

.000

.000

.000

277.000

451.000

8.000

11.000

Treasury Stock - # Shares

INPUTS INTO FINANCIAL STATEMENTS AND


MARKET RELATIONS
Fiscal Year:
(FYR Ending):
Cash & Equivalents

2005

2006

2007

2008

(31JAN2006 )

(31JAN2007 )

(31JAN2008 )

(31JAN2009 )

807.000

614.000

457.000

525.000

2,396.000

3,223.000

1,259.000

972.000

11,401.000

12,822.000

11,731.000

10,673.000

42.000

44.000

31.000

18.000

Current Assets - Other

700.000

1,297.000

1,196.000

1,174.000

Current Assets - Total

15,346.000

18,000.000

14,674.000

13,362.000

Plant, Property & Equip (Gross)

31,530.000

34,358.000

36,412.000

36,477.000

6,629.000

7,753.000

8,936.000

10,243.000

Receivables - Total (Net)


Inventories - Total
Prepaid Expenses

Accumulated Depreciation

Plant, Property & Equip (Net)


Investments at Equity

24,901.000

26,605.000

27,476.000

26,234.000

.000

.000

.000

.000

348.000

343.000

342.000

36.000

3,684.000

7,092.000

1,309.000

1,134.000

203.000

223.000

523.000

398.000

TOTAL ASSETS

44,482.000

52,263.000

44,324.000

41,164.000

Accounts Payable

6,032.000

7,356.000

5,732.000

4,822.000

900.000

.000

1,747.000

.000

Investments and Advances - Other


Intangibles
Deferred Charges
Assets - Other

Notes Payable
Accrued Expenses

.000

2,763.000

3,201.000

2,938.000

2,768.000

Taxes Payable

388.000

217.000

60.000

289.000

Debt (Long-Term) Due In One Year

513.000

18.000

300.000

1,767.000

Other Current Liabilities

5,068.000

5,340.000

4,867.000

4,275.000

Total Current Liabilities

12,901.000

12,931.000

12,706.000

11,153.000

Long Term Debt

2,672.000

11,643.000

11,383.000

9,667.000

Deferred Taxes (Balance Sheet)

1,023.000

1,416.000

688.000

369.000

.000

.000

.000

.000

Investment Tax Credit


Liabilities - Other
TOTAL LIABILITIES
Noncontrolling Interest - Redeemable

977.000

1,243.000

1,833.000

2,198.000

17,573.000

27,233.000

26,610.000

23,387.000

.000

.000

.000

.000

Preferred Stock

.000

.000

.000

.000

Common Stock

120.000

121.000

85.000

85.000

Capital Surplus

7,149.000

7,930.000

5,800.000

6,048.000

29,352.000

33,362.000

12,143.000

12,016.000

9,712.000

16,383.000

314.000

372.000

26,909.000

25,030.000

17,714.000

17,777.000

TOTAL SHAREHOLDERS EQUITY

26,909.000

25,030.000

17,714.000

17,777.000

Sales (Net)

81,511.000

90,837.000

77,349.000

71,288.000

Cost of Goods Sold

54,191.000

61,054.000

51,352.000

47,268.000

Gross Profit

27,320.000

29,783.000

25,997.000

24,020.000

Selling, General, & Admin Expenses

16,394.000

18,348.000

16,965.000

16,927.000

Operating Income Before Depreciation

10,926.000

11,435.000

9,032.000

7,093.000

Depreciation, Depletion, & Amortization

1,472.000

1,762.000

1,702.000

1,783.000

Operating Income After Depreciation

9,454.000

9,673.000

7,330.000

5,310.000

Interest Expense

194.000

427.000

742.000

644.000

Non-Operating Income/Expense

113.000

74.000

120.000

38.000

Special Items

-91.000

-12.000

-88.000

-1,114.000

Pretax Income

9,282.000

9,308.000

6,620.000

3,590.000

Income Taxes - Total

3,444.000

3,547.000

2,410.000

1,278.000

.000

.000

.000

.000

5,838.000

5,761.000

4,210.000

2,312.000

Extraordinary Items

.000

.000

.000

.000

Discontinued Operations

.000

.000

185.000

-52.000

Retained Earnings (Net Other)


Less: Treasury Stock
Shareholders Equity - Parent
Noncontrolling Interest - Nonredeemable

Minority Interest
INCOME BEFORE EI&DO

Net Income (Loss)


Preferred Dividends

5,838.000

5,761.000

4,395.000

2,260.000

.000

.000

.000

.000

EPS - Primary - Excluding EI&DO

2.730

2.800

2.280

1.370

EPS - Primary - Including EI&DO

2.730

2.800

2.380

1.340

EPS - Fully Diluted - Excluding EI&DO

2.720

2.790

2.270

1.370

EPS - Fully Diluted - Including EI&DO

2.720

2.790

2.370

1.340

SHARES - for Primary EPS Calculation

2,138.000

2,054.000

1,849.000

1,682.000

SHARES - for Fully Diluted EPS Calculation

2,147.000

2,062.000

1,856.000

1,686.000

SHARES - Outstanding at Fiscal Year End

2,124.000

1,970.000

1,690.000

1,696.000

Operating Activities - Net Cash Flow

6,484.000

7,661.000

5,727.000

5,528.000

Capital Expenditures

3,881.000

3,542.000

3,558.000

1,847.000

STATEMENT OF CASH FLOWS

Sale of Property Plant and Equipment


Acquisitions
Investing Activites - Net Cash Flow
Cash Dividends

164.000

138.000

318.000

147.000

2,546.000

4,268.000

13.000

.000

-4,586.000

-7,647.000

4,758.000

-1,729.000

857.000

1,395.000

1,709.000

1,521.000

CASH STATEMENT - SOURCE & USE


Interest Paid - Net

114.000

270.000

672.000

622.000

3,860.000

3,963.000

2,524.000

1,265.000

900.000

-900.000

1,734.000

-1,732.000

1.000

1.000

1.000

1.000

1,100.000

1,100.000

1,200.000

1,000.000

.400

.675

.900

.900

Dividends (Cash) - Common

857.000

1,395.000

1,709.000

1,521.000

Dividends (Cash) - Preferred

.000

.000

.000

.000

Preferred Stock - Liquidation Value

.000

.000

.000

.000

Preferred Stock - Redemption Value

.000

.000

.000

.000

40.550

40.740

30.640

21.530

782.000

958.000

824.000

846.000

.000

.000

.000

.000

Income Taxes Paid


Funds From Operations - Total
Current Debt - Changes
Working Capital Changes - Other - Inc(Dec)
Adjustmnet Factor-Cum, Ex-Date
Advertising Expense
Dividends (Cash)per Share Ex-Date

Price - Calendar Year Close


Price - Fiscal Year Close
Receivables - Estimated Doubtful
Rental Expense
Research and Development Expense

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

1,427.000

545.000

1,987.000

2,494.000

964.000

1,085.000

1,245.000

1,395.000

10,188.000

10,625.000

10,325.000

10,710.000

1,321.000

1,224.000

963.000

773.000

13,900.000

13,479.000

14,520.000

15,372.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

25,550.000

25,060.000

24,448.000

24,069.000

.000

.000

.000

.000

33.000

139.000

135.000

140.000

1,171.000

1,187.000

1,120.000

1,170.000

223.000

260.000

295.000

333.000

40,877.000

40,125.000

40,518.000

41,084.000

4,863.000

4,717.000

4,856.000

5,376.000

.000

.000

.000

.000

2,846.000

2,800.000

3,317.000

3,471.000

.000

108.000

13.000

23.000

22.000

1,020.000

1,042.000

30.000

1,321.000

1,526.000

1,550.000

1,150.000

1,272.000

10,363.000

10,122.000

9,376.000

11,462.000

8,662.000

8,707.000

10,758.000

9,475.000

319.000

272.000

340.000

319.000

.000

.000

.000

.000

2,140.000

2,135.000

2,146.000

2,051.000

.000

.000

.000

.000

21,484.000

21,236.000

22,620.000

23,307.000

.000

.000

.000

.000

86.000

86.000

87.000

88.000

6,304.000

6,556.000

6,966.000

7,948.000

13,588.000

15,440.000

17,539.000

20,435.000

585.000

3,193.000

6,694.000

10,694.000

19,393.000

18,889.000

17,898.000

17,777.000

.000

.000

.000

.000

19,393.000

18,889.000

17,898.000

17,777.000

40,877.000

40,125.000

40,518.000

41,084.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

65,955.000

67,997.000

70,395.000

74,754.000

43,571.000

44,693.000

46,133.000

48,912.000

22,384.000

23,304.000

24,262.000

25,842.000

15,732.000

15,849.000

16,028.000

16,411.000

6,652.000

7,455.000

8,234.000

9,431.000

1,703.000

1,616.000

1,573.000

1,568.000

4,949.000

5,839.000

6,661.000

7,863.000

680.000

533.000

609.000

635.000

22.000

18.000

16.000

23.000

-309.000

-51.000

.000

-30.000

3,982.000

5,273.000

6,068.000

7,221.000

1,362.000

1,935.000

2,185.000

2,686.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

41.000

.000

.000

.000

2,661.000

3,338.000

3,883.000

4,535.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

1.560

2.030

2.490

3.030

1.580

2.030

2.490

3.030

1.550

2.010

2.470

3.000

1.570

2.010

2.470

3.000

1,683.000

1,648.000

1,562.000

1,499.000

1,692.000

1,658.000

1,570.000

1,511.000

1,698.000

1,623.000

1,537.000

1,484.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

12,016.000

13,588.000

15,440.000

17,539.000

2,661.000

3,338.000

3,883.000

4,535.000

1,525.000

1,569.000

1,632.000

1,743.000

13,152.000

15,357.000

17,691.000

20,331.000

2.000

2.000

2.000

2.000

-22.000

-145.000

-154.000

-150.000

458.000

228.000

2.000

254.000

13,588.000

15,440.000

17,539.000

20,435.000

.000

.000

.000

.000

13,588.000

15,440.000

17,539.000

20,435.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

2,620.000

3,338.000

3,883.000

4,535.000

1,806.000

1,718.000

1,682.000

1,684.000

41.000

.000

.000

.000

-227.000

104.000

170.000

107.000

.000

.000

.000

.000

.000

.000

.000

.000

364.000

214.000

215.000

315.000

-23.000

-102.000

-170.000

-143.000

625.000

-355.000

256.000

-350.000

59.000

-133.000

422.000

698.000

-174.000

-85.000

14.000

87.000

34.000

-114.000

179.000

42.000

5,125.000

4,585.000

6,651.000

6,975.000

.000

.000

.000

.000

.000

.000

.000

.000

33.000

.000

.000

.000

966.000

1,096.000

1,221.000

1,312.000

178.000

84.000

56.000

50.000

.000

.000

65.000

170.000

.000

.000

101.000

.000

-755.000

-1,012.000

-1,129.000

-1,432.000

73.000

104.000

306.000

784.000

213.000

2,608.000

3,470.000

3,984.000

1,525.000

1,569.000

1,632.000

1,743.000

.000

998.000

1,994.000

.000

1,774.000

1,029.000

1,028.000

32.000

.000

.000

-64.000

-347.000

-218.000

-59.000

-3,503.000

-4,451.000

-4,048.000

-5,034.000

35.000

2.000

-32.000

-2.000

902.000

-876.000

1,442.000

507.000

664.000

579.000

580.000

617.000

2,082.000

2,067.000

1,865.000

2,482.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

964.000

1,085.000

1,245.000

1,395.000

.000

.000

.000

.000

.000

.000

.000

.000

964.000

1,085.000

1,245.000

1,395.000

.000

.000

.000

.000

.000

.000

.000

.000

10,188.000

10,625.000

10,325.000

10,710.000

.000

.000

.000

.000

10,188.000

10,625.000

10,325.000

10,710.000

-1,020.000

-1,042.000

-30.000

-1,321.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

9,257.000

9,288.000

10,331.000

10,298.000

.000

.000

.000

.000

17.000

9.000

8.000

6.000

408.000

452.000

449.000

492.000

8,662.000

8,707.000

10,758.000

9,475.000

966.000

1,096.000

1,221.000

1,312.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

-121.000

79.000

199.000

114.000

-29.000

25.000

1.000

-21.000

-24.000

21.000

35.000

1.000

1,157.000

1,478.000

1,566.000

2,060.000

195.000

151.000

150.000

230.000

184.000

181.000

234.000

302.000

.000

.000

.000

.000

1,362.000

1,935.000

2,185.000

2,686.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

.000

.000

.000

.000

.000

.000

1.000

1.000

1.000

1.000

897.000

864.000

846.000

831.000

1.100

.400

.500

55.000

5.000

44.000

1,371.000

1,194.000

1,203.000

1,212.000

.000

.000

.000

.000

1,000.000

29.000

1,300.000

32.000

30.000

1,300.000

30.000

29.000

1,300.000

28.000

27.000

3,100.000

33.000

26.000

3,100.000

27.000

1,250.000

1,750.000

1,750.000

408.000

452.000

449.000

492.000

.000

.000

.000

.000

.900

.945

1.040

1.160

1,525.000

1,569.000

1,632.000

1,743.000

.000

.000

.000

.000

317.000

321.000

331.000

340.000

40,877.000

40,125.000

40,518.000

41,084.000

382.000

588.000

445.000

545.000

4.000

3.000

3.000

3.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

1,887.000

1,941.000

1,960.000

2,040.000

28.010

36.770

44.390

66.920

802.000

783.000

800.000

856.000

717.000

699.000

746.000

807.000

640.000

639.000

682.000

747.000

584.000

582.000

637.000

656.000

535.000

543.000

557.000

582.000

823.000

821.000

823.000

849.000

.000

.000

.000

.000

585.000

3,193.000

6,694.000

10,694.000

.000

.000

.000

.000

18.000

99.000

196.000

270.000

2009

2010

2011

2012

(31JAN2010 )

(31JAN2011 )

(31JAN2012 )

(31JAN2013 )

1,427.000

545.000

1,987.000

2,494.000

964.000

1,085.000

1,245.000

1,395.000

10,188.000

10,625.000

10,325.000

10,710.000

1,321.000

1,224.000

963.000

773.000

13,900.000

13,479.000

14,520.000

15,372.000

37,345.000

38,385.000

38,975.000

38,491.000

11,795.000

13,325.000

14,527.000

14,422.000

25,550.000

25,060.000

24,448.000

24,069.000

.000

.000

.000

.000

33.000

139.000

135.000

140.000

1,171.000

1,187.000

1,120.000

1,170.000

223.000

260.000

295.000

333.000

40,877.000

40,125.000

40,518.000

41,084.000

4,863.000

4,717.000

4,856.000

5,376.000

.000

.000

.000

.000

2,846.000

2,800.000

3,317.000

3,471.000

108.000

13.000

23.000

22.000

1,020.000

1,042.000

30.000

1,321.000

.000

4,372.000

4,350.000

4,467.000

4,743.000

10,363.000

10,122.000

9,376.000

11,462.000

8,662.000

8,707.000

10,758.000

9,475.000

319.000

272.000

340.000

319.000

.000

.000

.000

.000

2,140.000

2,135.000

2,146.000

2,051.000

21,484.000

21,236.000

22,620.000

23,307.000

.000

.000

.000

.000

.000

.000

.000

.000

86.000

86.000

87.000

88.000

6,304.000

6,556.000

6,966.000

7,948.000

13,588.000

15,440.000

17,539.000

20,435.000

585.000

3,193.000

6,694.000

10,694.000

19,393.000

18,889.000

17,898.000

17,777.000

.000

.000

.000

.000

19,393.000

18,889.000

17,898.000

17,777.000

65,955.000

67,997.000

70,395.000

74,754.000

43,571.000

44,693.000

46,133.000

48,912.000

22,384.000

23,304.000

24,262.000

25,842.000

15,732.000

15,849.000

16,028.000

16,411.000

6,652.000

7,455.000

8,234.000

9,431.000

1,703.000

1,616.000

1,573.000

1,568.000

4,949.000

5,839.000

6,661.000

7,863.000

680.000

533.000

609.000

635.000

22.000

18.000

16.000

23.000

-309.000

-51.000

.000

-30.000

3,982.000

5,273.000

6,068.000

7,221.000

1,362.000

1,935.000

2,185.000

2,686.000

.000

.000

.000

.000

2,620.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

41.000

.000

.000

.000

2,661.000

3,338.000

3,883.000

4,535.000

.000

.000

.000

.000

1.560

2.030

2.490

3.030

1.580

2.030

2.490

3.030

1.550

2.010

2.470

3.000

1.570

2.010

2.470

3.000

1,683.000

1,648.000

1,562.000

1,499.000

1,692.000

1,658.000

1,570.000

1,511.000

1,698.000

1,623.000

1,537.000

1,484.000

5,125.000

4,585.000

6,651.000

6,975.000

966.000

1,096.000

1,221.000

1,312.000

178.000

84.000

56.000

50.000

.000

.000

65.000

170.000

-755.000

-1,012.000

-1,129.000

-1,432.000

1,525.000

1,569.000

1,632.000

1,743.000

664.000

579.000

580.000

617.000

2,082.000

2,067.000

1,865.000

2,482.000

.000

.000

1.000

1.000

1.000

1.000

897.000

864.000

846.000

831.000

.900

.945

1.040

1.160

1,525.000

1,569.000

1,632.000

1,743.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

.000

28.010

36.770

44.390

66.920

823.000

821.000

823.000

849.000

.000

.000

.000

.000

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