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JWN - Nordstrom, Inc.

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Nordstrom, Inc.

JWN

NYSE

Nordstrom, Inc., a fashion retailer, provides apparels, shoes, beauty, accessories, and home goods for women, men, young adults, and children. It offers a range of brand name and private label merchandise through various channels, such as Nordstrom branded stores and online at Nordstrom.com; TrunkClub.com; Nordstrom.ca; Nordstrom stores; Nordstrom Rack stores; Nordstrom Locals; Nordstromrack.com and HauteLook; clearance stores under the Last Chance name; Trunk Club clubhouses; and Jeffrey boutiques. As of December 31, 2021, the company operated 94 Nordstrom stores and 240 Nordstrom Rack stores in the United States; 2 clearance stores; and 7 Nordstrom Local service hubs, as well as 6 Nordstrom stores and 7 Nordstrom Rack stores in Canada. Nordstrom, Inc. was founded in 1901 and is headquartered in Seattle, Washington.

24.26 USD

0.2 (0.824%)

JWN Financial Statements

Year

2024

2023

2022

2021

CF from Operating Activities

1.27B

621M

946M

705M

Net Income

294M

134M

245M

178M

Depreciation & Amortization

790M

770M

789M

790M

Deferred Income Taxes

-100M

-60M

-83M

-11M

Stock Based Compensation

72M

52M

59M

79M

Change in Working Capital

185M

-441M

-98M

-412M

Accounts Receivable

78M

0

23M

-10M

Inventory

0

-61M

265M

-383M

Accounts Payable

0

40M

-190M

-400M

Other Working Capital

107M

-420M

-196M

381M

Other Non-Cash Items

26M

166M

34M

81M

CF from Investing Activities

-488M

-571M

-393M

-521M

Investments in Property, Plant & Equipment

-516M

-569M

-473M

-506M

Net Acquisitions

0

0

0

0

Investment Purchases

0

0

0

0

Sales/Maturities of Investments

0

0

0

0

Other Investing Activites

28M

-2M

80M

-15M

CF from Financing Activities

-372M

-109M

-186M

-544M

Debt Repayment

-250M

-2M

-100M

-1.5B

Common Stock Issued

0

0

0

14M

Common Stock Repurchased

0

-1M

-62M

-15M

Dividends Paid

-124M

-123M

-119M

0

Other Financing Activites

2M

15M

9M

-87M

Free Cash Flow

751M

52M

473M

199M

Operating Cash Flow

1.27B

621M

946M

705M

Capital Expenditures

-516M

-569M

-473M

-506M

Cash at Beginning of Period

628M

687M

322M

681M

Cash at End of Period

1.03B

628M

687M

322M

Net Change In Cash

407M

-59M

365M

-359M

Retained Earning Schedule

Year

2024

2023

2022

2021

Retained Earnings (Previous Year)

-2.58B

-2.59B

-2.65B

-2.83B

Net Income

294M

134M

245M

178M

Stock Repurchases

0

-1M

-62M

-15M

Dividend Paid

-124M

-123M

-119M

0

Retained Earnings

-2.37B

-2.58B

-2.59B

-2.65B

Other Distributions

85M

-114M

-117M

163M

PPE Schedule

Year

2024

2023

2022

2021

Gross PPE

4.46B

4.54B

4.82B

5.06B

Annual Depreciation

790M

770M

789M

790M

Capital Expenditure

-516M

-569M

-473M

-506M

Net PPE

4.18B

4.33B

4.5B

4.77B

Intangible and Goodwill Schedule

Year

2024

2023

2022

2021

Acquisitions and Adjustments

0

0

0

0

Goodwill (Previous Year)

249M

249M

249M

249M

Goodwill

249M

249M

249M

249M

All figures are in USD.

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