Toyota Motor Corporation logo

Toyota Motor Corporation

TOYOF | OTC
Chart Builder DCF Calculator
$18.93
-$0.77 (-3.90%)
At close: Sep 24, 2026, 3:50 PM ET
$18.93
$0 (0.00%)
After-hours: Sep 24, 2026, 3:50 PM ET
Fiscal Quarter
Period Ending
Q1 2026
Jun 29, 2025
Q4 2025
Mar 30, 2025
Q3 2025
Dec 30, 2024
Q2 2025
Sep 29, 2024
Q1 2025
Jun 29, 2024
Q4 2024
Mar 30, 2024
Q3 2024
Dec 30, 2023
Q2 2024
Sep 29, 2023
Q1 2024
Jun 29, 2023
Q4 2023
Mar 30, 2023
Q3 2023
Dec 30, 2022
Q2 2023
Sep 29, 2022
Q1 2023
Jun 29, 2022
Q4 2022
Mar 30, 2022
Q3 2022
Dec 30, 2021
Q2 2022
Sep 29, 2021
Q1 2022
Jun 29, 2021
Q4 2021
Mar 30, 2021
Q3 2021
Dec 30, 2020
Q2 2021
Sep 29, 2020
Q1 2021
Jun 29, 2020
Net Income
872.19B 710.41B 2.21T 501.83B 1.36T 1.04T 1.38T 1.32T 1.33T 528.85B 744.57B 461.3B 758.25B 490.72B 818.84B 638.52B 926.54B 783.68B 867.51B 481.74B 149.45B
Depreciation & Amortization
551.82B 565.48B 557.79B 552.69B 575.28B 551.67B 515.43B 514.15B 505.81B 505.15B 518.64B 512.76B 503.37B 479.35B 471.13B 431.63B 439.78B 426.1B 407.6B 412.54B 398.04B
Stock-Based Compensation
n/a n/a n/a n/a n/a 1.86B n/a n/a n/a 808M n/a n/a n/a n/a n/a n/a n/a 364M n/a n/a n/a
Other Working Capital
138.03B -324.99B -1.48T 13.44B -1.02T -635.23B -1.44T -1.1T -802.36B -69.85B -1.03T -112.05B -286.23B 151.91B -546.29B -147.92B -588.37B -172.16B -771.18B -254.23B 134B
Other Non-Cash Items
-65.53B -351.78B -770.16B -292.42B -738.98B -106.09B -401.77B -298.17B -65.78B -106.41B -352.15B -318.53B -474.8B -303.13B -249.62B -256.71B -149.67B -423.6B -233.02B -152.64B 22.97B
Deferred Income Tax
379.96B 274.08B 484.33B 357.98B 508.44B 568.22B 451.44B 480.34B 393.66B 270.61B 290.43B 351.22B 263.5B 262.26B 274.67B 248.31B 330.68B 278.68B 273.67B 128.84B -31.21B
Change in Working Capital
138.03B -324.99B -1.48T 13.44B -1.02T -635.23B -1.44T -1.1T -802.36B -69.85B -1.03T -112.05B -286.23B 151.91B -546.29B -147.92B -588.37B -172.16B -771.18B -254.23B 134B
Operating Cash Flow
1.88T 873.21B 1.01T 1.13T 683.66B 1.42T 508.06B 919.86B 1.36T 1.13T 167.13B 894.71B 764.09B 1.08T 768.73B 913.82B 958.96B 893.07B 544.58B 616.26B 673.25B
Capital Expenditures
-1.24T -778.68B -1.55T -1.43T -1.5T -1.52T -1.23T -1.12T -1.17T -950.46B -930.2B -920.74B -904.43B -901.92B -801.44B -987.8B -1.14T -1.02T -1.04T -889.18B -819.85B
Cash Acquisitions
n/a n/a n/a n/a n/a 640.74B 435.41B 464.5B 388.22B 324.06B 306.08B 364.36B 372.82B 308.55B 272.57B 287.31B 365.37B 306.29B 305.96B 317.94B 203.6B
Purchase of Investments
-497.46B -897.31B -737.18B -1.19T -1.14T -1.05T -911.69B -400.22B -614.45B -45.65B -445.49B -305.62B -353.45B -637.79B -476.3B -445.41B -868.41B -925.22B -683.15B -528.62B -592.19B
Sales Maturities Of Investments
888.82B 982.38B 610.85B 1.51T 649.51B 468.23B 567.41B 460.02B 755.71B 391.99B 196.79B 462.13B 282.82B 267.34B 721.41B 572.93B 640.95B 349.5B 451.86B 667.09B 593.47B
Other Investing Acitivies
-1.02T -105.33B 1.15T 359.44B -413.99B 692.23B -439.1B -939.17B -471.77B 194.76B 141.72B 68.3B 151.33B 212.09B 597.26B -374.13B 1.56T 214B -862.07B -1.22T 277.35B
Investing Cash Flow
-1.8T -666.48B -437.5B -686.15B -2.4T -768.62B -1.58T -1.53T -1.12T -85.3B -731.1B -331.58B -450.91B -751.74B 390.47B -843.33B 627.1B -995.1B -1.77T -1.58T -337.62B
Debt Repayment
-76.69B 795.81B 490.06B 957B 342.13B 922.77B 1.57T 759.89B 451.49B 511.63B 401.53B -208.15B 458.57B -125.65B -26.13B 124.5B -1.27T 543.9B 461.36B -288.9B 2.49T
Common Stock Repurchased
n/a -133.28B -142.3B -884.49B -18.97B -39.49B -75.08B -82.13B -34.38B -94.52B -141.03B -74.23B -121.31B -88.39B -66.51B -228.3B -21.52B -53M n/a -21M n/a
Dividend Paid
-652.45B n/a -525.99B n/a -606.34B n/a -405.42B n/a -474.78B n/a -342.19B n/a -385.79B n/a -332.42B n/a -377.45B n/a -293.58B n/a -331.94B
Other Financial Acitivies
-34.2B 6.8B -4.11B -43.47B -35.61B -20.18B -11.7B -30.86B -35.19B 23.9B -15.07B -44.32B -25.19B -260M -7.69B -24.28B -19.49B -740M -3.28B -14.65B -17.93B
Financial Cash Flow
-803.28B 669.33B -182.34B 29.04B -318.79B 863.1B 1.08T 646.89B -92.86B 441B -96.76B -326.7B -73.72B -214.3B -432.75B -128.08B -1.69T 543.11B 164.48B -303.57B 2.34T
Net Cash Flow
-771.55B 697.25B 653.7B 34.36B -1.81T 1.83T -342.91B 19.62B 389.48B 1.49T -958.08B 295.16B 571.36B 343.43B 815.39B -58.59B -87.43B 620.87B -1.03T -1.29T 2.7T
Free Cash Flow
633.56B 94.53B -540.05B -301.47B -814.01B -103.17B -722.51B -199.8B 183.46B 178.69B -763.08B -26.03B -140.34B 179.19B -32.71B -73.98B -180.13B -124.26B -497.01B -272.91B -146.6B
Adj. Free Cash Flow
633.56B 94.53B -540.05B -301.47B -814.01B -105.04B -722.51B -199.8B 183.46B 177.88B -763.08B -26.03B -140.34B 179.19B -32.71B -73.98B -180.13B -124.63B -497.01B -272.91B -146.6B
Maintenance CapEx
-551.82B -342.76B -1.43T -1.43T -1.06T -1.05T -451.8B -364.68B -474.56B -361.58B -195.33B -296.52B -697.08B -744.24B -801.44B -700.37B n/a -803.36B -821.82B -889.18B -819.85B
Growth CapEx
-691.1B -435.92B -118.22B -3.3B -436.09B -470.84B -778.78B -754.98B -700.2B -588.88B -734.87B -624.22B -207.35B -157.68B n/a -287.43B -1.14T -213.97B -219.77B n/a n/a
Owner Earnings
1.32T 530.45B -421.83B -298.16B -377.91B 367.66B 56.27B 555.19B 883.66B 767.57B -28.21B 598.19B 67.01B 336.86B -32.71B 213.46B 958.96B 89.71B -277.24B -272.91B -146.6B

© 2026 bestshares.com. All rights reserved.