Best Buy Co Inc
NYSE:BBY

Watchlist Manager
Best Buy Co Inc Logo
Best Buy Co Inc
NYSE:BBY
Watchlist
Price: 69.1 USD -4.25% Market Closed
Market Cap: 14.5B USD

Balance Sheet

Balance Sheet Decomposition
Best Buy Co Inc

Current Assets 10.6B
Cash & Short-Term Investments 923m
Receivables 1B
Other Current Assets 8.6B
Non-Current Assets 6.2B
PP&E 4.9B
Intangibles 790m
Other Non-Current Assets 548m
Current Liabilities 10.1B
Accounts Payable 7.3B
Accrued Liabilities 1.7B
Other Current Liabilities 1.1B
Non-Current Liabilities 4B
Long-Term Debt 1.2B
Other Non-Current Liabilities 2.9B

Balance Sheet
Best Buy Co Inc

Rotate your device to view
Balance Sheet
Currency: USD
Mar-2002 Mar-2003 Feb-2004 Feb-2005 Feb-2006 Mar-2007 Mar-2008 Feb-2009 Feb-2010 Feb-2011 Mar-2012 Feb-2013 Feb-2014 Jan-2015 Jan-2016 Jan-2017 Feb-2018 Feb-2019 Feb-2020 Jan-2021 Jan-2022 Jan-2023 Feb-2024 Feb-2025
Assets
Cash & Cash Equivalents
1 861
1 914
245
354
748
1 205
1 438
498
1 826
1 103
1 199
1 826
2 678
2 432
1 976
2 240
1 101
1 980
2 229
5 494
2 936
1 874
1 447
1 578
Cash Equivalents
1 861
1 914
245
354
748
1 205
1 438
498
1 826
1 103
1 199
1 826
2 678
2 432
1 976
2 240
1 101
1 980
2 229
5 494
2 936
1 874
1 447
1 578
Short-Term Investments
0
0
2 355
2 994
3 041
2 588
64
11
90
22
0
0
223
1 456
1 305
1 681
2 032
0
0
0
0
0
0
0
Total Receivables
300
322
349
375
449
548
549
1 868
2 020
2 348
2 288
2 704
1 308
1 280
1 162
1 347
1 049
1 015
1 149
1 061
1 042
1 141
939
1 044
Accounts Receivables
221
312
343
375
449
548
549
1 868
2 020
2 348
2 288
2 704
1 308
1 280
1 162
1 347
1 049
1 015
1 149
1 061
1 042
1 141
939
1 044
Other Receivables
79
10
6
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Inventory
1 875
2 077
2 607
2 851
3 338
4 028
4 708
4 753
5 486
5 897
5 731
6 571
5 376
5 174
5 051
4 864
5 209
5 409
5 174
5 612
5 965
5 140
4 958
5 085
Other Current Assets
564
585
168
329
409
712
583
1 062
1 144
1 103
1 079
946
900
1 130
392
384
438
466
305
373
596
647
553
517
Total Current Assets
4 600
4 898
5 724
6 903
7 985
9 081
7 342
8 192
10 566
10 473
10 297
12 047
10 485
11 472
9 886
10 516
9 829
8 870
8 857
12 540
10 539
8 802
7 897
8 224
PP&E Net
1 661
2 062
2 244
2 464
2 712
2 938
3 306
4 174
4 070
3 823
3 471
3 270
2 598
2 295
2 346
2 293
2 421
2 510
5 037
4 872
4 904
5 098
5 018
4 955
PP&E Gross
1 661
2 062
2 244
2 464
2 712
2 938
3 306
4 174
4 070
3 823
3 471
3 270
2 598
2 295
2 346
2 293
2 421
2 510
5 037
4 872
4 904
5 098
5 018
4 955
Accumulated Depreciation
772
1 027
1 330
1 728
2 124
1 966
2 302
2 766
3 383
4 082
4 781
5 148
5 039
5 440
5 868
5 850
6 279
6 690
6 900
6 996
6 091
4 624
4 816
4 930
Intangible Assets
0
33
37
40
44
81
102
495
438
336
359
334
101
57
18
0
0
18
381
301
275
189
128
107
Goodwill
465
429
477
513
557
919
1 088
2 203
2 452
2 454
1 335
528
425
425
425
425
425
915
984
986
1 384
1 383
1 383
908
Long-Term Investments
0
0
0
148
218
318
605
395
324
328
140
0
0
0
0
0
0
0
0
0
0
0
48
39
Other Long-Term Assets
641
272
170
226
348
233
315
367
452
435
403
608
404
996
844
622
374
588
332
368
402
331
493
549
Other Assets
465
429
477
513
557
919
1 088
2 203
2 452
2 454
1 335
528
425
425
425
425
425
915
984
986
1 384
1 383
1 383
908
Total Assets
7 367
N/A
7 694
+4%
8 652
+12%
10 294
+19%
11 864
+15%
13 570
+14%
12 758
-6%
15 826
+24%
18 302
+16%
17 849
-2%
16 005
-10%
16 787
+5%
14 013
-17%
15 245
+9%
13 519
-11%
13 856
+2%
13 049
-6%
12 901
-1%
15 591
+21%
19 067
+22%
17 504
-8%
15 803
-10%
14 967
-5%
14 782
-1%
Liabilities
Accounts Payable
2 202
2 195
2 460
2 824
3 234
3 934
4 297
4 997
5 276
4 894
5 364
6 951
5 122
5 030
4 450
4 984
4 873
5 257
5 288
6 979
6 803
5 687
4 637
4 980
Accrued Liabilities
787
712
993
1 078
1 232
1 322
1 348
1 841
2 225
2 041
2 224
1 708
1 317
1 154
1 186
1 223
1 425
1 318
1 837
2 319
2 356
1 820
1 953
1 772
Short-Term Debt
0
0
0
0
0
41
156
783
663
557
480
596
0
0
0
0
0
0
0
110
0
0
0
0
Current Portion of Long-Term Debt
7
1
368
72
418
19
33
54
35
441
43
547
45
41
395
44
544
56
14
14
13
16
13
10
Other Current Liabilities
709
916
680
985
1 172
985
935
760
779
730
744
1 008
952
1 552
894
871
975
882
921
1 099
1 502
1 456
1 306
1 254
Total Current Liabilities
3 705
3 824
4 501
4 959
6 056
6 301
6 769
8 435
8 978
8 663
8 855
10 810
7 436
7 777
6 925
7 122
7 817
7 513
8 060
10 521
10 674
8 979
7 909
8 016
Long-Term Debt
808
828
482
528
178
590
627
1 126
1 104
711
1 685
1 153
1 612
1 572
1 339
1 321
811
1 332
1 257
1 253
1 216
1 160
1 152
1 144
Minority Interest
0
0
0
0
0
35
40
513
644
690
621
654
3
5
0
0
0
0
0
0
0
0
0
0
Other Liabilities
333
312
247
358
373
443
838
1 109
1 256
1 183
1 099
1 109
976
896
877
704
809
750
2 795
2 706
2 594
2 869
2 853
2 814
Total Liabilities
4 846
N/A
4 964
+2%
5 230
+5%
5 845
+12%
6 607
+13%
7 369
+12%
8 274
+12%
11 183
+35%
11 982
+7%
11 247
-6%
12 260
+9%
13 726
+12%
10 027
-27%
10 250
+2%
9 141
-11%
9 147
+0%
9 437
+3%
9 595
+2%
12 112
+26%
14 480
+20%
14 484
+0%
13 008
-10%
11 914
-8%
11 974
+1%
Equity
Common Stock
31
32
32
33
49
48
41
41
42
39
34
34
35
35
32
31
28
27
26
26
23
22
22
22
Retained Earnings
1 794
1 893
2 468
3 315
4 304
5 507
3 933
4 714
5 797
6 372
3 621
2 861
3 159
4 141
4 130
4 399
3 270
2 985
3 158
4 233
2 668
2 430
2 683
2 486
Additional Paid In Capital
702
778
836
952
643
430
8
205
441
18
0
54
300
437
0
0
0
0
0
0
0
21
31
0
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
14
71
3
2
8
0
0
0
0
0
0
0
0
0
0
0
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
55
0
0
0
0
0
0
0
0
0
Other Equity
6
27
86
149
261
216
502
317
26
102
93
110
484
382
271
279
314
294
295
328
329
322
317
300
Total Equity
2 521
N/A
2 730
+8%
3 422
+25%
4 449
+30%
5 257
+18%
6 201
+18%
4 484
-28%
4 643
+4%
6 320
+36%
6 602
+4%
3 745
-43%
3 061
-18%
3 986
+30%
4 995
+25%
4 378
-12%
4 709
+8%
3 612
-23%
3 306
-8%
3 479
+5%
4 587
+32%
3 020
-34%
2 795
-7%
3 053
+9%
2 808
-8%
Total Liabilities & Equity
7 367
N/A
7 694
+4%
8 652
+12%
10 294
+19%
11 864
+15%
13 570
+14%
12 758
-6%
15 826
+24%
18 302
+16%
17 849
-2%
16 005
-10%
16 787
+5%
14 013
-17%
15 245
+9%
13 519
-11%
13 856
+2%
13 049
-6%
12 901
-1%
15 591
+21%
19 067
+22%
17 504
-8%
15 803
-10%
14 967
-5%
14 782
-1%
Shares Outstanding
Common Shares Outstanding
479
483
487
493
485
481
411
414
419
393
341
338
347
351
324
311
283
266
256
257
227
218
215
211