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CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) - USD ($)
$ in Thousands
9 Months Ended
Jun. 30, 2024
Jun. 30, 2023
OPERATING ACTIVITIES    
Net income $ 1,511,807 $ 1,383,596
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation, including amounts charged to cost of goods sold 336,955 307,345
Amortization, including amounts charged to interest expense 502,136 389,843
Provision for credit losses 30,216 21,264
Benefit for deferred income taxes (106,076) (89,968)
Share-based compensation expense 113,410 99,699
LIFO (credit) expense (64,441) 114,272
Turkey highly inflationary impact 44,664 66,022
Loss on remeasurement of equity investment 24,752 0
Other, net 15,717 (8,674)
Changes in operating assets and liabilities, excluding the effects of acquisitions:    
Accounts receivable (3,085,563) (2,249,881)
Inventories (835,633) (1,369,977)
Income taxes receivable 32,475 140,310
Prepaid expenses and other assets 126,998 95,435
Accounts payable 4,112,542 3,513,686
Accrued expenses (87,271) (163,660)
Income taxes payable and other liabilities (97,896) (158,031)
Long-term accrued litigation liability (90,486) (6,758)
NET CASH PROVIDED BY OPERATING ACTIVITIES 2,484,306 2,084,523 Close
INVESTING ACTIVITIES    
Capital expenditures (304,849) (282,862)
Cost of acquired companies, net of cash acquired (24,487) (1,409,681)
Cost of equity investments (14,981) (737,025)
Non-customer note receivable (50,000) 0
Other, net 18,106 10,544
NET CASH USED IN INVESTING ACTIVITIES (376,211) (2,419,024) Close
FINANCING ACTIVITIES    
Senior notes and loan borrowings 688,321 157,547
Senior notes and loan repayments (659,255) (759,593)
Borrowings under revolving and securitization credit facilities 56,683,347 49,810,302
Repayments under revolving and securitization credit facilities (56,744,334) (49,789,813)
Purchases of common stock (986,388) (907,214)
Exercises of stock options 31,560 50,078
Cash dividends on common stock (315,223) (300,413)
Employee tax withholdings related to restricted share vesting (60,121) (71,059)
Other, net (11,641) (5,099)
NET CASH USED IN FINANCING ACTIVITIES (1,373,734) (1,815,264) Close
EFFECT OF EXCHANGE RATE CHANGES ON CASH, CASH EQUIVALENTS, AND RESTRICTED CASH (10,854) 104,479 Close
INCREASE (DECREASE) IN CASH, CASH EQUIVALENTS, AND RESTRICTED CASH 723,507 (2,045,286) Close
Cash, cash equivalents, and restricted cash at beginning of period 2,752,889 3,593,539
CASH, CASH EQUIVALENTS, AND RESTRICTED CASH AT END OF PERIOD $ 3,476,396 $ 1,548,253