PCAR
PACCAR Inc (PCAR)
Last Price$110.13.0%
Market Cap$57.8B
LTM Cash Flow from Operating Activities
$4,640.9M
YoY Growth
+10.8%
3Y CAGR
+28.5%
5Y CAGR
+10.2%
Stock quality & Intrinsic value
6/10
6.0% undervalued

PACCAR Inc Cash Flow from Operating Activities

Annual
Quarterly
LTM
Crunching data... Almost there!
Dec'05Dec'06Dec'07Dec'08Dec'09Dec'10Dec'11Dec'12Dec'13Dec'14Dec'15Dec'16Dec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24
Cash Flow from Operating Activities
$986.8M
$1,852.7M
$2,055.4M
$1,304.9M
$1,373.3M
$1,551.4M
$1,592.6M
$1,519.0M
$2,375.7M
$2,123.6M
$2,556.0M
$2,300.8M
$2,715.8M
$2,992.3M
$2,860.3M
$2,987.2M
$2,186.7M
$3,027.0M
$4,190.0M
$4,640.9M
PCAR
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PACCAR Inc (PCAR) Cash Flow from Operating Activities comparison analysis

PCAR key stats

USD
Millions
Billions
Annual
Quarterly
Trailing
Key stats
Income statement
Balance sheet
Cash Flow Statement
Valuation
Ratios
Per share
Per employee
Dividends & Yields
Dec'05Dec'06Dec'07Dec'08Dec'09Dec'10Dec'11Dec'12Dec'13Dec'14Dec'15Dec'16Dec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24
% growth
14,057.4
23.4%
16,454.1
17.0%
15,221.7
(7.5%)
14,972.5
(1.6%)
8,086.5
(46.0%)
10,292.9
27.3%
16,355.2
58.9%
17,050.5
4.3%
17,123.8
0.4%
18,997.0
10.9%
19,115.1
0.6%
17,033.3
(10.9%)
19,456.4
14.2%
23,495.7
20.8%
25,599.7
9.0%
18,728.5
(26.8%)
23,522.3
25.6%
28,819.7
22.5%
35,127.4
21.9%
31,564.3
(10.1%)
Cost of Goods Sold (COGS)11,340.513,773.411,917.311,736.96,483.48,198.813,341.814,584.114,628.316,203.815,993.814,280.116,470.819,839.921,584.316,276.520,230.424,068.127,985.526,069.6
% margin
2,716.9
19.3%
2,680.7
16.3%
3,304.4
21.7%
3,235.6
21.6%
1,603.1
19.8%
2,094.1
20.3%
3,013.4
18.4%
2,466.4
14.5%
2,495.5
14.6%
2,793.2
14.7%
3,121.3
16.3%
2,753.2
16.2%
2,985.6
15.3%
3,655.8
15.6%
4,015.4
15.7%
2,452.0
13.1%
3,291.9
14.0%
4,751.6
16.5%
7,141.9
20.3%
5,494.7
17.4%
Operating Expenses555.2587.0857.8923.2634.1788.2876.5870.9823.8792.4793.7805.8842.0967.31,040.5884.11,001.41,073.0918.51,037.9
Research & Development Expenses (R&D)0.00.0255.5341.8199.2238.5288.2279.3251.4215.6239.8247.2264.7306.1326.6273.9324.1341.2410.9452.9
Selling, General & Administrative Expenses (SG&A)555.2587.0602.3581.4434.9481.5546.9571.6559.5561.4541.5540.2555.0644.7698.5581.4676.8726.3784.6585.0
2,104.8
15.0%
2,012.4
12.2%
2,392.2
15.7%
2,330.7
15.6%
422.1
5.2%
861.5
8.4%
1,660.7
10.2%
1,562.4
9.2%
1,643.1
9.6%
1,978.5
10.4%
2,305.8
12.1%
2,752.8
16.2%
2,108.3
10.8%
2,627.6
11.2%
2,892.6
11.3%
1,532.0
8.2%
2,275.0
9.7%
3,617.6
12.6%
6,043.1
17.2%
4,456.8
14.1%
Interest Income0.00.00.0685.2501.8421.6423.10.30.00.01.16.946.460.842.054.172.659.40.00.0
Interest Expense331.20.0627.9866.7335.4222.3668.20.05.35.513.41,622.40.00.00.01,200.11,120.3109.1520.40.0
Pre-tax Income1,773.62,175.31,764.314,640.0175.0660.31,506.91,628.91,695.02,017.62,337.11,130.42,173.32,810.23,099.21,657.92,378.63,848.75,718.24,570.6
% effective tax rate
640.4
36.1%
679.3
31.2%
537.0
30.4%
446.1
3.0%
63.1
36.1%
202.7
30.7%
464.6
30.8%
517.3
31.8%
523.7
30.9%
658.8
32.7%
733.1
31.4%
608.7
53.8%
498.1
22.9%
615.1
21.9%
711.3
23.0%
359.5
21.7%
526.5
22.1%
837.1
21.8%
1,117.4
19.5%
408.6
8.9%
% margin
1,133.2
8.1%
1,496.0
9.1%
1,227.3
8.1%
1,017.9
6.8%
111.9
1.4%
457.6
4.4%
1,042.3
6.4%
1,111.6
6.5%
1,171.3
6.8%
1,358.8
7.2%
1,604.0
8.4%
521.7
3.1%
1,675.2
8.6%
2,195.1
9.3%
2,387.9
9.3%
1,301.2
6.9%
1,865.5
7.9%
3,011.6
10.4%
4,600.8
13.1%
4,162.0
13.2%
EPS1.962.662.201.860.210.841.912.092.202.553.020.993.174.174.592.503.585.768.787.92
Diluted EPS1.942.642.191.850.200.831.912.082.202.543.010.993.164.164.582.493.575.758.767.90
% margin
2,474.9
17.6%
2,447.0
14.9%
2,918.6
19.2%
2,080.2
13.9%
834.0
10.3%
1,271.7
12.4%
2,153.2
13.2%
2,263.3
13.3%
2,453.8
14.3%
2,896.2
15.2%
3,212.9
16.8%
3,745.9
22.0%
3,215.8
16.5%
3,681.7
15.7%
3,969.9
15.5%
2,581.0
13.8%
3,268.2
13.9%
4,407.8
15.3%
6,626.9
18.9%
5,809.3
18.4%

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FAQ

1) What is PACCAR Inc's Cash Flow from Operating Activities?

As of today, PACCAR Inc's last 12-month Cash Flow from Operating Activities is $4,640.9M, based on the financial report for Dec 31, 2024 (Q4’2024).

2) What is PACCAR Inc's Cash Flow from Operating Activities growth rate?

Over the last year, PACCAR Inc's Cash Flow from Operating Activities growth was 10.8%. The average annual Cash Flow from Operating Activities growth rates for PACCAR Inc have been 23.0% over the past three years, 10.2% over the past five years.

3) Is PACCAR Inc's Cash Flow from Operating Activities growth rate Good?

Over the last year, PACCAR Inc's Cash Flow from Operating Activities growth was 10.8%, which is higher than industry growth of (0.2%). It indicates that PACCAR Inc's Cash Flow from Operating Activities growth is Good.

4) How does PACCAR Inc's Cash Flow from Operating Activities growth rate compare to its peers?

Over the last year, PACCAR Inc's Cash Flow from Operating Activities growth was 10.8%, which is higher than peer median growth of (48.3%). The list of peers includes CAT, DE, CNHI, AGCO, TEX, ALG, REVG, LNN, OSK, CMCO etc.