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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
6 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Statement of Cash Flows [Abstract]    
Cash, Cash Equivalent and Restricted Cash Beginning of Period $ 8,246 $ 7,214
Operating Activities    
Net Earnings 8,049 7,922
Depreciation and Amortization 1,423 1,316
Share-based Compensation Expense 275 250
Deferred Income Taxes (154) (398)
Gain (Loss) on Disposition of Assets (3) (3)
Impairment of Intangible Assets for Grooming Segment, Indefinite-Lived (Excluding Goodwill) 1,341 0
Changes In:    
Accounts Receivable (839) (654)
Inventories (32) (655)
Accounts Payable, Accrued and Other Liabilities 302 177
Other Operating Assets and Liabilities (704) (535)
Other Noncash Expense 346 224
Total Operating Activities 10,004 7,644
Investing Activities    
Payments to Acquire Property, Plant, and Equipment (1,742) (1,598)
Proceeds from Asset Sales 8 8
Payments for (Proceeds from) Businesses and Interest in Affiliates 0 (76)
Payments for (Proceeds from) Investments (489) 344
Total Investing Activites (2,224) (1,322)
Financing Activities    
Dividends to Shareholders (4,578) (4,486)
Proceeds from Short-term Debt, Maturing in More than Three Months 2,798 10,447
Repayments of Short-term Debt, Maturing in More than Three Months (5,862) (3,260)
Change in Short-term Debt 3,740 (1,759)
Proceeds from Issuance of Long-Term Debt 254 0
Repayments of Long-term Debt (2,335) (1,877)
Treasury Stock Purchases (2,503) (6,002)
Impact of Stock Options and Other 397 437
Total Financing Activities (8,087) (6,500)
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents (49) (182)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect, Total (356) (360)
Cash, Cash Equivalents and Restricted Cash, End of Period $ 7,890 $ 6,854