Walmart Inc. Financial Report: Key Insights on Stock & Debt Instruments (March 2025)

Here are the key insights extracted from the provided financial report section:
- Entity Identification:
- Company Name: Walmart Inc.
- SEC CIK: 0000104169
- Reporting Date: March 17, 2025
- Stock Information:
- Common Stock Par Value: $0.10 per share
- Stock Exchange: NYSE
- Ticker Symbol: WMT
- Debt Instruments:
- Notes Issued:
- 2.550% Notes due 2026 (Ticker: WMT26)
- 1.050% Notes due 2026 (Ticker: WMT26A)
- 1.500% Notes due 2028 (Ticker: WMT28C)
- 4.875% Notes due 2029 (Ticker: WMT29B)
- 5.750% Notes due 2030 (Ticker: WMT30B)
- 1.800% Notes due 2031 (Ticker: WMT31A)
- 5.625% Notes due 2034 (Ticker: WMT34)
- 5.250% Notes due 2035 (Ticker: WMT35A)
- 4.875% Notes due 2039 (Ticker: WMT39)
- Context:
- The report includes detailed references to various classes of stock and debt instruments, all recorded for the same reporting period (March 17, 2025).
- Regulatory Framework:
- The document adheres to the US GAAP standards, as indicated by the namespaces included in the XBRL (eXtensible Business Reporting Language) format.
These insights provide a snapshot of Walmart Inc.'s stock structure and debt financing instruments as of the specified reporting date, which is crucial for investors and analysts assessing the company's financial health and capital structure.