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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2015
Jun. 30, 2014
CASH FLOWS FROM (FOR) OPERATING ACTIVITIES:    
Cash provided by operations $ 355 $ 345
Increase in receivables (332) (318)
Increase in inventories (63) (129)
Increase in accounts payable and accrued liabilities, net 179 163
Net cash from operating activities 139 61
CASH FLOWS FROM (FOR) FINANCING ACTIVITIES:    
Retirement of notes (500)  
Purchase of Company common stock (207) (39)
Cash dividends paid (62) (54)
Dividend payment to noncontrolling interest (36) (34)
Cash distributed to TopBuild Corp. (63)  
Issuance of TopBuild Corp. debt 200  
Issuance of notes, net of issuance costs 497  
Increase in debt, net   1
Issuance of Company common stock   1
Tax benefit from stock-based compensation 15  
Credit Agreement and other financing costs (3)  
Net cash for financing activities (159) (125)
CASH FLOWS FROM (FOR) INVESTING ACTIVITIES:    
Capital expenditures (70) (54)
Acquisition of companies, net of cash acquired (42) (2)
Proceeds from disposition of:    
Short-term bank deposits 190 222
Other financial investments 6 13
Property and equipment 4 8
Purchases of:    
Short-term bank deposits (119) (131)
Other, net (29) (16)
Net cash (for) from investing activities (60) 40
Effect of exchange rate changes on cash and cash investments (6) (4)
CASH AND CASH INVESTMENTS:    
Decrease for the period (86) (28)
At January 1 1,383 1,223
At June 30 $ 1,297 $ 1,195