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Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 645.14 577.86 488.77 559.39 597.72 623.99 512.79 552.66 426.53 454.96 289.06 360.84 360.93 383.11 407.36 671.18 295.29 217.29 335.70 391.53
Cash flow from investing + -462.37 483.79 2,183.83 242.27 -2,082.76 -5,390.50 -730.17 -91.02 220.72 -805.21 -1,195.40 -1,062.68 -713.66 -1,160.84 -2,184.84 -654.45 -1,572.27 -1,478.98 -578.36 -389.45
Cash flow from financing + -11.04 -372.94 -883.12 -4,200.81 3,573.66 6,067.03 -84.06 223.25 -924.54 652.56 308.34 533.05 842.42 1,040.00 1,834.35 -19.88 441.46 1,232.79 416.59 478.10
Change in cash 171.72 688.71 1,789.48 -3,399.15 2,088.63 1,300.52 -301.43 684.89 -277.29 302.31 -598.00 -168.80 489.69 262.27 56.88 -3.16 -835.52 -28.89 173.93 480.18
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Operating cash flow + 684.80 266.32 129.02 111.19 138.60 -136.66 431.68 147.36 135.48 121.02 146.86 104.83 116.06 89.60 183.62 161.66 124.51 111.60 158.88 125.58 201.67 151.61 242.66 149.96 79.77 135.46 125.60 109.55 142.18 105.95 158.63 144.09 143.99 98.92 127.25 68.79 138.28 86.20 83.77 67.91 195.88 10.24 85.27 98.04 95.52 75.21 76.78 87.38 121.48 72.16 120.87 69.83 98.07 87.75 91.97 83.25 120.15 96.26 116.23 92.90 101.97 265.31 311.14 149.47 -54.74 -39.42 290.54 113.68 -69.50 128.87 28.25 15.43 44.75 136.82 86.19 112.09 0.60 155.32 55.34 122.84 116.44
Cash flow from investing + 859.21 -62.09 -149.55 122.69 -373.43 -484.89 -236.97 664.73 540.92 465.46 575.79 252.61 888.24 489.43 552.28 708.24 -1,507.68 -453.93 -932.67 -368.43 -327.73 -947.56 -1,503.45 -2,657.90 -281.59 -275.90 -306.23 -116.71 -31.32 35.77 -379.70 -30.46 283.36 -100.48 176.16 318.42 -173.38 -712.40 -138.67 -37.67 83.52 -570.75 -430.80 406.62 -600.46 -852.32 327.90 -319.66 -218.60 -528.22 207.54 31.39 -424.37 -974.06 26.25 -218.40 5.36 -1,114.08 -403.60 -250.07 -417.09 -112.65 -867.30 -41.13 366.62 -171.85 -443.97 -636.60 -319.85 -349.24 -9.27 -544.80 -575.67 62.12 -414.70 -165.65 -60.13 6.20 -122.42 -263.53 -9.70
Cash flow from financing + -1,248.41 389.27 -171.59 -361.46 132.73 847.43 410.61 -168.02 -1,462.95 -107.72 -1,454.21 860.78 -181.97 -690.31 -798.74 -1,403.57 -1,308.19 2,387.72 479.03 408.36 298.56 1,446.80 1,000.16 3,426.54 193.53 163.87 103.56 362.18 -713.67 262.37 478.63 -150.99 -366.76 -86.37 -229.81 -396.60 -211.76 941.52 -102.51 38.80 -227.16 604.49 102.94 -355.58 -43.50 1,155.37 -247.09 48.97 -424.20 776.55 191.12 -292.53 167.27 1,096.78 -59.53 211.39 -208.63 965.68 -30.09 474.62 424.13 -112.89 325.43 189.91 -422.32 200.79 203.23 -62.52 99.95 565.47 -151.36 406.18 412.50 65.20 328.56 131.67 -108.84 17.57 142.45 466.71 -207.04
Change in cash 295.60 593.49 -192.11 -127.57 -102.09 225.88 605.32 644.07 -786.56 478.77 -731.57 1,218.22 822.32 -111.28 -62.84 -533.67 -2,691.36 2,045.38 -294.77 165.51 172.50 650.85 -260.64 918.60 -8.29 23.43 -77.08 355.02 -602.81 404.09 257.56 -37.36 60.59 -87.93 73.60 -9.40 -246.87 315.32 -157.40 69.04 52.25 43.97 -242.60 149.08 -548.45 378.26 157.58 -183.31 -521.33 320.49 519.53 -191.30 -159.03 210.46 58.70 76.24 -83.13 -52.13 -317.46 317.45 109.01 39.76 -230.73 298.25 -110.44 -10.48 49.79 -585.44 -289.40 345.09 -132.37 -123.19 -118.42 264.14 0.06 78.11 -168.37 179.09 75.36 326.02 -100.29
about 22 hours ago