The Operating Cash Flow per Share is calculated by dividing the Net Cash Provided by Operating Activities by the Diluted Weighted Average Shares Outstanding for the respective fiscal year.
The value for FY25 is an estimate based on the trailing twelve months (TTM) data ending March 31, 2025, as the full fiscal year data is not yet available. The TTM operating cash flow as of the end of Q1 2025 was approximately $96.11 billion. The diluted weighted average shares outstanding for the quarter ending March 31, 2025 was 2.59 billion.