Operating cash flow
Not reported
Investing cash flow
Not reported
Financing cash flow
Not reported
| Account |
2025
|
Trend |
| CashFlow |
| Operating Activities net Income |
$382.0M
|
|
| Operating Activities Depreciation and Amortization |
$1.9B
|
|
| Operating Activities Stock Based Compensation |
$181.0M
|
|
| Operating Activities Deferred Income Taxes |
$-31.0M
|
|
| Operating Activities Changes In Operating Assets and Liabilities |
$445.0M
|
|
| Investing Activities Capital Expenditures |
$154.0M
|
|
| Investing Activities Business Acquisitions |
$573.0M
|
|
| Investing Activities Other Investing Activities |
$98.0M
|
|
| Financing Activities Proceeds From Debt |
$55.4B
|
|
| Financing Activities Repayment of Debt |
$54.3B
|
|
| Financing Activities Repurchase of Common Stock |
$1.4B
|
|
| Financing Activities Dividends Paid |
$847.0M
|
|
| Financing Activities Proceeds From Stock Issuance |
$8.0M
|
|
| Financing Activities Other Financing Activities |
$35.0M
|
|
| Cash Reconciliation Effect of Exchange Rate On Cash |
$58.0M
|
|
| Cash Reconciliation net Change In Cash |
$-1.3B
|
|
| Cash Reconciliation Cash At Beginning of Period |
$599.0M
|
|
| Cash Reconciliation Cash At End of Period |
$599.0M
|
|