Cash from Operations
aa.aa aa.aa aa.aa aa.aa aa.aa -411,732.3 -345,066.5 -204,852.6 -1,135,205.2 -1,168,176 Cash from Operations Growth
Net Income
Total Depreciation, Depletion & Amortization
Other Operating Activities, Total
aa.aa aa.aa aa.aa aa.aa aa.aa +38.52% +16.19% +40.63% -454.16% -2.9% aa.aa aa.aa aa.aa aa.aa aa.aa 4,384.49 25,619.7 38,607.4 33,484.5 91,072 aa.aa aa.aa aa.aa aa.aa aa.aa 5,240.3 8,324.3 7,602.9 7,540.8 8,018.5 aa.aa aa.aa aa.aa aa.aa aa.aa -422,261.19 -380,508.5 -252,421.7 -1,177,738.4 -1,268,304
Cash from Investing
aa.aa aa.aa aa.aa aa.aa aa.aa -3,383.3 -7,868.4 -12,043.8 -7,324.7 -15,064.2 Cash from Investing Growth
Capital Expenditure
Divestitures
Other Investing Activities
Cash from Financing
aa.aa aa.aa aa.aa aa.aa aa.aa 419,713.4 411,613.5 425,490.9 1,373,876 923,957.3 Cash from Financing Growth
Total Debt Issued
Short Term Debt Issued, Total
Long-Term Debt Issued, Total
Total Debt Repaid
Long-Term Debt Repaid, Total
Short Term Debt Repaid, Total
Repurchase of Common Stock
Issuance of Common Stock
Issuance of Preferred Stock
Repurchase of Preferred Stock
Common & Preferred Stock Dividends Paid
Special Dividend Paid
Other Financing Activities
Foreign Exchange Rate Adjustments
Miscellaneous Cash Flow Adjustments
aa.aa aa.aa aa.aa aa.aa aa.aa -11.46% -1.93% +3.37% +222.89% -32.75% aa.aa aa.aa aa.aa aa.aa aa.aa - 35,051.1 24,540.2 44,617.2 71,020 aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa - 35,051.1 24,540.2 44,617.2 71,020 aa.aa aa.aa aa.aa aa.aa aa.aa -11,902.3 - - - - aa.aa aa.aa aa.aa aa.aa aa.aa -11,902.3 - - - - aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa 160,910 37,773.3 17,930.5 - - aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa -300.1 - - -7,047.1 -7,157.2 aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa 271,005.8 338,789.1 383,020.2 1,336,305.9 860,094.5 aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa - 297,108.2 - -0.1 -
Net Change in Cash
aa.aa aa.aa aa.aa aa.aa aa.aa 4,597.8 355,786.8 208,594.5 231,346 -259,282.9 Beginning Cash Balance
Ending Cash Balance
Levered Free Cash Flow
Levered Free Cash Flow Growth
Free Cash Flow Yield
aa.aa aa.aa aa.aa aa.aa aa.aa 414,543.61 369,863.4 307,202.7 597,155.8 955,567 aa.aa aa.aa aa.aa aa.aa aa.aa 419,141.41 725,650.2 515,797.2 828,501.8 696,284.1 aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa - - - - - aa.aa aa.aa aa.aa aa.aa aa.aa -234.98% -99.22% -54.79% -222.32% -86.12%