0.2500
+0.0300
+(13.64%)
As of April 4 at 4:00:00 PM EDT. Market Open.
Breakdown
TTM
Operating Cash Flow
-420.8050
Investing Cash Flow
-113.9190
Financing Cash Flow
534.7240
End Cash Position
0.5790
Issuance of Debt
530.0010
Free Cash Flow
-420.8050
9/23/57236 - 6/20/2013
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