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ChartFinancialsNewsAbout
HighlightsIncome StatementBalance SheetCash Flow
FY2022FY2023FY2024FY2025FY2026

Operating Activities

Net Income$3.83B$3.97B$4.33B$4.09B$4.43B
Depreciation & Amortization$3.97B$4.18B$4.29B$4.26B$4.37B
Stock-Based Compensation$190.00M$182.00M$163.00M$154.00M$177.00M
Working Capital Changes-$3.12B-$3.17B-$3.43B-$4.71B-$3.51B
Operating Cash Flow$9.83B$8.81B$8.31B$7.04B$8.93B
YoY Growth %—-10.3%-5.7%-15.4%+26.8%

Investing Activities

Capital Expenditures-$6.76B-$6.17B-$5.18B-$4.05B-$3.81B
Acquisitions$94.00M$84.00M$114.00M$115.00M$97.00M
Investing Cash Flow-$6.82B-$6.17B-$5.20B-$4.09B-$3.91B

Financing Activities

Debt Issuance (Net)-$161.00M-$152.00M-$147.00M-$157.00M$3.98B
Share Repurchases-$2.25B-$1.50B-$2.50B-$3.02B-$796.00M
Dividends Paid-$793.00M-$1.18B-$1.26B-$1.34B-$1.37B
Financing Cash Flow-$3.02B-$2.60B-$3.43B-$4.02B$2.75B

Summary

Net Change in Cash-$190.00M-$74.00M-$355.00M-$999.00M$7.81B
Free Cash Flow$3.07B$2.64B$3.14B$2.98B$5.12B
YoY Growth %—-13.9%+18.7%-4.9%+71.6%

Financials are standardized for comparability and may differ from company-reported line-item presentation.

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