Fortive Corporation β Cash Flow Charts
14 years of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ+12.7% +$122M
$1.08B
Free Cash Flowβ+7.4% +$67M
$978M
Investing Cash Flowβ+94.8% +$2.48B
$-135M
Financing Cash Flowβ-312.7% -$2.04B
$-1.39B
Capexβ+110.2% +$55M
$105M
Acquisitionsβ-99.0% -$2.54B
$26M
Stock Buybacks
$1.61B
Dividends Paidβ-5.6% -$6M
$92M
Stock-Based Compβ+50.9% +$39M
$117M
D&Aβ+10.6% +$42M
$438M