Viavi Solutions Inc. β Cash Flow Charts
19 years of history Β· ending 2025-06-28 Β· SEC EDGAR
Operating Cash Flowβ-63.1% -$154M
$90M
Free Cash Flowβ-67.6% -$129M
$62M
Investing Cash Flowβ-163.7% -$80M
$-128M
Financing Cash Flowβ+59.9% +$35M
$-24M
Capexβ-46.6% -$24M
$28M
Acquisitionsβ+17171.4% +$120M
$121M
Stock Buybacksβ-61.1% -$26M
$16M
Stock-Based Compβ+9.9% +$5M
$53M
D&Aβ+7.3% +$3M
$38M