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FY2023FY2024FY2025

Operating Activities

Net Income-$4.63B$791.00M-$4.94B
Depreciation & Amortization$2.63B$3.82B$6.70B
Stock-Based Compensation$679.00M$784.00M$1.95B
Working Capital Changes$2.01B$1.67B$2.09B
Operating Cash Flow$4.52B$5.78B$6.79B
YoY Growth %—+27.8%+17.5%

Investing Activities

Capital Expenditures-$4.42B-$11.16B-$20.74B
Acquisitions$0.00$0.00$0.00
Investing Cash Flow-$4.87B-$10.80B-$19.57B

Financing Activities

Debt Issuance (Net)-$112.00M-$231.00M$8.90B
Share Repurchases-$170.00M-$1.02B-$1.13B
Dividends Paid$0.00$0.00$0.00
Financing Cash Flow$422.00M$11.83B$26.35B

Summary

Net Change in Cash$73.00M$6.81B$13.62B
Free Cash Flow$105.00M-$5.39B-$13.95B
YoY Growth %—-5230.5%—

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

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