Meta Platforms Inc Shs -A CAD hedged- Canadian Depositary Receipt Repr Shs Reg S Cash Flow
TSE:META's free cash flow for Q4 2024 was $27.99B. For the 2024 fiscal year, TSE:META's free cash flow was decreased by $20.21B and operating cash flow was $27.99B. See a summary of the company’s cash flow.
Cash Flow
Dec 24
Dec 23
Dec 22
Dec 21
Dec 20
Operating Cash Flow
$ 91.33B
$ 71.11B
$ 50.48B
$ 57.68B
$ 38.75B
Investing Cash Flow
$ ―
$ ―
$ ―
$ ―
$ ―
Financing Cash Flow
$ ―
$ ―
$ ―
$ ―
$ ―
End Cash Position
$ ―
$ ―
$ ―
$ ―
$ ―
Free Cash Flow
$ 91.33B
$ 71.11B
$ 50.48B
$ 39.12B
$ 23.63B
Currency in USD
Meta Platforms Inc Shs -A CAD hedged- Canadian Depositary Receipt Repr Shs Reg S Cash Flow