BED BATH & BEYOND, INC.BBBYCash flow

Market cap
P/E ratio
2011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization16161518-----3119171919
Stock-based compensation343445414181311182319
Cash from operations 262884815540-35-139-8219698-13-19-174
Capital expenditures-9-12-18-41-60-72-24-29-22-19-14-15-19-14
Cash from investing -9-14-26-44-82-79-18-111-27-24-56-33-4525
Repurchases of common stock20122111-------
Proceeds from issuance of term debt, net----93640--48----
Repayments of term debt------46403333435
Cash from financing -44-18-3-317537318981231-11-86-533
Free cash flow
FCF margin (%)