AVIS BUDGET GROUP, INC.CARCash flow

Market cap
$4.5B
P/E ratio
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Stock-based compensation-----2827132422930253019
Cash from operations 1,6401,5781,8892,2532,5792,5842,6292,6482,6092,5866913,4914,7073,8283,518
Cash from investing -1,603-2,373-2,073-2,234-2,807-2,830-2,149-2,204-3,426-2,7523,177-6,306-4,299-7,346-2,753
Payments for dividends -------------355-
Repurchases of common stock---48297393387210216671191,4603,32995170
Cash from financing 38042425076182115-438-308667318-4,0452,687-3603,506-781