LENNAR CORPLENCash flow

Market cap
$27.7B
P/E ratio
2010/112011/112012/112013/112014/112015/112016/112017/112018/112019/112020/112021/112022/112023/112024/11
Depreciation & amortization14----4450669192958687110116
Stock-based compensation28243234414456617387107135184161177
Cash from operations 274-259-425-808-788-4205089971,7121,4824,1912,5333,2665,1802,403
Capital expenditures-------76-112-170-86-73-65-57-100-172
Cash from investing -673-136245689438-98-86-870-60820-280-105-128-177-303
Repurchases of common stock261712202320273005233221,4301,0391,1832,256
Cash from financing 336165326-222661395-2511,194-2,196-1,629-2,447-2,405-1,277-3,248-3,682
Free cash flow------
FCF margin (%)-------