MARSH & MCLENNAN COMPANIES, INC.MMCCash flow

Market cap
$91.7B
P/E ratio
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Stock-based compensation----9388109149193252290348367363368
Cash from operations 7221,7051,3221,3412,1121,8882,0071,8932,4282,3613,3823,5163,4654,2584,302
Capital expenditures-271-280-320-401-368-325-253-302-314-421-348-406-470-416-316
Cash from investing 535-457-583-446-1,222-1,265-1,056-956-1,089-5,671-814-1,164-850-1,417-8,821
Repurchases of common stock863612305508001,400800900675485-1,1591,9501,150900
Repayments of term debt5591125926033161123152631,0642,5151,0163652661,617
Cash from financing -1,130-1,007-633-834-961-906-1,067-1,009-1,3103,306-1,880-1,297-1,046-1,1194,455
Free cash flow
FCF margin (%)