Advertisement
Advertisement

BLDR

BLDR logo

Builders Firstsource Inc

180.79
USD
-0.87
-0.48%
Oct 25, 15:59 UTC -4
Closed
...

BLDR Cash Flow


Expand Categories

ItemTTM
12/31/202312/31/202212/31/2021
Cash Flow From Operating Activities
2,030.4362,306.8723,599.2311,743.549
Cash Flow From Investing Activities
-672.107-668.293-957.479-1,344.64
Cash Flow From Financing Activities
-1,372.076-1,652.868-2,603.91-780.112
Increase (Decrease) in Cash-13.747-14.28937.842-381.203
Beginning Cash66.15680.44542.603423.806
End Cash52.40966.15680.44542.603

In Millions of USD (except for per share items).

Advertisement