Skip to main navigation
  • Financials
    • SEC Filings
    • Annual Reports
    • Quarterly Reports
    • PROXY STATEMENTS
    • Fundamentals
      • Snapshot
      • Trading Statistics
      • Balance Sheet
      • Income Statement
      • Cash Flow
      • Ratios
    • Estimates
  • Stock
    • Stock Quote & Chart
    • Historical Price Lookup
    • Investment Calculator
    • Dividends
    • Analyst Coverage
  • Governance
    • Governance Highlights
    • Board of Directors
    • Executive Leadership
    • Committee Composition
    • Code of Conduct
  • News
  • Events
  • Resources
    • Shareholder Services and Forms
    • Financing Summary
    • Credit Ratings
    • Creditor Relations Contact
  • IR Contacts
    • IR Contacts
    • Information Request

Cash Flow/Share (TTM)

Cash Flow/Share (TTM)

This value is the trailing twelve month Cash Flow divided by the trailing twelve month Average Shares Outstanding. Cash Flow is defined as the sum of Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation, Depletion and Amortization.
  • Financials
    • SEC Filings
    • Annual Reports
    • Quarterly Reports
    • PROXY STATEMENTS
    • Fundamentals
      • Snapshot
      • Trading Statistics
      • Balance Sheet
      • Income Statement
      • Cash Flow
      • Ratios
    • Estimates
  • Stock
    • Stock Quote & Chart
    • Historical Price Lookup
    • Investment Calculator
    • Dividends
    • Analyst Coverage
  • Governance
    • Governance Highlights
    • Board of Directors
    • Executive Leadership
    • Committee Composition
    • Code of Conduct
  • News
  • Events
  • Resources
    • Shareholder Services and Forms
    • Financing Summary
    • Credit Ratings
    • Creditor Relations Contact
  • IR Contacts
    • IR Contacts
    • Information Request
  • Print Page
  • Email Alerts
  • RSS Feeds
  • IR Contacts