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Real Time Chart
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Stock Profile
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Stock Fundamentals
Cash Flow
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capital Expenditures
--3,074,000,000
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cash Change
4,540,000,000
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cash Flow
4,051,000,000
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cash Flow Financing
--2,273,000,000
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changes In Inventories
1,741,000,000
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changes In Receivables
9,378,000,000
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currency
USD
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depreciation
3,203,000,000
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filing Type
10-Q
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fiscal Date
2023-03-31
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fiscal Quarter
1
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fiscal Year
2023
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fiscal Year
2023
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net Borrowings
73,905,000,000
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net Income
1,940,000,000
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report Date
2023-04-27
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symbol
TMUS
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total Investing Cash Flows
--1,728,000,000
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id
CASH_FLOW
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key
TMUS
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subkey
quarterly
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date
2023-03-31
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updated
2023-05-05
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Symbol Info
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Symbol Over View
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Technical Analysis
TMUS stock fundamentals - cash flow