Question: Please calculate cash generated by operating activities, cash generated by investing activities, cash generated by financing activities, capital expenditures, cash dividends, free cash flow. Please

 Please calculate cash generated by operating activities, cash generated by investing

Please calculate cash generated by operating activities, cash generated by investing activities, cash generated by financing activities, capital expenditures, cash dividends, free cash flow. Please show the calculations thank you.

CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($) $ in Millions 12 Months Ended Sep. 29, 2018 Sep. 28, 2019 Sep. 30, 2017 $ 25,913 $ 20,289 $ 20,484 55,256 59,531 48,351 12,547 6,068 (340) (652) 10,903 5,340 (32,590) (444) 10,157 4,840 5,966 (166) 245 (289) 2,931 873 (1,923) (625) (4,700) 69,391 (5,322) 828 (8,010) (423) 9,175 (3) 38,449 77,434 (2,093) (2,723) (4,254) (5,318) 8,966 (593) 1,092 64,225 Statement of Cash Flows [Abstract] Cash, cash equivalents and restricted cash, beginning balances Operating activities: Net income Adjustments to reconcile net income to cash generated by operating activities: Depreciation and amortization Share-based compensation expense Deferred income tax expense/(benefit) Other Changes in operating assets and liabilities: Accounts receivable, net Inventories Vendor non-trade receivables Other current and non-current assets Accounts payable Deferred revenue Other current and non-current liabilities Cash generated by operating activities Investing activities: Purchases of marketable securities Proceeds from maturities of marketable securities Proceeds from sales of marketable securities Payments for acquisition of property, plant and equipment Payments made in connection with business acquisitions, net Purchases of non-marketable securities Proceeds from non-marketable securities Other Cash generated by/(used in) investing activities Financing activities: Proceeds from issuance of common stock Payments for taxes related to net share settlement of equity awards Payments for dividends and dividend equivalents Repurchases of common stock Proceeds from issuance of term debt, net Repayments of term debt Proceeds from/(Repayments of commercial paper, net Other Cash financing activities Increase/Decrease) in cash, cash equivalents and restricted cash Cash, cash equivalents and restricted cash, ending balances Supplemental cash flow disclosure: Cash paid for income taxes, net Cash paid for interest (159,486) 31,775 94,564 (12,451) (39,630) 40,102 56,988 (10,495) (624) (1,001) 1,634 (1,078) 45,896 (71,356) 55,881 47,838 (13,313) (721) (1,871) 353 (745) 16,066 (329) (521) 126 (124) (46,446) 781 (2,817) 14,119 (66,897) 6,963 (8,805) (5,977) (105) (90,976) 24,311 50,224 669 (2,527) 13,712 (72,738) 6,969 (6,500) (37) 0 (87,876) 555 (1,874) 12,769 (32,900) 28,662 (3,500) 3,852 0 (17,974) (195) 20,289 5,624 25,913 15,263 10,417 $3,022 11,591 $ 2,092 $3,423

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