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For 3Q15, $NOV generated $410MM in cash flow from operations. Offsetting this cash flow were share repurchases of $444MM, dividend payments of $174MM, investments in business of $124MM and foreign exchange impact on cash balances and other items of $44MM. Net impact of cash flow for 3Q15 was a $376MM increase in net debt. Total debt fell $322MM.
$TXMD flying high.. anyone here to catch..?
$CMG crashing. There seems to be nothing good to read about this company.
Impressed with $AMZN’s latest grocery ambitions. The new Amazon Go convenience store, is an absolute game changer.
Keep your eyes on $FLXN. This one could ascend rapidly. Great time to buy your favourite bio stocks. Make more $$$