Morningstar® Stock Report™

NICE Ltd NICE

Flujo de Caja
20192020202120222023
Operating Cash Flow Growth-YOY-5.6628.37-3.853.8817.03
Free Cash Flow Growth-YOY-6.2333.58-5.380.8219.97
Cap Ex as a % of Sales-3.94%-3.84%-3.50%-3.75%-3.54%
Free Cash Flow/Sales19.84%25.30%20.54%18.24%20.07%
Free Cash Flow/Net Income1.682.121.981.501.41
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