As of today, Textron Inc. last 12-month Revenue is $13.9B , EBITDA is ($1.3B) and Net Income is $0.9B , based on the financial report for Jun 29, 2024 (Q2 2024).
As of today, Textron Inc. Total Assets are $16.4B and Total Liabilities are $9.6B , based on the financial report for Jun 29, 2024 (Q2 2024).
As of today, Textron Inc. last 12-month Cash Flow from Operating Activities is $368.0M, Cash Flow from Investing Activities is ($48.0M) and Cash Flow from Financing Activities is ($372.0M), based on the financial report for Jun 29, 2024 (Q2 2024).
As of today, Textron Inc. last 12-month Free Cash Flow is $771.0M , based on the financial report for Jun 29, 2024 (Q2 2024).