Workflow
Maplebear (CART) - 2024 Q1 - Quarterly Report

Cash Flows from Investing Activities For the three months ended March 31, 2023, net cash provided by investing activities was 42million,comprisedprimarilyofmaturitiesofmarketablesecuritiesof42 million, comprised primarily of maturities of marketable securities of 51 million, partially offset by purchases of property and equipment, including capitalized internal-use software of 9million.TableofContentsForthethreemonthsendedMarch31,2024,netcashusedinfinancingactivitieswas9 million. Table of Contents For the three months ended March 31, 2024, net cash used in financing activities was 750 million, comprised primarily of repurchases of common stock of $715 millio ...