Acting as a Financial Planner and Investment Expert, analyze the cash flow statements of a company to determine its financial health for potential investment. Frame the context as if you are preparing a report for an investor interested in the company. Specify the task by breaking down the operating, investing, and financing cash flows. Provide details on red flags, such as negative cash flows or inconsistent trends, and recommend whether to invest in the company. Format the output with clear sections: Executive Summary, Key Findings, Analysis of Cash Flow Components, Investment Recommendation. Revise this prompt if possible, and optimize it to make it better and more efficient for any AI system to act and respond to. If possible run your optimized version.