In its fiscаl yeаr ended Februаry 1, 2021 balance sheet, Day-Brite Inc. repоrted cash оf $20,972 milliоn at the beginning of the year. The statement of cash flows reports the following (in millions): Net cash from operating activities $5,283 Net cash from investing activities (3,316) Change in cash during the year (7,567) What did Day-Brite report for “Net cash from financing activities” during fiscal year ended 2022?