036810.KQ

Fine Semitech Corp. 036810.KQ

Finances

2024 2023 2022 2021 2020 2019
Revenue 237.408 B 20.14 % 197.609 B -10.02 % 219.624 B 2.79 % 213.658 B 28.59 % 166.158 B 32.15 % 125.730 B
Net income 1.450 B 110.70 % -13.551 B -130.75 % 44.075 B 37.12 % 32.144 B 72.01 % 18.687 B 2.23 % 18.279 B
Income before tax -4.664 B 76.61 % -19.943 B -148.37 % 41.228 B 16.56 % 35.372 B 51.66 % 23.324 B 5.17 % 22.178 B
Income before tax ratio -0.02 80.53 % -0.10 -153.76 % 0.19 13.39 % 0.17 17.94 % 0.14 -20.42 % 0.18
EBITDA 20.389 B 181.31 % 7.248 B -87.46 % 57.817 B 22.66 % 47.135 B 48.96 % 31.642 B 27.12 % 24.893 B
Net income ratio 0.01 108.91 % -0.07 -134.17 % 0.20 33.39 % 0.15 33.77 % 0.11 -22.64 % 0.15
Ratio EBITDA 0.09 134.15 % 0.04 -86.07 % 0.26 19.33 % 0.22 15.84 % 0.19 -3.81 % 0.20
Gross profit ratio 0.34 1.09 % 0.34 -5.78 % 0.36 -7.17 % 0.38 5.48 % 0.36 -8.47 % 0.40
Weighted average shs out dil 20.401 M 3.00 % 19.807 M 0.75 % 19.659 M 1.34 % 19.399 M 6.51 % 18.214 M -0.15 % 18.242 M
Weighted average shs out 20.401 M 4.03 % 19.611 M -0.24 % 19.659 M 1.34 % 19.399 M 6.51 % 18.214 M -0.15 % 18.242 M
EPS diluted 71.09 110.39 % -684.16 -130.82 % 2 219.80 35.30 % 1 640.59 59.90 % 1 026.00 2.40 % 1 002.00
Earnings per share 71.09 110.29 % -691.00 -131.13 % 2 219.80 35.30 % 1 640.59 59.90 % 1 026.00 2.40 % 1 002.00
Gross profit 80.514 B 21.46 % 66.291 B -15.22 % 78.193 B -4.58 % 81.949 B 35.63 % 60.422 B 20.96 % 49.950 B
Income tax expense -3.026 B -54.00 % -1.965 B -717.95 % 317.984 M -95.56 % 7.156 B 54.34 % 4.637 B 18.91 % 3.899 B
Cost of revenue 156.894 B 19.48 % 131.318 B -7.15 % 141.431 B 7.38 % 131.709 B 24.56 % 105.736 B 39.53 % 75.780 B
General and administrative expenses 8.896 B 14.47 % 7.771 B 17.93 % 6.590 B 60.33 % 4.110 B 29.79 % 3.167 B 196.73 % 1.067 B
Selling and marketing expenses 12.308 B -4.39 % 12.873 B -10.51 % 14.384 B 29.86 % 11.077 B 69.60 % 6.531 B 30.88 % 4.990 B
Other expenses 38.868 B 10.41 % 35.204 B 14.61 % 30.716 B 15.51 % 26.590 B 47.21 % 18.062 B 4 472.84 % -413.061 M
Operating expenses 78.227 B 1.50 % 77.073 B 7.26 % 71.860 B 21.37 % 59.207 B 66.41 % 35.580 B 29.22 % 27.535 B
Cost and expenses 235.121 B 12.83 % 208.391 B -2.30 % 213.290 B 11.72 % 190.916 B 35.10 % 141.316 B 36.78 % 103.315 B
Research and development expenses 18.155 B -14.47 % 21.225 B 5.23 % 20.170 B 15.73 % 17.429 B 122.90 % 7.819 B 33.88 % 5.841 B
Selling general and administrative expenses 21.204 B 2.71 % 20.644 B -1.57 % 20.974 B 38.10 % 15.187 B 56.60 % 9.698 B -56.13 % 22.108 B
Interest income 514.247 M -34.46 % 784.601 M 79.93 % 436.054 M 34.68 % 323.766 M 193.09 % 110.466 M -67.82 % 343.232 M
Interest expense 5.705 B 22.18 % 4.670 B 97.84 % 2.360 B 75.30 % 1.346 B 70.34 % 790.475 M 36.27 % 580.094 M
Depreciation and amortization 19.347 B 7.80 % 17.947 B 26.14 % 14.228 B 36.60 % 10.416 B 38.36 % 7.528 B 20.86 % 6.229 B
Operating income 2.287 B 121.21 % -10.782 B -270.23 % 6.334 B -72.02 % 22.636 B -8.88 % 24.842 B 33.10 % 18.664 B
Operating income ratio 0.01 117.66 % -0.05 -289.20 % 0.03 -72.78 % 0.11 -29.14 % 0.15 0.72 % 0.15
Total other income expenses net -6.951 B 24.12 % -9.160 B -126.25 % 34.895 B 173.98 % 12.736 B 939.03 % -1.518 B -145.93 % 3.305 B
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Net debt 185.236 B 80.60 % 102.569 B 12.83 % 90.904 B 72.08 % 52.827 B 54.48 % 34.196 B 21.45 % 28.157 B
Total investments 59.579 B -9.23 % 65.635 B -7.25 % 70.764 B 105.36 % 34.458 B 73.62 % 19.847 B 12 996.84 % 151.537 M
Total debt 213.492 B 63.30 % 130.738 B 19.22 % 109.658 B 12.80 % 97.218 B 68.38 % 57.738 B 41.18 % 40.897 B
Accumulated other comprehensive income loss -590.376 M -198.76 % 597.760 M 135.00 % -1.708 B -204.05 % -561.643 M 40.18 % -938.872 M -29.50 % -725.005 M
Retained earnings 148.156 B 0.17 % 147.910 B -7.64 % 160.139 B 36.50 % 117.315 B 33.51 % 87.873 B 24.25 % 70.725 B
Common stock 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 7.53 % 10.117 B 0.00 % 10.117 B
Total equity 244.136 B 1.82 % 239.775 B -2.43 % 245.753 B 17.76 % 208.694 B 55.89 % 133.876 B 18.31 % 113.154 B
Other non current liabilities 7.098 B -26.21 % 9.619 B -5.11 % 10.137 B 16.02 % 8.737 B 67.94 % 5.202 B -5.30 % 5.493 B
Long term debt 95.715 B 62.29 % 58.978 B 20.87 % 48.796 B -10.33 % 54.417 B 64.56 % 33.068 B 109.59 % 15.777 B
Total non current liabilities 102.813 B 49.88 % 68.597 B 16.40 % 58.933 B -6.68 % 63.154 B 65.02 % 38.270 B 79.92 % 21.270 B
Other current liabilities 24.662 B 48.51 % 16.607 B 1 825.77 % -962.268 M 78.72 % -4.521 B -85.38 % -2.439 B -124.60 % 9.916 B
Deferred revenue 0.000 0.000 -100.00 % 18.671 B 3.00 % 18.127 B 27.61 % 14.205 B 0.000
Short term debt 117.777 B 64.13 % 71.760 B 17.91 % 60.862 B 42.20 % 42.801 B 73.49 % 24.671 B -2.49 % 25.300 B
Total current liabilities 159.195 B 58.46 % 100.463 B 11.53 % 90.073 B 21.67 % 74.029 B 42.14 % 52.081 B 11.50 % 46.710 B
Total liabilities 262.008 B 54.98 % 169.060 B 13.46 % 149.006 B 8.62 % 137.183 B 51.83 % 90.351 B 32.91 % 67.980 B
Other non current assets 16.006 B -44.59 % 28.889 B 15.40 % 25.033 B 1 955 673 806.25 % 1.280 K -100.00 % 23.998 B 527.03 % 3.827 B
Long term investments 59.535 B -8.41 % 65.003 B -5.13 % 68.521 B 29.91 % 52.743 B 176.28 % 19.090 B 31.27 % 14.542 B
Intangible assets 4.684 B -10.82 % 5.252 B -10.62 % 5.876 B 19.14 % 4.932 B 91.37 % 2.577 B 30.97 % 1.968 B
GoodWill 6.738 B 836.41 % 719.555 M 0.00 % 719.555 M -30.78 % 1.040 B 0.000 0.000
Goodwill and intangible assets 11.422 B 91.27 % 5.971 B -9.46 % 6.596 B 10.45 % 5.972 B 131.71 % 2.577 B 30.97 % 1.968 B
Property plant equipment net 267.369 B 31.18 % 203.814 B 6.68 % 191.049 B 8.65 % 175.833 B 78.32 % 98.603 B -0.06 % 98.658 B
Total non current assets 362.456 B 19.36 % 303.677 B 3.78 % 292.617 B 23.62 % 236.716 B 61.24 % 146.809 B 23.37 % 118.996 B
Other current assets 7.127 B 13.71 % 6.268 B 53.97 % 4.071 B -30.44 % 5.853 B -24.42 % 7.744 B 117.77 % -43.581 B
Short term investments 44.000 M -93.04 % 632.121 M -71.82 % 2.243 B 0.000 -100.00 % 756.308 M 399.09 % 151.537 M
cash and cash equivalents 28.256 B 0.31 % 28.170 B 50.20 % 18.754 B -57.75 % 44.391 B 88.56 % 23.542 B 84.79 % 12.740 B
Cash and short term investments 28.300 B -1.74 % 28.802 B 37.17 % 20.997 B -52.70 % 44.391 B 82.69 % 24.298 B 15 934.63 % 151.537 M
Total current assets 143.687 B 36.64 % 105.158 B 2.95 % 102.142 B -6.43 % 109.161 B 41.00 % 77.417 B 50 987.98 % 151.537 M
Inventory 56.098 B 42.99 % 39.231 B -0.90 % 39.588 B 9.69 % 36.091 B 44.80 % 24.924 B 10.26 % 22.605 B
Net receivables 52.162 B 69.04 % 30.857 B -17.68 % 37.485 B 64.22 % 22.826 B 11.61 % 20.451 B -2.50 % 20.976 B
Tax assets 8.124 B 0.000 -100.00 % 1.419 B -34.53 % 2.168 B -14.65 % 2.540 B 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 -100.00 % 61.987 B
Account payables 14.515 B 22.11 % 11.886 B 12.76 % 10.541 B -19.55 % 13.102 B -0.78 % 13.205 B 14.89 % 11.493 B
Tax payables 2.241 B 968.12 % 209.802 M -78.20 % 962.267 M -78.72 % 4.521 B 85.38 % 2.439 B 0.000
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000
Minority interest -2.541 B -519.96 % 605.040 M -61.78 % 1.583 B -62.51 % 4.222 B 45.22 % 2.907 B 0.000
Capital lease obligations 3.363 B 0.57 % 3.344 B 15.78 % 2.888 B 145.65 % 1.176 B 90.80 % 616.254 M 40.02 % 440.129 M
Preferred stock 0.000 0.000 0.000 -100.00 % 561.643 M -40.18 % 938.872 M 0.000
Other total stockholders equity 88.233 B 10.59 % 79.784 B 6.58 % 74.861 B -1.86 % 76.278 B 131.30 % 32.979 B -0.18 % 33.038 B
Deferred tax liabilities non current 0.000 0.000 0.000 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 506.144 B 23.80 % 408.835 B 3.57 % 394.760 B 14.13 % 345.877 B 54.25 % 224.226 B 23.79 % 181.134 B
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 341.500 M -41.43 % 583.038 M 1 892.68 % 29.259 M 200.00 % 9.753 M 0.000 0.000
Change in working capital -34.897 B -948.10 % -3.330 B 85.10 % -22.352 B -63.16 % -13.699 B -85.00 % -7.405 B 7.63 % -8.017 B
Accounts receivables -18.427 B -312.20 % 8.684 B 164.25 % -13.516 B -142.73 % -5.569 B -96.44 % -2.835 B -194.28 % 3.007 B
Inventory -14.928 B -6 953.19 % -211.655 M 98.00 % -10.590 B -83.95 % -5.757 B -148.15 % -2.320 B 73.30 % -8.688 B
Accounts payables 0.000 0.000 0.000 0.000 0.000 0.000
Other working capital -1.541 B 86.94 % -11.802 B -772.94 % 1.754 B 173.88 % -2.374 B -5.48 % -2.251 B 3.65 % -2.336 B
Other non cash items 11.460 B 3.76 % 11.044 B 136.98 % -29.868 B -1 132.62 % -2.423 B -128.36 % 8.544 B 1 369.80 % 581.280 M
Net cash provided by operating activities -5.386 B -166.15 % 8.142 B 623.49 % -1.555 B -106.91 % 22.519 B -17.67 % 27.354 B 60.23 % 17.072 B
Investments in property plant and equipment -68.538 B -125.04 % -30.456 B 10.77 % -34.133 B 59.31 % -83.878 B -200.36 % -27.926 B 3.95 % -29.074 B
Acquisitions net -20.455 B -2 038.47 % 1.055 B 109.98 % -10.570 B -1 257.85 % 912.921 M 185.92 % 319.293 M 114.29 % -2.234 B
Purchases of investments -2.348 B 43.75 % -4.175 B 48.74 % -8.144 B -99.84 % -4.075 B 47.43 % -7.752 B 0.000
Sales maturities of investments 3.019 B -78.77 % 14.223 B 210.76 % 4.577 B 46.18 % 3.131 B 91.15 % 1.638 B 0.000
Other investing activites 10.088 B 1 470.50 % 642.360 M 584.61 % 93.828 M -81.59 % 509.750 M 82.47 % 279.355 M -96.41 % 7.779 B
Net cash used for investing activites -78.233 B -318.14 % -18.710 B 61.16 % -48.177 B 42.23 % -83.400 B -149.39 % -33.442 B -42.13 % -23.529 B
Debt repayment 89.456 B 280.23 % 23.527 B 61.95 % 14.528 B -62.38 % 38.620 B 134.27 % 16.485 B 1 365.16 % -1.303 B
Common stock issued 0.000 0.000 0.000 -100.00 % 43.015 B 5 776.97 % 731.917 M -0.25 % 733.770 M
Common stock repurchased 0.000 0.000 100.00 % -1.911 B 0.000 100.00 % -385.492 M 0.000
Dividends paid -979.823 M 50.00 % -1.960 B 23.53 % -2.563 B -40.88 % -1.819 B -24.45 % -1.462 B -0.68 % -1.452 B
Other financing activites -5.001 B -228.23 % -1.523 B -110.50 % 14.503 B 672.97 % 1.876 B -0.58 % 1.887 B 378.91 % -676.588 M
Net cash used provided by financing activities 83.476 B 316.46 % 20.044 B -18.38 % 24.556 B -69.94 % 81.692 B 373.39 % 17.257 B 739.71 % -2.698 B
Effect of forex changes on cash 229.904 M 482.75 % -60.066 M 86.98 % -461.168 M -1 308.01 % 38.176 M 110.40 % -366.968 M -774.48 % -41.964 M
Net change in cash 86.251 M -99.08 % 9.415 B 136.73 % -25.637 B -222.96 % 20.849 B 93.01 % 10.802 B 217.45 % -9.197 B
Cash at beginning of period 28.170 B 50.20 % 18.754 B -57.75 % 44.391 B 88.56 % 23.542 B 84.79 % 12.740 B -41.92 % 21.937 B
Cash at end of period 28.256 B 0.31 % 28.170 B 50.20 % 18.754 B -57.75 % 44.391 B 88.56 % 23.542 B 84.79 % 12.740 B
Operating cash flow -5.386 B -166.15 % 8.142 B 623.49 % -1.555 B -106.91 % 22.519 B -17.67 % 27.354 B 60.23 % 17.072 B
Capital expenditure -68.846 B -124.00 % -30.735 B 11.99 % -34.924 B 58.36 % -83.878 B -192.70 % -28.656 B 1.44 % -29.074 B
Free CashFlow -74.232 B -228.56 % -22.593 B 38.06 % -36.479 B 40.55 % -61.359 B -4 610.56 % -1.303 B 89.15 % -12.002 B
2024 2023 2022 2021 2020 2019
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
Revenue 75.999 B 10.96 % 68.494 B -12.28 % 78.079 B 33.58 % 58.451 B 14.02 % 51.265 B 3.33 % 49.614 B 20.91 % 41.034 B -25.78 % 55.284 B 1.92 % 54.241 B 15.29 % 47.050 B -24.14 % 62.020 B 5.00 % 59.069 B
Net income -3.307 B -17 061.35 % 19.495 M -99.79 % 9.483 B 1 776.66 % -565.569 M -18.25 % -478.275 M 93.16 % -6.988 B -6.99 % -6.532 B -943.74 % 774.168 M 121.36 % -3.625 B 13.05 % -4.169 B -111.26 % 37.029 B 442.43 % 6.826 B
Income before tax -3.947 B -409.20 % -775.193 M -119.83 % 3.909 B 530.72 % -907.445 M -238.01 % 657.521 M 107.90 % -8.322 B 33.70 % -12.553 B -1 540.95 % 871.189 M 124.46 % -3.562 B 24.21 % -4.699 B -113.54 % 34.705 B 337.53 % 7.932 B
Income before tax ratio -0.05 -358.92 % -0.01 -122.61 % 0.05 422.44 % -0.02 -221.04 % 0.01 107.65 % -0.17 45.17 % -0.31 -2 041.34 % 0.02 124.00 % -0.07 34.26 % -0.10 -117.85 % 0.56 316.71 % 0.13
EBITDA 22.441 B 220.07 % 7.011 B -27.71 % 9.699 B 65.75 % 5.852 B 8.51 % 5.393 B 215.98 % 1.707 B 123.35 % -7.309 B -207.01 % 6.830 B 19.83 % 5.700 B 171.11 % 2.102 B 111.26 % -18.676 B -310.73 % 8.863 B
Net income ratio -0.04 -15 386.46 % 0.00 -99.77 % 0.12 1 355.16 % -0.01 -3.71 % -0.01 93.38 % -0.14 11.51 % -0.16 -1 236.74 % 0.01 120.96 % -0.07 24.58 % -0.09 -114.84 % 0.60 416.62 % 0.12
Ratio EBITDA 0.30 188.46 % 0.10 -17.60 % 0.12 24.08 % 0.10 -4.83 % 0.11 205.80 % 0.03 119.31 % -0.18 -244.17 % 0.12 17.57 % 0.11 135.17 % 0.04 114.84 % -0.30 -300.70 % 0.15
Gross profit ratio 0.30 -13.93 % 0.34 -0.64 % 0.35 -0.42 % 0.35 -7.09 % 0.37 30.81 % 0.29 26.89 % 0.22 -42.46 % 0.39 6.59 % 0.37 10.71 % 0.33 -6.49 % 0.35 7.31 % 0.33
Weighted average shs out dil 19.496 M 0.00 % 19.496 M -4.44 % 20.401 M 0.00 % 20.401 M 2.24 % 19.953 M 1.82 % 19.596 M -1.49 % 19.892 M 1.51 % 19.596 M 0.00 % 19.596 M 0.00 % 19.596 M -0.16 % 19.628 M 0.02 % 19.623 M
Weighted average shs out 19.496 M 0.00 % 19.496 M -4.44 % 20.401 M 0.00 % 20.401 M 2.24 % 19.953 M 1.93 % 19.576 M -0.10 % 19.596 M 0.00 % 19.596 M 0.00 % 19.596 M 0.00 % 19.596 M -0.28 % 19.652 M 0.15 % 19.623 M
EPS diluted -169.60 -17 060.00 % 1.00 -99.78 % 464.82 1 776.84 % -27.72 -15.64 % -23.97 93.28 % -356.62 -8.60 % -328.37 -931.11 % 39.51 121.36 % -184.97 13.05 % -212.73 -111.28 % 1 886.56 442.30 % 347.88
Earnings per share -169.60 -17 060.00 % 1.00 -99.78 % 464.82 1 776.84 % -27.72 -15.64 % -23.97 93.29 % -357.00 -7.10 % -333.32 -943.63 % 39.51 121.36 % -184.97 13.05 % -212.73 -111.29 % 1 884.24 441.64 % 347.88
Gross profit 22.441 B -4.50 % 23.498 B -12.84 % 26.959 B 33.02 % 20.268 B 5.94 % 19.132 B 35.16 % 14.155 B 53.43 % 9.226 B -57.29 % 21.601 B 8.63 % 19.885 B 27.64 % 15.579 B -29.06 % 21.961 B 12.67 % 19.493 B
Income tax expense -338.593 M 37.36 % -540.498 M 88.75 % -4.804 B -891.15 % 607.238 M -54.26 % 1.328 B 946.70 % -156.808 M 96.01 % -3.933 B -477.62 % 1.042 B 45.89 % 713.950 M 235.68 % 212.690 M -88.00 % 1.773 B 16.70 % 1.519 B
Cost of revenue 53.558 B 19.03 % 44.997 B -11.98 % 51.120 B 33.88 % 38.183 B 18.83 % 32.132 B -9.38 % 35.459 B 11.48 % 31.808 B -5.56 % 33.682 B -1.96 % 34.357 B 9.17 % 31.471 B -21.44 % 40.059 B 1.22 % 39.577 B
General and administrative expenses 20.711 B 1 072.11 % 1.767 B -24.15 % 2.330 B -8.89 % 2.557 B -86.16 % 18.475 B 7.83 % 17.134 B 848.62 % 1.806 B -14.39 % 2.110 B 16.47 % 1.811 B -11.36 % 2.044 B 0.000 -100.00 % 90.743 M
Selling and marketing expenses 0.000 -100.00 % 2.968 B -25.76 % 3.998 B 47.70 % 2.707 B -3.45 % 2.804 B 0.17 % 2.799 B -10.04 % 3.111 B -2.78 % 3.200 B -3.51 % 3.316 B 2.20 % 3.245 B -22.68 % 4.197 B 13.60 % 3.695 B
Other expenses -7.721 B -190.50 % 8.531 B -19.43 % 10.588 B 6.82 % 9.912 B 0.000 -100.00 % 2.751 B -70.85 % 9.437 B 1 012.89 % 847.931 M 159.04 % 327.340 M 75.51 % 186.505 M 485.77 % -48.346 M 0.000
Operating expenses 20.711 B -0.16 % 20.743 B -8.40 % 22.646 B 13.40 % 19.971 B 8.09 % 18.475 B 7.83 % 17.134 B -17.16 % 20.684 B 3.81 % 19.924 B 6.80 % 18.655 B 5.24 % 17.727 B -20.99 % 22.435 B 105.94 % 10.894 B
Cost and expenses 74.269 B 12.97 % 65.740 B -10.88 % 73.766 B 26.85 % 58.154 B 14.91 % 50.608 B -3.78 % 52.594 B 0.19 % 52.493 B -2.08 % 53.606 B 1.12 % 53.012 B 7.75 % 49.198 B 119.29 % 22.435 B -55.55 % 50.471 B
Research and development expenses 7.721 B 3.26 % 7.477 B 30.48 % 5.730 B 19.51 % 4.795 B 0.000 -100.00 % 3.286 B -48.09 % 6.330 B 13.76 % 5.565 B 11.69 % 4.982 B 14.58 % 4.348 B -38.62 % 7.084 B 238.33 % 2.094 B
Selling general and administrative expenses 20.711 B 337.35 % 4.735 B -25.17 % 6.328 B 20.22 % 5.264 B -71.51 % 18.475 B 66.49 % 11.097 B 125.66 % 4.917 B -7.39 % 5.310 B 3.55 % 5.128 B -3.04 % 5.289 B 26.01 % 4.197 B -59.34 % 10.321 B
Interest income 0.000 -100.00 % 191.357 M 11.20 % 172.076 M 51.40 % 113.656 M 21.22 % 93.757 M -39.30 % 154.451 M -23.26 % 201.275 M -14.62 % 235.745 M 6.96 % 220.401 M 73.30 % 127.179 M 18.95 % 106.920 M -83.95 % 666.290 M
Interest expense 0.000 -100.00 % 2.107 B 199.07 % 704.534 M -63.30 % 1.920 B 24.70 % 1.540 B -0.11 % 1.541 B 232.75 % 463.226 M -69.89 % 1.538 B 1.96 % 1.509 B 30.17 % 1.159 B 249.55 % 331.627 M -57.80 % 785.818 M
Depreciation and amortization 5.895 B 3.80 % 5.679 B 11.67 % 5.086 B 5.10 % 4.839 B 2.18 % 4.736 B 1.06 % 4.686 B -1.98 % 4.781 B 8.15 % 4.421 B -1.58 % 4.492 B 5.59 % 4.254 B 13.15 % 3.759 B 1.17 % 3.716 B
Operating income 1.730 B -37.19 % 2.754 B -36.14 % 4.313 B 1 351.79 % 297.078 M -54.77 % 656.802 M 285.02 % -354.988 M 96.92 % -11.542 B -788.07 % 1.677 B 36.42 % 1.230 B 157.25 % -2.148 B 90.43 % -22.435 B -535.94 % 5.146 B
Operating income ratio 0.02 -43.39 % 0.04 -27.20 % 0.06 986.82 % 0.01 -60.33 % 0.01 279.06 % -0.01 97.46 % -0.28 -1 027.01 % 0.03 33.84 % 0.02 149.66 % -0.05 87.38 % -0.36 -515.20 % 0.09
Total other income expenses net -5.677 B -60.85 % -3.530 B -772.85 % -404.377 M 66.43 % -1.205 B -167 518.10 % 719.470 K 100.01 % -7.967 B -687.38 % -1.012 B -25.51 % -806.193 M 83.17 % -4.791 B -93.03 % -2.482 B -107.12 % 34.883 B 1 168.81 % 2.749 B
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
Net debt 199.690 B 4.34 % 191.376 B 3.31 % 185.236 B 4.58 % 177.119 B 37.17 % 129.127 B 11.55 % 115.752 B 12.85 % 102.569 B 15.24 % 89.003 B -8.63 % 97.411 B 0.43 % 96.994 B 6.70 % 90.904 B 4.43 % 87.046 B
Total investments 52.835 B -5.46 % 55.886 B -6.20 % 59.579 B -0.79 % 60.055 B -7.08 % 64.630 B 5.57 % 61.222 B -6.72 % 65.635 B 3.84 % 63.209 B -11.45 % 71.386 B 3.38 % 69.051 B -2.42 % 70.764 B 129.23 % 30.870 B
Total debt 221.824 B 2.39 % 216.655 B 1.48 % 213.492 B 8.73 % 196.352 B 37.26 % 143.052 B 7.06 % 133.617 B 2.20 % 130.738 B 2.33 % 127.763 B 1.82 % 125.485 B 10.86 % 113.194 B 3.22 % 109.658 B 3.24 % 106.220 B
Accumulated other comprehensive income loss -603.194 M -231.86 % 457.443 M 0.000 0.000 -100.00 % 1.744 B 0.000 -100.00 % 597.760 M 135.57 % -1.680 B -62.78 % -1.032 B 15.38 % -1.220 B 28.56 % -1.708 B -189.16 % -590.570 M
Retained earnings 146.711 B -0.94 % 148.098 B -0.04 % 148.156 B 6.60 % 138.979 B -0.38 % 139.516 B -0.32 % 139.959 B -5.38 % 147.910 B -2.74 % 152.069 B 1.05 % 150.494 B -2.36 % 154.137 B -3.75 % 160.139 B 31.58 % 121.706 B
Common stock 10.978 B 0.00 % 10.978 B 0.92 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B 0.00 % 10.878 B
Total equity 240.356 B -1.83 % 244.836 B 0.29 % 244.136 B 3.79 % 235.225 B -1.83 % 239.607 B 3.41 % 231.700 B -3.37 % 239.775 B -1.20 % 242.695 B 1.06 % 240.142 B 0.27 % 239.496 B 38.76 % 172.601 B -17.39 % 208.925 B
Other non current liabilities 8.057 B 7.63 % 7.486 B 5.47 % 7.098 B -30.55 % 10.219 B 9.36 % 9.345 B -9.22 % 10.294 B 7.01 % 9.619 B -16.74 % 11.553 B -9.78 % 12.805 B 23.29 % 10.386 B 7 989 401 084.62 % -130.000 -100.00 % 11.456 B
Long term debt 104.607 B 7.98 % 96.879 B 1.22 % 95.715 B -0.78 % 96.464 B 58.08 % 61.024 B 2.33 % 59.635 B 1.11 % 58.978 B -0.52 % 59.286 B -1.73 % 60.328 B 19.89 % 50.320 B 3.12 % 48.796 B -20.03 % 61.020 B
Total non current liabilities 112.665 B 7.95 % 104.365 B 1.51 % 102.813 B -3.63 % 106.683 B 51.61 % 70.369 B 0.63 % 69.929 B 1.94 % 68.597 B -3.16 % 70.839 B -3.14 % 73.134 B 20.47 % 60.706 B 24.41 % 48.796 B -32.67 % 72.476 B
Other current liabilities 21.474 B -1.21 % 21.736 B -11.86 % 24.662 B 42.88 % 17.261 B -13.57 % 19.972 B 32.67 % 15.053 B 7 274.98 % -209.803 M -101.51 % 13.875 B -10.10 % 15.434 B -7.72 % 16.725 B 1 838.10 % -962.268 M -106.85 % 14.038 B
Deferred revenue 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 16.816 B 13.24 % 14.850 B -5.30 % 15.681 B -8.48 % 17.134 B 0.000 0.000
Short term debt 117.217 B -2.14 % 119.776 B 1.70 % 117.777 B 17.91 % 99.888 B 21.77 % 82.028 B 10.88 % 73.982 B 3.10 % 71.760 B 4.79 % 68.477 B 5.10 % 65.156 B 3.63 % 62.875 B 3.31 % 60.862 B 32.28 % 46.009 B
Total current liabilities 152.013 B -4.07 % 158.457 B -0.46 % 159.195 B 21.08 % 131.480 B 14.47 % 114.860 B 9.28 % 105.110 B 4.63 % 100.463 B 5.65 % 95.093 B 4.56 % 90.942 B -3.63 % 94.368 B 32.16 % 71.403 B -4.62 % 74.861 B
Total liabilities 264.678 B 0.71 % 262.823 B 0.31 % 262.008 B 10.01 % 238.163 B 28.58 % 185.228 B 5.82 % 175.039 B 3.54 % 169.060 B 1.89 % 165.932 B 1.13 % 164.076 B 5.81 % 155.074 B 29.01 % 120.199 B -18.42 % 147.337 B
Other non current assets 27.947 B 4.47 % 26.752 B 67.13 % 16.006 B 4.10 % 15.376 B -93.63 % 241.201 B 679.11 % 30.958 B 17.96 % 26.245 B -7.63 % 28.412 B 21.19 % 23.444 B -6.09 % 24.965 B 109.33 % -267.585 B -1 055.38 % 28.008 B
Long term investments 52.835 B -5.46 % 55.886 B -6.13 % 59.535 B -0.79 % 60.009 B -7.08 % 64.584 B 7.32 % 60.178 B -7.42 % 65.003 B 7.63 % 60.397 B -11.91 % 68.563 B 2.19 % 67.095 B -2.08 % 68.521 B 122.60 % 30.782 B
Intangible assets 4.778 B 4.79 % 4.559 B -2.66 % 4.684 B -3.58 % 4.858 B -2.30 % 4.972 B -3.31 % 5.142 B -2.09 % 5.252 B -1.55 % 5.335 B -4.05 % 5.560 B -2.63 % 5.710 B -2.83 % 5.876 B 38.43 % 4.245 B
GoodWill 6.738 B 0.00 % 6.738 B 0.00 % 6.738 B -0.16 % 6.749 B 837.94 % 719.555 M 0.00 % 719.555 M 0.00 % 719.555 M 0.00 % 719.555 M 0.00 % 719.555 M 0.00 % 719.555 M 0.00 % 719.555 M -25.06 % 960.177 M
Goodwill and intangible assets 11.515 B 1.93 % 11.297 B -1.09 % 11.422 B -1.59 % 11.607 B 103.93 % 5.692 B -2.90 % 5.862 B -1.83 % 5.971 B -1.37 % 6.054 B -3.58 % 6.279 B -2.34 % 6.430 B -2.52 % 6.596 B 26.72 % 5.205 B
Property plant equipment net 277.665 B 1.64 % 273.182 B 2.17 % 267.369 B 5.37 % 253.745 B 0.000 -100.00 % 203.553 B -0.13 % 203.814 B 1.58 % 200.644 B 1.18 % 198.294 B 2.04 % 194.321 B 1.71 % 191.049 B 1.56 % 188.118 B
Total non current assets 369.963 B 0.78 % 367.118 B 1.29 % 362.456 B 5.59 % 343.277 B 10.21 % 311.477 B 3.64 % 300.551 B -1.03 % 303.677 B 2.50 % 296.267 B -0.38 % 297.387 B 1.11 % 294.113 B 9.91 % 267.585 B 6.14 % 252.112 B
Other current assets 12.777 B -10.97 % 14.352 B 101.36 % 7.127 B -13.73 % 8.261 B -1.38 % 8.377 B 17.19 % 7.149 B 14.05 % 6.268 B -79.89 % 31.177 B -10.70 % 34.912 B -4.97 % 36.739 B -11.59 % 41.557 B 20.15 % 34.587 B
Short term investments 0.000 0.000 -100.00 % 44.000 M -4.92 % 46.275 M 0.00 % 46.275 M -95.57 % 1.044 B 65.16 % 632.121 M -77.52 % 2.812 B -0.37 % 2.823 B 44.31 % 1.956 B -12.80 % 2.243 B 2 430.22 % 88.653 M
cash and cash equivalents 22.134 B -12.44 % 25.279 B -10.54 % 28.256 B 46.91 % 19.233 B 38.12 % 13.925 B -17.26 % 16.830 B -40.26 % 28.170 B -27.32 % 38.760 B 38.07 % 28.073 B 73.29 % 16.200 B -13.62 % 18.754 B -2.19 % 19.175 B
Cash and short term investments 22.134 B -12.44 % 25.279 B -10.68 % 28.300 B 46.79 % 19.280 B 37.99 % 13.971 B -21.83 % 17.874 B -37.94 % 28.802 B -30.72 % 41.572 B 34.55 % 30.896 B 70.17 % 18.156 B -13.53 % 20.997 B 9.00 % 19.263 B
Total current assets 135.070 B -3.89 % 140.541 B -2.19 % 143.687 B 10.43 % 130.111 B 14.78 % 113.358 B 6.75 % 106.187 B 0.98 % 105.158 B -6.41 % 112.360 B 5.17 % 106.832 B 6.35 % 100.456 B 65.81 % 60.586 B -41.83 % 104.149 B
Inventory 64.573 B 0.21 % 64.438 B 14.87 % 56.098 B -6.66 % 60.099 B 13.93 % 52.751 B 8.08 % 48.807 B 24.41 % 39.231 B -0.96 % 39.611 B -3.44 % 41.024 B -9.96 % 45.561 B 15.09 % 39.588 B -21.29 % 50.299 B
Net receivables 35.586 B -2.43 % 36.473 B -30.08 % 52.162 B 22.82 % 42.472 B 11.01 % 38.258 B 18.24 % 32.358 B 4.86 % 30.857 B 16.89 % 26.398 B -11.83 % 29.939 B -9.09 % 32.933 B -12.14 % 37.485 B 27.40 % 29.424 B
Tax assets 0.000 0.000 -100.00 % 8.124 B 219.88 % 2.540 B 0.000 0.000 -100.00 % 2.644 B 247.86 % 760.112 M -5.69 % 805.972 M -38.17 % 1.303 B -8.17 % 1.419 B 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 66.589 B 0.000
Account payables 13.322 B -21.38 % 16.945 B 16.74 % 14.515 B 18.42 % 12.257 B 9.00 % 11.245 B -29.28 % 15.902 B 33.79 % 11.886 B 1.02 % 11.766 B 16.44 % 10.105 B -29.63 % 14.359 B 36.22 % 10.541 B -28.84 % 14.813 B
Tax payables 0.000 0.000 -100.00 % 2.241 B 8.07 % 2.074 B 28.44 % 1.615 B 839.06 % 171.927 M -18.05 % 209.802 M -78.48 % 975.068 M 293.56 % 247.756 M -39.38 % 408.683 M -57.53 % 962.267 M 0.000
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Minority interest -3.097 B -10.81 % -2.795 B -10.00 % -2.541 B -48.33 % -1.713 B -124.24 % -763.952 M -33.55 % -572.047 M -194.55 % 605.040 M -66.65 % 1.814 B 858.94 % 189.195 M -77.48 % 840.008 M -46.93 % 1.583 B -23.53 % 2.070 B
Capital lease obligations 2.715 B -12.13 % 3.090 B -8.12 % 3.363 B 9.47 % 3.072 B -8.85 % 3.371 B 3.19 % 3.266 B -2.32 % 3.344 B -18.07 % 4.082 B -2.86 % 4.202 B -6.65 % 4.501 B 55.84 % 2.888 B 6.88 % 2.702 B
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 1.680 B 62.78 % 1.032 B -15.38 % 1.220 B -99.29 % 172.725 B 0.000
Other total stockholders equity 86.366 B -2.47 % 88.555 B 1.04 % 87.642 B 0.65 % 87.081 B -1.31 % 88.233 B 8.35 % 81.434 B 2.07 % 79.784 B 4.63 % 76.252 B -1.67 % 77.548 B 7.08 % 72.421 B -1.00 % 73.153 B -1.50 % 74.270 B
Deferred tax liabilities non current 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 -100.00 % 1.000 K 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 505.033 B -0.52 % 507.659 B 0.30 % 506.144 B 6.92 % 473.388 B 11.43 % 424.835 B 4.45 % 406.739 B -0.51 % 408.835 B 0.05 % 408.626 B 1.09 % 404.219 B 2.45 % 394.569 B -0.05 % 394.760 B 10.81 % 356.262 B
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 76.208 M 33.80 % 56.958 M -47.02 % 107.500 M 109.42 % 51.333 M -43.80 % 91.334 M 0.00 % 91.333 M -81.43 % 491.705 M 438.37 % 91.333 M 0.000 0.000 0.000 0.000
Change in working capital 1.383 B 128.84 % -4.796 B -679.06 % 828.168 M 108.44 % -9.810 B 33.15 % -14.674 B -30.53 % -11.242 B -177.98 % -4.044 B -251.14 % 2.676 B 20.32 % 2.224 B 500.28 % -555.540 M -114.28 % 3.891 B 356.42 % -1.517 B
Accounts receivables 304.886 M -97.02 % 10.236 B 218.70 % -8.623 B -234.66 % -2.577 B 29.23 % -3.641 B 3.23 % -3.763 B 0.000 -100.00 % 4.788 B 295.15 % 1.212 B -81.31 % 6.484 B 0.000 -100.00 % 3.610 B
Inventory -173.954 M 97.91 % -8.338 B -306.34 % 4.041 B 173.77 % -5.478 B -39.37 % -3.930 B 58.89 % -9.561 B -4 695.03 % -199.402 M -114.01 % 1.424 B -68.55 % 4.527 B 175.92 % -5.963 B -155.79 % 10.688 B 348.69 % -4.298 B
Accounts payables 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other working capital 1.252 B 118.71 % -6.693 B -223.71 % 5.410 B 408.18 % -1.755 B 75.28 % -7.102 B -441.05 % 2.082 B 154.17 % -3.845 B 25.53 % -5.163 B -838.33 % 699.259 M 114.81 % -4.721 B -171.38 % 6.614 B 896.94 % -829.929 M
Other non cash items 2.163 B -61.56 % 5.627 B 290.68 % -2.951 B -160.10 % 4.910 B 49.98 % 3.274 B -35.16 % 5.050 B 190.15 % -5.601 B -531.84 % 1.297 B 1.19 % 1.282 B 25.06 % 1.025 B 370.38 % 217.896 M 108.88 % -2.454 B
Net cash provided by operating activities 6.211 B -5.72 % 6.587 B -44.10 % 11.783 B 873.31 % -1.524 B 78.96 % -7.243 B 13.81 % -8.403 B 35.95 % -13.118 B -227.40 % 10.297 B 18.46 % 8.693 B 282.83 % 2.271 B -76.80 % 9.788 B 48.96 % 6.571 B
Investments in property plant and equipment -12.474 B -16.00 % -10.753 B 45.62 % -19.775 B 20.86 % -24.988 B -24.67 % -20.043 B -436.96 % -3.733 B 63.62 % -10.260 B -73.06 % -5.929 B 31.68 % -8.678 B -51.89 % -5.714 B 31.81 % -8.379 B -11.72 % -7.500 B
Acquisitions net 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 915.188 M 0.000 0.000 0.000 100.00 % -10.570 B 1.20 % -10.699 B
Purchases of investments 0.000 0.000 100.00 % -156.336 M 60.67 % -397.540 M 58.51 % -958.218 M -14.59 % -836.185 M 56.65 % -1.929 B -46.28 % -1.319 B -157.62 % -511.828 M -23.17 % -415.551 M 90.69 % -4.465 B 0.000
Sales maturities of investments 0.000 0.000 -100.00 % 365.369 M 41.93 % 257.426 M -86.91 % 1.966 B 356.31 % 430.807 M -95.52 % 9.622 B 130.23 % 4.179 B 746.71 % -646.240 M -160.53 % 1.068 B -34.47 % 1.629 B 0.000
Other investing activites 53.317 M 156.44 % -94.465 M -117.65 % 535.183 M 102.71 % -19.726 B -325.53 % 8.747 B 11 111.16 % 78.017 M -48.12 % 150.378 M -95.17 % 3.110 B 466.84 % -847.925 M -217.09 % 724.190 M -93.15 % 10.570 B 5 244.53 % -205.466 M
Net cash used for investing activites -12.421 B -14.50 % -10.847 B 43.00 % -19.031 B 57.57 % -44.854 B -335.97 % -10.288 B -153.41 % -4.060 B -170.46 % -1.501 B 46.38 % -2.800 B 70.42 % -9.464 B -91.36 % -4.946 B 55.36 % -11.078 B 39.81 % -18.405 B
Debt repayment 4.620 B 55.03 % 2.980 B -82.13 % 16.680 B -68.82 % 53.494 B 222.02 % 16.612 B 522.25 % 2.670 B -22.05 % 3.425 B 61.82 % 2.117 B -87.06 % 16.362 B 907.76 % 1.624 B -33.53 % 2.443 B 449.62 % 444.397 M
Common stock issued 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -432.748 M
Dividends paid 0.000 0.000 0.000 0.000 100.00 % -979.823 M 0.000 0.000 0.000 100.00 % -1.960 B 0.000 0.000 0.000
Other financing activites -1.223 B 29.18 % -1.727 B -131.60 % -745.869 M 55.67 % -1.683 B -46.23 % -1.151 B 19.07 % -1.422 B -424.14 % 438.578 M -58.32 % 1.052 B 129.41 % -3.578 B -156.24 % -1.396 B -151.42 % -555.360 M 41.57 % -950.420 M
Net cash used provided by financing activities 3.397 B 171.15 % 1.253 B -92.14 % 15.934 B -69.25 % 51.812 B 257.77 % 14.482 B 1 060.29 % 1.248 B -67.70 % 3.864 B 21.92 % 3.169 B -75.21 % 12.784 B 5 523.57 % 227.330 M -87.95 % 1.887 B 301.02 % -938.771 M
Effect of forex changes on cash -331.310 M -1 197.27 % 30.194 M -91.01 % 335.792 M 367.77 % -125.402 M -186.81 % 144.458 M 215.62 % -124.945 M -175.38 % 165.763 M 704.33 % 20.609 M 114.72 % -140.000 M -31.53 % -106.437 M 89.54 % -1.018 B -398.30 % 341.121 M
Net change in cash -3.144 B -5.61 % -2.977 B -133.00 % 9.022 B 69.97 % 5.308 B 282.75 % -2.905 B 74.38 % -11.340 B -7.08 % -10.590 B -199.10 % 10.687 B -9.99 % 11.873 B 564.87 % -2.554 B -507.61 % -420.342 M 96.62 % -12.431 B
Cash at beginning of period 25.279 B -10.54 % 28.256 B 46.91 % 19.233 B 38.12 % 13.925 B -17.26 % 16.830 B -40.26 % 28.170 B -27.32 % 38.760 B 38.07 % 28.073 B 73.29 % 16.200 B -13.62 % 18.754 B -2.19 % 19.175 B -39.33 % 31.606 B
Cash at end of period 22.134 B -12.44 % 25.279 B -10.54 % 28.256 B 46.91 % 19.233 B 38.12 % 13.925 B -17.26 % 16.830 B -40.26 % 28.170 B -27.32 % 38.760 B 38.07 % 28.073 B 73.29 % 16.200 B -13.62 % 18.754 B -2.19 % 19.175 B
Operating cash flow 6.211 B -5.72 % 6.587 B -44.10 % 11.783 B 873.31 % -1.524 B 78.96 % -7.243 B 13.81 % -8.403 B 35.95 % -13.118 B -227.40 % 10.297 B 18.46 % 8.693 B 282.83 % 2.271 B -76.80 % 9.788 B 48.96 % 6.571 B
Capital expenditure -12.474 B -16.00 % -10.753 B 45.63 % -19.777 B 21.23 % -25.107 B -24.73 % -20.129 B -425.18 % -3.833 B 63.20 % -10.414 B -75.65 % -5.929 B 31.68 % -8.678 B -51.89 % -5.714 B 31.81 % -8.379 B -11.72 % -7.500 B
Free CashFlow -6.263 B -50.35 % -4.166 B 47.89 % -7.994 B 69.98 % -26.631 B 2.71 % -27.372 B -123.70 % -12.236 B 48.01 % -23.533 B -638.74 % 4.368 B 30 587.46 % 14.234 M 100.41 % -3.443 B -344.38 % 1.409 B 251.60 % -929.322 M
2025 2025 2024 2024 2024 2024 2023 2023 2023 2023 2022 2022
Date Form 10K
2024
2023
2022
2021
2020
2019