294090.KQ

EOFLOW Co.,Ltd. 294090.KQ

Trading inactive

Finances

2024 2023 2022 2021 2020 2019 2018 2017
Revenue 5.031 B -23.65 % 6.589 B -1.77 % 6.708 B 867.57 % 693.268 M 3 101.49 % 21.655 M 0.000 0.000 0.000
Net income -62.618 B -1.10 % -61.936 B -101.67 % -30.711 B -3.23 % -29.750 B -51.42 % -19.647 B -109.26 % -9.389 B 70.97 % -32.342 B -301.00 % -8.065 B
Income before tax -64.726 B -20.73 % -53.614 B -74.10 % -30.796 B -2.69 % -29.988 B -52.63 % -19.647 B -109.26 % -9.389 B 70.97 % -32.342 B -301.00 % -8.065 B
Income before tax ratio -12.87 -58.12 % -8.14 -77.23 % -4.59 89.39 % -43.26 95.23 % -907.29 0.00 0.00 0.00
EBITDA -52.614 B -29.44 % -40.647 B -57.22 % -25.853 B -6.67 % -24.237 B -30.59 % -18.560 B -111.27 % -8.785 B 72.46 % -31.901 B -796.29 % -3.559 B
Net income ratio -12.45 -32.42 % -9.40 -105.30 % -4.58 89.33 % -42.91 95.27 % -907.29 0.00 0.00 0.00
Ratio EBITDA -10.46 -69.53 % -6.17 -60.05 % -3.85 88.98 % -34.96 95.92 % -857.11 0.00 0.00 0.00
Gross profit ratio -0.49 38.80 % -0.81 -98.74 % -0.41 92.15 % -5.16 92.55 % -69.29 0.00 0.00 0.00
Weighted average shs out dil 30.427 M -6.13 % 32.413 M 8.22 % 29.952 M 30.58 % 22.938 M -3.04 % 23.657 M 1.11 % 23.396 M 0.00 % 23.396 M 0.00 % 23.396 M
Weighted average shs out 30.427 M 0.11 % 30.393 M 1.47 % 29.952 M 30.58 % 22.938 M -3.04 % 23.657 M 1.11 % 23.396 M 0.00 % 23.396 M 0.00 % 23.396 M
EPS diluted -2 056.72 -0.92 % -2 038.00 -98.76 % -1 025.36 20.94 % -1 296.95 -56.16 % -830.51 -106.96 % -401.29 70.97 % -1 382.35 -300.99 % -344.73
Earnings per share -2 056.72 -0.92 % -2 038.00 -98.76 % -1 025.36 20.94 % -1 296.95 -56.16 % -830.51 -106.96 % -401.29 70.97 % -1 382.35 -300.99 % -344.73
Gross profit -2.481 B 53.27 % -5.310 B -95.22 % -2.720 B 24.00 % -3.579 B -138.55 % -1.500 B -152.38 % -594.489 M -56.81 % -379.117 M -105.94 % -184.087 M
Income tax expense -1.589 B -119.09 % 8.321 B 1 519.17 % -586.366 M -146.20 % -238.166 M 0.000 0.000 0.000 0.000
Cost of revenue 7.512 B -36.87 % 11.899 B 26.21 % 9.428 B 120.67 % 4.272 B 180.71 % 1.522 B 156.02 % 594.489 M 56.81 % 379.117 M 105.94 % 184.087 M
General and administrative expenses 5.009 B 36.59 % 3.667 B -55.68 % 8.274 B 42.01 % 5.827 B 441.69 % 1.076 B 89.19 % 568.551 M 0.000 0.000
Selling and marketing expenses 35.880 B 361.20 % 7.780 B 90.44 % 4.085 B 78.79 % 2.285 B 3.23 % 2.213 B 125.35 % 982.168 M 0.000 0.000
Other expenses 12.634 B -29.37 % 17.887 B 4 550.81 % -401.883 M -165.90 % -151.143 M -63.06 % -92.689 M -9.95 % -84.301 M 37.14 % -134.105 M -150.38 % -53.560 M
Operating expenses 58.528 B 56.06 % 37.504 B 12.91 % 33.216 B 41.87 % 23.413 B 106.14 % 11.358 B 43.84 % 7.896 B 18.05 % 6.689 B 87.93 % 3.559 B
Cost and expenses 66.041 B 43.67 % 45.967 B 7.79 % 42.644 B 54.03 % 27.685 B 114.95 % 12.880 B 51.70 % 8.490 B 20.13 % 7.068 B 88.82 % 3.743 B
Research and development expenses 5.006 B -38.73 % 8.171 B 29.65 % 6.302 B 7.86 % 5.843 B 73.60 % 3.366 B 287.90 % 867.646 M 22.36 % 709.095 M -10.28 % 790.359 M
Selling general and administrative expenses 40.888 B 257.21 % 11.447 B -7.38 % 12.359 B 52.37 % 8.111 B 146.63 % 3.289 B -52.64 % 6.944 B 18.79 % 5.846 B 115.29 % 2.715 B
Interest income 781.354 M -62.33 % 2.074 B 133.38 % 888.839 M 333.05 % 205.252 M 544.38 % 31.853 M 0.24 % 31.775 M 62.64 % 19.537 M -42.08 % 33.733 M
Interest expense 4.777 B -36.32 % 7.502 B 303.02 % 1.861 B -55.47 % 4.180 B 7 706.62 % 53.540 M 474.49 % 9.319 M -84.98 % 62.048 M 3.41 % 60.000 M
Depreciation and amortization 7.335 B 34.21 % 5.465 B 77.40 % 3.081 B 96.06 % 1.571 B 52.08 % 1.033 B 73.80 % 594.489 M 56.81 % 379.117 M 105.94 % 184.087 M
Operating income -61.010 B -54.98 % -39.367 B -9.55 % -35.936 B -33.14 % -26.992 B -109.92 % -12.858 B -51.44 % -8.490 B -20.13 % -7.068 B -88.82 % -3.743 B
Operating income ratio -12.13 -102.98 % -5.97 -11.52 % -5.36 86.24 % -38.93 93.44 % -593.79 0.00 0.00 0.00
Total other income expenses net -3.716 B 73.91 % -14.247 B -578.46 % 2.978 B 196.17 % -3.096 B 54.39 % -6.789 B -330.47 % -1.577 B 93.76 % -25.274 B -484.76 % -4.322 B
2024 2023 2022 2021 2020 2019 2018 2017
2024 2023 2022 2021 2020 2019 2018 2017
Net debt 30.793 B 45 609.93 % -67.661 M -100.19 % 35.153 B 928.65 % -4.242 B 4.28 % -4.432 B -283.12 % 2.420 B 230.81 % -1.850 B -116.93 % 10.928 B
Total investments 11.103 B -20.68 % 13.997 B -85.42 % 95.971 B 250.65 % 27.369 B 78.21 % 15.358 B 395.68 % 3.098 B 2.03 % 3.037 B 0.000
Total debt 34.180 B 132.32 % 14.713 B -69.61 % 48.409 B 1 898.95 % 2.422 B 6.60 % 2.272 B -53.70 % 4.907 B 80.22 % 2.723 B -78.12 % 12.445 B
Accumulated other comprehensive income loss -6.627 B -60.98 % -4.116 B -231.86 % 3.122 B -53.73 % 6.747 B 408.86 % 1.326 B 73.95 % 762.194 M 84.35 % 413.442 M 1 121.38 % 33.850 M
Retained earnings -33.229 B -212.93 % 29.425 B -67.76 % 91.260 B 189.88 % -101.533 B -41.44 % -71.783 B -37.68 % -52.136 B -21.96 % -42.748 B -310.81 % -10.406 B
Common stock 3.044 B 0.06 % 3.042 B 0.37 % 3.030 B 158.00 % 1.175 B 4.35 % 1.126 B 20.46 % 934.464 M 6.27 % 879.326 M 550.69 % 135.138 M
Total equity 5.457 B -90.73 % 58.875 B -40.37 % 98.728 B 421.90 % 18.917 B -23.83 % 24.835 B 612.22 % 3.487 B -43.12 % 6.130 B 160.86 % -10.072 B
Other non current liabilities 646.796 M 1.26 % 638.717 M 11.02 % 575.332 M 18.66 % 484.869 M -18.12 % 592.205 M -85.79 % 4.167 B 46 205.14 % 9.000 M 0.00 % 9.000 M
Long term debt 16.395 B 19.84 % 13.681 B 6.07 % 12.898 B -66.16 % 38.119 B 2 263.53 % 1.613 B 67.16 % 964.840 M -64.56 % 2.723 B -78.12 % 12.445 B
Total non current liabilities 19.369 B 35.26 % 14.320 B -2.92 % 14.750 B -63.56 % 40.482 B 1 735.91 % 2.205 B -57.04 % 5.132 B 87.87 % 2.732 B -78.07 % 12.454 B
Other current liabilities 14.916 B 140.28 % 6.208 B 123.61 % 2.776 B 19.00 % 2.333 B 110.25 % 1.110 B 31.39 % 844.460 M 85.56 % 455.086 M 43.67 % 316.751 M
Deferred revenue 0.000 0.000 -100.00 % 166.772 M -19.32 % 206.719 M 552.80 % 31.667 M -67.82 % 98.392 M -68.00 % 307.472 M 12.74 % 272.727 M
Short term debt 17.784 B 1 624.49 % 1.031 B -97.10 % 35.511 B 4 453.44 % 779.875 M 18.33 % 659.077 M 100.18 % 329.243 M 0.000 0.000
Total current liabilities 32.767 B 337.33 % 7.492 B -80.68 % 38.772 B 1 088.87 % 3.261 B 81.62 % 1.796 B 52.35 % 1.179 B 53.47 % 768.014 M 28.47 % 597.819 M
Total liabilities 52.136 B 139.02 % 21.812 B -59.25 % 53.522 B 22.36 % 43.743 B 993.39 % 4.001 B -36.61 % 6.311 B 80.32 % 3.500 B -73.19 % 13.052 B
Other non current assets 3.274 B 21.65 % 2.691 B 18.62 % 2.269 B -75.27 % 9.174 B 455.14 % 1.653 B 44.04 % 1.147 B 104.12 % 562.118 M 32.08 % 425.593 M
Long term investments 9.976 B -16.28 % 11.916 B -47.50 % 22.698 B 248.59 % 6.511 B 1 356 542 864.58 % -480.000 -260.00 % 300.000 0.000 0.000
Intangible assets 8.686 B -17.69 % 10.552 B 973.82 % 982.640 M 37.97 % 712.197 M 163.27 % 270.518 M -5.41 % 285.995 M 0.000 0.000
GoodWill 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Goodwill and intangible assets 8.686 B -17.69 % 10.552 B 973.82 % 982.640 M 37.97 % 712.197 M 163.27 % 270.518 M -5.41 % 285.995 M 0.000 0.000
Property plant equipment net 26.479 B -12.34 % 30.206 B 30.10 % 23.217 B 49.76 % 15.502 B 269.66 % 4.194 B 57.47 % 2.663 B 163.19 % 1.012 B 2.25 % 989.647 M
Total non current assets 48.414 B -12.55 % 55.365 B 12.61 % 49.167 B 93.65 % 25.389 B 315.07 % 6.117 B 60.53 % 3.810 B 142.09 % 1.574 B 11.22 % 1.415 B
Other current assets 1.720 B -60.96 % 4.405 B -65.70 % 12.843 B 598.30 % 1.839 B 1 073.05 % 156.791 M -0.47 % 157.527 M -22.45 % 203.139 M 55.83 % 130.355 M
Short term investments 1.127 B -45.84 % 2.081 B -97.16 % 73.273 B 167.72 % 27.369 B 78.21 % 15.358 B 395.68 % 3.098 B 2.03 % 3.037 B 0.000
cash and cash equivalents 3.387 B -77.08 % 14.780 B 11.49 % 13.257 B 98.93 % 6.664 B -0.60 % 6.704 B 169.58 % 2.487 B -45.62 % 4.573 B 201.48 % 1.517 B
Cash and short term investments 4.514 B -73.23 % 16.861 B -80.51 % 86.530 B 154.25 % 34.033 B 54.26 % 22.062 B 295.00 % 5.585 B -26.60 % 7.610 B 401.67 % 1.517 B
Total current assets 9.178 B -63.75 % 25.323 B -75.43 % 103.084 B 176.58 % 37.271 B 61.80 % 23.036 B 271.11 % 6.207 B -24.21 % 8.190 B 393.75 % 1.659 B
Inventory 2.417 B -30.76 % 3.491 B 53.51 % 2.274 B 70.72 % 1.332 B 188.48 % 461.716 M 30.78 % 353.047 M -4.97 % 371.494 M 11 836.01 % 3.112 M
Net receivables 527.539 M -22.29 % 678.892 M -92.78 % 9.403 B 6 935.83 % 133.650 M 0.000 -100.00 % 111.517 M 1 944.11 % 5.456 M -34.59 % 8.341 M
Tax assets 0.000 0.000 0.000 100.00 % -6.511 B -1 356 542 864.58 % 480.000 100.00 % -285.996 M 0.000 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 66.539 M -73.75 % 253.470 M -47.75 % 485.147 M 226.47 % 148.606 M 448.97 % 27.070 M 445.88 % 4.959 M -9.10 % 5.456 M -34.59 % 8.341 M
Tax payables 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Deferred revenue non current 0.000 0.000 -100.00 % 2.098 B 248.90 % 601.414 M 10.26 % 545.455 M 0.00 % 545.455 M 0.000 0.000
Minority interest 4.907 B -24.94 % 6.537 B 4 575.21 % 139.823 M -79.10 % 668.850 M 0.000 0.000 0.000 0.000
Capital lease obligations 1.411 B -26.20 % 1.913 B -28.89 % 2.690 B 11.06 % 2.422 B 12.59 % 2.151 B 66.22 % 1.294 B 0.000 0.000
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 37.363 B 55.76 % 23.988 B 458.15 % 4.298 B -96.16 % 111.860 B 18.79 % 94.167 B 74.62 % 53.927 B 13.33 % 47.585 B 23 825.15 % 198.890 M
Deferred tax liabilities non current 2.327 B 0.000 -100.00 % 1.276 B 0.00 % 1.276 B 299 636 004.23 % -426.000 -100.00 % 964.840 M 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 57.593 B -28.62 % 80.688 B -47.00 % 152.250 B 142.98 % 62.660 B 114.94 % 29.153 B 191.01 % 10.018 B 2.60 % 9.764 B 217.63 % 3.074 B
2024 2023 2022 2021 2020 2019 2018 2017
2024 2023 2022 2021 2020 2019 2018 2017
Deferred income tax 0.000 0.000 -100.00 % 1.168 B 226.99 % -919.627 M -133.39 % -394.034 M 0.000 0.000 0.000
Stock based compensation 1.396 B -48.68 % 2.720 B 27.35 % 2.136 B 15.04 % 1.857 B 269.34 % 502.703 M 14.11 % 440.554 M 0.000 0.000
Change in working capital 10.010 B 435.29 % 1.870 B 222.63 % -1.525 B -12.56 % -1.355 B -930.69 % -131.441 M -120.86 % 630.171 M 269.27 % -372.289 M -325.16 % 165.347 M
Accounts receivables 837.067 M -8.99 % 919.768 M 120.91 % -4.400 B -6 824.46 % -63.537 M -455.50 % 17.873 M 0.000 -100.00 % 2.631 M 151.72 % -5.086 M
Inventory 1.077 B 161.40 % -1.754 B 7.11 % -1.888 B -116.97 % -870.235 M -700.81 % -108.669 M -55.86 % -69.723 M 82.12 % -389.905 M -12 427.56 % -3.112 M
Accounts payables 8.201 B 810.14 % 901.087 M 222.37 % 279.519 M 129.99 % 121.537 M 449.66 % 22.111 M -88.14 % 186.399 M 4 248.68 % 4.286 M 106.03 % -71.120 M
Other working capital -104.767 M -105.81 % 1.803 B -59.78 % 4.483 B 926.39 % -542.515 M -764.49 % -62.756 M -112.22 % 513.495 M 4 699.52 % 10.699 M -97.21 % 384.139 M
Other non cash items 4.302 B -84.52 % 27.789 B 42.54 % 19.496 B 95.89 % 9.952 B 6.90 % 9.310 B 290.16 % 2.386 B -91.09 % 26.784 B 451.62 % 4.856 B
Net cash provided by operating activities -41.683 B -70.34 % -24.471 B -12.10 % -21.829 B 7.25 % -23.536 B -103.41 % -11.571 B -68.91 % -6.850 B -2.36 % -6.692 B -102.31 % -3.308 B
Investments in property plant and equipment -446.669 M 95.71 % -10.419 B -10.41 % -9.436 B 22.53 % -12.180 B -893.76 % -1.226 B -30.59 % -938.596 M -132.58 % -403.557 M 57.00 % -938.581 M
Acquisitions net 818.185 K 0.000 100.00 % -37.319 B -52 737.43 % 70.899 M 0.000 0.000 -100.00 % 675.000 K 0.000
Purchases of investments -700.000 M 94.26 % -12.197 B 84.85 % -80.534 B -57.68 % -51.074 B -237.53 % -15.132 B -534.56 % -2.385 B 80.25 % -12.076 B -7 138.29 % -166.836 M
Sales maturities of investments 1.193 B 0.000 -100.00 % 6.007 B -80.82 % 31.320 B 921.91 % 3.065 B 48.20 % 2.068 B -77.35 % 9.131 B 45 556.21 % 20.000 M
Other investing activites 292.116 M -99.64 % 81.677 B 2 384.03 % -3.576 B -2 093.00 % 179.428 M 101.39 % -12.912 B -6 207.85 % -204.696 M 0.000 -100.00 % 565.917 K
Net cash used for investing activites 339.386 M -99.43 % 59.061 B 147.30 % -124.860 B -294.07 % -31.684 B -124.11 % -14.138 B -868.43 % -1.460 B 56.39 % -3.348 B -208.59 % -1.085 B
Debt repayment 29.860 B 189.17 % -33.487 B -540.55 % 7.601 B -80.10 % 38.200 B 31 498.16 % 120.893 M 0.000 -100.00 % 8.000 B 0.000
Common stock issued 130.433 M -89.13 % 1.200 B -99.19 % 147.591 B 706.54 % 18.299 B -38.82 % 29.909 B 371.62 % 6.342 B 24.42 % 5.097 B -7.33 % 5.500 B
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other financing activites -418.631 M 45.03 % -761.624 M 13.33 % -878.715 M -22.56 % -716.972 M -59.03 % -450.847 M -107.26 % 6.211 B -30.99 % 9.000 B 63.64 % 5.500 B
Net cash used provided by financing activities 29.572 B 189.48 % -33.049 B -121.42 % 154.314 B 175.40 % 56.034 B 89.44 % 29.579 B 376.26 % 6.211 B -52.58 % 13.097 B 138.13 % 5.500 B
Effect of forex changes on cash 379.257 M 2 205.43 % -18.013 M 98.25 % -1.032 B -71.32 % -602.193 M -273.67 % 346.749 M 2 500.67 % 13.333 M 0.000 0.000
Net change in cash -11.393 B -847.76 % 1.524 B -76.89 % 6.593 B 16 584.60 % -39.994 M -100.95 % 4.217 B 302.14 % -2.086 B -168.26 % 3.056 B 176.03 % 1.107 B
Cash at beginning of period 14.780 B 11.49 % 13.257 B 98.93 % 6.664 B -0.60 % 6.704 B 169.58 % 2.487 B -45.62 % 4.573 B 201.48 % 1.517 B 270.25 % 409.694 M
Cash at end of period 3.387 B -77.08 % 14.780 B 11.49 % 13.257 B 98.93 % 6.664 B -0.60 % 6.704 B 169.58 % 2.487 B -45.62 % 4.573 B 201.48 % 1.517 B
Operating cash flow -41.683 B -70.34 % -24.471 B -12.10 % -21.829 B 7.25 % -23.536 B -103.41 % -11.571 B -68.91 % -6.850 B -2.36 % -6.692 B -102.31 % -3.308 B
Capital expenditure -858.774 M 91.90 % -10.607 B -12.40 % -9.436 B 22.53 % -12.180 B -893.76 % -1.226 B -30.59 % -938.596 M -132.58 % -403.557 M 57.00 % -938.581 M
Free CashFlow -42.542 B -21.28 % -35.078 B -12.19 % -31.266 B 12.46 % -35.716 B -179.11 % -12.796 B -64.29 % -7.789 B -9.77 % -7.096 B -67.09 % -4.247 B
2024 2023 2022 2021 2020 2019 2018 2017
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 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2019-12-31 2019-09-30
Revenue 926.792 M -4.44 % 969.830 M 102.92 % 477.945 M -66.50 % 1.427 B -25.58 % 1.917 B 58.63 % 1.209 B -29.87 % 1.724 B -27.83 % 2.388 B 45.03 % 1.647 B 98.22 % 830.763 M -48.52 % 1.614 B -53.64 % 3.481 B 424.47 % 663.772 M -30.06 % 948.993 M 354.08 % 208.990 M -39.00 % 342.587 M 141.79 % 141.690 M 0.000 100.00 % -13.450 M -307.56 % 6.480 M 766.67 % -972.000 K -200.00 % 972.000 K
Net income -22.043 B 76.57 % -94.078 B -245.49 % -27.230 B -87.90 % -14.492 B -17.21 % -12.364 B -44.91 % -8.532 B 69.46 % -27.941 B -130.20 % -12.138 B 2.04 % -12.391 B -30.92 % -9.465 B -26.46 % -7.484 B -40.16 % -5.340 B 39.18 % -8.780 B 5.21 % -9.262 B 10.46 % -10.344 B -44.08 % -7.179 B -21.11 % -5.928 B 6.25 % -6.323 B 29.50 % -8.969 B -71.60 % -5.227 B -76.14 % -2.967 B -117.16 % -1.366 B
Income before tax -20.710 B 78.42 % -95.977 B -249.00 % -27.501 B -81.15 % -15.182 B -14.38 % -13.273 B -56.01 % -8.508 B 60.26 % -21.408 B -87.35 % -11.427 B 2.20 % -11.684 B -28.46 % -9.095 B -29.07 % -7.047 B -27.55 % -5.525 B 38.36 % -8.962 B 3.23 % -9.262 B 11.92 % -10.515 B -46.11 % -7.197 B -20.89 % -5.953 B 5.85 % -6.323 B 29.50 % -8.969 B -71.60 % -5.227 B -76.14 % -2.967 B -117.16 % -1.366 B
Income before tax ratio -22.35 77.42 % -98.96 -71.99 % -57.54 -440.81 % -10.64 -53.69 % -6.92 1.65 % -7.04 43.33 % -12.42 -159.60 % -4.78 32.57 % -7.10 35.19 % -10.95 -150.72 % -4.37 -175.14 % -1.59 88.25 % -13.50 -38.35 % -9.76 80.60 % -50.31 -139.50 % -21.01 50.00 % -42.02 0.00 -100.00 % 666.85 182.68 % -806.58 -126.42 % 3 052.76 317.16 % -1 405.74
EBITDA 215.403 M 128.93 % -744.595 M 96.89 % -23.923 B -93.72 % -12.349 B -29.73 % -9.519 B -39.51 % -6.823 B 34.38 % -10.399 B -54.87 % -6.714 B -3.28 % -6.501 B 2.47 % -6.666 B -17.21 % -5.687 B -40.29 % -4.054 B 48.42 % -7.859 B 2.17 % -8.033 B 3.07 % -8.287 B -40.52 % -5.897 B -26.98 % -4.645 B 14.11 % -5.408 B -59.72 % -3.386 B 31.67 % -4.955 B -126.94 % -2.183 B -78.68 % -1.222 B
Net income ratio -23.78 75.48 % -97.00 -70.26 % -56.97 -460.97 % -10.16 -57.50 % -6.45 8.65 % -7.06 56.46 % -16.21 -218.97 % -5.08 32.46 % -7.52 33.95 % -11.39 -145.67 % -4.64 -202.34 % -1.53 88.40 % -13.23 -35.53 % -9.76 80.28 % -49.49 -136.18 % -20.96 49.91 % -41.84 0.00 -100.00 % 666.85 182.68 % -806.58 -126.42 % 3 052.76 317.16 % -1 405.74
Ratio EBITDA 0.23 130.27 % -0.77 98.47 % -50.05 -478.35 % -8.65 -74.33 % -4.96 12.06 % -5.65 6.43 % -6.03 -114.59 % -2.81 28.78 % -3.95 50.80 % -8.02 -127.69 % -3.52 -202.61 % -1.16 90.16 % -11.84 -39.87 % -8.46 78.65 % -39.65 -130.35 % -17.21 47.48 % -32.78 0.00 -100.00 % 251.73 132.92 % -764.64 -134.04 % 2 246.26 278.68 % -1 257.17
Gross profit ratio 0.23 130.27 % -0.77 73.74 % -2.92 -644.02 % -0.39 51.38 % -0.81 32.87 % -1.20 -5.78 % -1.14 -77.04 % -0.64 25.97 % -0.87 -88.21 % -0.46 3.51 % -0.48 -486.49 % 0.12 107.29 % -1.70 -28.58 % -1.32 68.97 % -4.25 -24.17 % -3.43 54.69 % -7.56 0.00 -100.00 % 25.02 158.14 % -43.03 -178.54 % 54.79 177.07 % -71.09
Weighted average shs out dil 32.595 M 0.00 % 32.595 M 7.09 % 30.436 M -0.03 % 30.446 M -6.16 % 32.446 M 6.67 % 30.417 M 0.00 % 30.417 M 0.00 % 30.417 M 0.12 % 30.380 M 0.07 % 30.360 M 0.19 % 30.304 M 0.00 % 30.304 M 0.31 % 30.209 M 13.48 % 26.620 M 13.32 % 23.491 M -3.18 % 24.262 M 0.66 % 24.103 M 0.79 % 23.915 M 7.52 % 22.242 M 13.20 % 19.649 M 5.64 % 18.601 M 0.74 % 18.465 M
Weighted average shs out 32.595 M 0.00 % 32.595 M 7.09 % 30.436 M -0.03 % 30.446 M -6.16 % 32.446 M 6.67 % 30.417 M 0.00 % 30.417 M 0.00 % 30.417 M 0.12 % 30.380 M 0.07 % 30.360 M 0.19 % 30.304 M 0.00 % 30.304 M 0.31 % 30.209 M 13.48 % 26.620 M 13.32 % 23.491 M -3.18 % 24.262 M 0.66 % 24.103 M 0.79 % 23.915 M 7.52 % 22.242 M 13.20 % 19.649 M 5.64 % 18.601 M 0.74 % 18.465 M
EPS diluted -676.27 76.57 % -2 886.32 -222.71 % -894.39 -87.90 % -476.00 -24.91 % -381.07 -35.85 % -280.50 69.47 % -918.62 -130.20 % -399.06 2.16 % -407.88 -30.83 % -311.76 -26.23 % -246.98 -40.16 % -176.21 39.37 % -290.63 16.47 % -347.92 20.98 % -440.32 -48.81 % -295.90 -20.31 % -245.94 6.98 % -264.39 34.43 % -403.24 -51.59 % -266.00 -66.75 % -159.52 -115.57 % -74.00
Earnings per share -676.27 76.57 % -2 886.32 -222.71 % -894.39 -87.90 % -476.00 -24.91 % -381.07 -35.85 % -280.50 69.47 % -918.62 -130.20 % -399.06 2.16 % -407.88 -30.83 % -311.76 -26.23 % -246.98 -40.16 % -176.21 39.37 % -290.63 16.47 % -347.92 20.98 % -440.32 -48.81 % -295.90 -20.31 % -245.94 6.98 % -264.39 34.43 % -403.24 -51.59 % -266.00 -66.75 % -159.52 -115.57 % -74.00
Gross profit 215.403 M 128.93 % -744.595 M 46.71 % -1.397 B -149.21 % -560.633 M 63.82 % -1.550 B -6.49 % -1.455 B 25.82 % -1.962 B -27.77 % -1.535 B -7.36 % -1.430 B -273.07 % -383.289 M 50.33 % -771.644 M -279.17 % 430.672 M 138.23 % -1.126 B 10.06 % -1.253 B -40.89 % -889.002 M 24.25 % -1.174 B -9.56 % -1.071 B -222.27 % -332.399 M 1.21 % -336.474 M -20.67 % -278.836 M -423.59 % -53.254 M 22.93 % -69.102 M
Income tax expense 0.000 0.000 100.00 % -434.246 M 0.000 -100.00 % 150.000 -100.00 % 24.189 M -99.63 % 6.533 B 818.57 % 711.230 M 254.72 % 200.502 M 200.00 % -200.502 M -210.80 % -64.511 M 65.11 % -184.915 M -1.21 % -182.701 M -18.45 % -154.238 M 9.98 % -171.345 M -869.27 % -17.678 M 30.50 % -25.437 M -7.30 % -23.707 M 0.000 0.000 0.000 0.000
Cost of revenue 711.389 M -58.51 % 1.714 B -8.57 % 1.875 B -5.66 % 1.988 B -42.67 % 3.467 B 30.15 % 2.664 B -27.71 % 3.685 B -6.07 % 3.923 B 27.52 % 3.077 B 153.42 % 1.214 B -49.11 % 2.385 B -21.80 % 3.051 B 70.40 % 1.790 B -18.68 % 2.202 B 100.51 % 1.098 B -27.58 % 1.516 B 25.01 % 1.213 B 264.89 % 332.399 M 2.90 % 323.024 M 13.22 % 285.316 M 445.72 % 52.282 M -25.39 % 70.074 M
General and administrative expenses 12.222 B -87.15 % 95.136 B 10 970.80 % 859.339 M -50.26 % 1.728 B -91.09 % 19.399 B 162.42 % 7.392 B 565.14 % 1.111 B 462.19 % -306.856 M -122.39 % 1.371 B -8.14 % 1.492 B -40.59 % 2.511 B 5.97 % 2.370 B 26.98 % 1.866 B 22.25 % 1.527 B -30.22 % 2.188 B 23.43 % 1.772 B 62.67 % 1.090 B 63.58 % 666.074 M 137.74 % 280.169 M 156.84 % 109.083 M -59.46 % 269.057 M 2.04 % 263.675 M
Selling and marketing expenses 0.000 -100.00 % 86.788 B 514.42 % 14.125 B 102.06 % 6.990 B 320.69 % -3.168 B -46.06 % -2.169 B -147.40 % 4.575 B 126.09 % 2.024 B 308.15 % 495.817 M -27.62 % 684.999 M -43.91 % 1.221 B 60.41 % 761.269 M 2.10 % 745.626 M -45.05 % 1.357 B 117.69 % 623.376 M 22.52 % 508.805 M 9.60 % 464.257 M -28.37 % 648.140 M 54.77 % 418.768 M -62.71 % 1.123 B 530.22 % 178.189 M -33.84 % 269.321 M
Other expenses 0.000 -100.00 % 1.000 K -100.00 % 2.854 B 32.28 % 2.158 B 5 141.30 % 41.170 M 0.000 100.00 % -42.130 M 28.47 % -58.899 M 17.40 % -71.303 M 8.20 % -77.670 M 58.54 % -187.333 M -197.26 % -63.020 M 13.14 % -72.556 M 8.13 % -78.973 M 0.000 100.00 % -37.648 M 4.98 % -39.620 M -32.00 % -30.015 M 0.000 0.000 0.000 0.000
Operating expenses 12.222 B -87.15 % 95.136 B 407.98 % 18.728 B 43.97 % 13.009 B -26.01 % 17.582 B 161.30 % 6.729 B -37.56 % 10.776 B 66.38 % 6.477 B -18.27 % 7.924 B -10.88 % 8.891 B -11.66 % 10.064 B 17.77 % 8.546 B 18.25 % 7.227 B 2.97 % 7.019 B -12.40 % 8.012 B 35.28 % 5.923 B 32.75 % 4.462 B -13.01 % 5.129 B -40.58 % 8.631 B 74.74 % 4.939 B 62.62 % 3.037 B 132.65 % 1.306 B
Cost and expenses 12.934 B -86.65 % 96.850 B 370.07 % 20.603 B 37.39 % 14.996 B -28.75 % 21.049 B 124.10 % 9.392 B -35.05 % 14.461 B 39.05 % 10.400 B -5.46 % 11.001 B 8.86 % 10.105 B -18.83 % 12.450 B 7.36 % 11.597 B 28.60 % 9.017 B -2.20 % 9.220 B 1.20 % 9.110 B 22.47 % 7.439 B 31.09 % 5.674 B 3.90 % 5.461 B -39.01 % 8.955 B 71.38 % 5.225 B 69.11 % 3.090 B 124.60 % 1.376 B
Research and development expenses 0.000 0.000 -100.00 % 889.193 M 0.000 -100.00 % 1.309 B -10.34 % 1.460 B -27.52 % 2.014 B 34.54 % 1.497 B -28.41 % 2.091 B -18.54 % 2.568 B 80.63 % 1.421 B -16.64 % 1.705 B -24.12 % 2.247 B 56.27 % 1.438 B -45.75 % 2.651 B 354.25 % 583.568 M -70.92 % 2.007 B -55.08 % 4.468 B 77.58 % 2.516 B 506.59 % 414.790 M 99.30 % 208.125 M 83.99 % 113.115 M
Selling general and administrative expenses 12.222 B -87.15 % 95.136 B 534.89 % 14.985 B 71.88 % 8.718 B -46.29 % 16.232 B 210.72 % 5.224 B -8.14 % 5.687 B 231.23 % 1.717 B -8.01 % 1.866 B -14.27 % 2.177 B -41.68 % 3.733 B 19.21 % 3.131 B 19.88 % 2.612 B -9.42 % 2.884 B -45.77 % 5.318 B 133.11 % 2.281 B 46.81 % 1.554 B 18.23 % 1.314 B 119.58 % 598.516 M -51.42 % 1.232 B -38.14 % 1.992 B 273.70 % 532.997 M
Interest income 0.000 -100.00 % 575.389 M 124.22 % 256.620 M 58.07 % 162.345 M 84.56 % 87.961 M -67.95 % 274.427 M 147.12 % 111.052 M -83.15 % 658.921 M 2.63 % 642.054 M -3.06 % 662.349 M 17.36 % 564.360 M 0.000 -100.00 % 448.175 M 362.51 % 96.900 M 49.05 % 65.010 M 195.34 % 22.012 M -77.71 % 98.771 M 407.58 % 19.459 M 2 126.68 % 873.910 K -79.96 % 4.361 M -76.77 % 18.775 M 126.62 % 8.285 M
Interest expense 0.000 -100.00 % 198.851 M -88.72 % 1.763 B 25.24 % 1.408 B 71.56 % 820.478 M 4.37 % 786.117 M -89.36 % 7.392 B 76.94 % 4.178 B -0.99 % 4.219 B 169.88 % 1.563 B 235.71 % 465.710 M -27.49 % 642.290 M 56.12 % 411.414 M -26.87 % 562.572 M -68.74 % 1.800 B 107.21 % 868.612 M -6.44 % 928.400 M 59.31 % 582.762 M 33 242.22 % 1.748 M -86.21 % 12.672 M 0.000 0.000
Depreciation and amortization 0.000 -100.00 % 2.929 B 44.08 % 2.033 B 42.69 % 1.425 B -43.37 % 2.516 B 84.96 % 1.360 B -41.82 % 2.338 B 80.25 % 1.297 B 34.64 % 963.578 M 11.28 % 865.878 M -3.14 % 893.976 M 7.90 % 828.531 M 19.71 % 692.103 M 3.89 % 666.163 M 55.68 % 427.905 M -0.67 % 430.781 M 13.30 % 380.229 M 14.39 % 332.399 M 4.46 % 318.203 M 22.82 % 259.090 M 64.82 % 157.195 M 12.45 % 139.791 M
Operating income -12.007 B 87.48 % -95.880 B -376.42 % -20.125 B -48.32 % -13.569 B 29.07 % -19.131 B -133.77 % -8.184 B 35.75 % -12.737 B -58.98 % -8.012 B 14.35 % -9.354 B -0.86 % -9.274 B 14.41 % -10.836 B -33.52 % -8.115 B 2.85 % -8.353 B -1.00 % -8.271 B 7.08 % -8.901 B -25.44 % -7.096 B -28.26 % -5.533 B -1.31 % -5.461 B -47.45 % -3.704 B 6.77 % -3.973 B -69.75 % -2.341 B -69.46 % -1.381 B
Operating income ratio -12.96 86.90 % -98.86 -134.78 % -42.11 -342.80 % -9.51 4.69 % -9.98 -47.37 % -6.77 8.38 % -7.39 -120.29 % -3.35 40.94 % -5.68 49.12 % -11.16 -66.27 % -6.71 -188.03 % -2.33 81.48 % -12.58 -44.39 % -8.72 79.54 % -42.59 -105.62 % -20.71 46.95 % -39.05 0.00 -100.00 % 275.39 144.92 % -613.12 -125.46 % 2 407.98 269.46 % -1 421.00
Total other income expenses net -8.703 B -8 862.37 % -97.103 M 98.68 % -7.376 B -357.41 % -1.613 B -127.53 % 5.858 B 1 099.35 % -586.189 M 93.24 % -8.671 B -153.91 % -3.415 B -46.57 % -2.330 B -534.08 % -367.456 M -111.18 % 3.287 B 26.89 % 2.591 B 525.45 % -608.880 M 38.54 % -990.650 M 38.61 % -1.614 B -1 504.87 % -100.543 M 80.68 % -520.429 M 39.60 % -861.621 M 84.38 % -5.518 B -340.15 % -1.254 B -100.03 % -626.723 M -4 325.10 % 14.833 M
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 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2019-12-31 2019-09-30
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 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2019-12-31
Net debt 17.261 B -43.94 % 30.793 B 39.43 % 22.085 B 33.61 % 16.530 B 224.88 % 5.088 B 7 619.79 % -67.662 M -100.29 % 23.562 B -11.24 % 26.546 B 2.52 % 25.893 B -26.34 % 35.153 B 258.24 % -22.215 B -23.17 % -18.037 B 71.15 % -62.519 B -1 373.75 % -4.242 B -117.40 % 24.382 B 39.71 % 17.452 B 31.20 % 13.302 B 367.63 % -4.970 B -7.54 % -4.622 B -321.02 % 2.091 B
Total investments 11.280 B 1.59 % 11.103 B -6.14 % 11.829 B -66.00 % 34.793 B 117.91 % 15.967 B 14.07 % 13.997 B -79.66 % 68.804 B -11.95 % 78.145 B -13.70 % 90.554 B -5.65 % 95.971 B 109.58 % 45.791 B -20.52 % 57.617 B 92.29 % 29.963 B 9.48 % 27.369 B 18.74 % 23.050 B -7.68 % 24.967 B -27.51 % 34.443 B 124.27 % 15.358 B 2.41 % 14.996 B 383.99 % 3.098 B
Total debt 20.724 B -39.37 % 34.180 B 6.28 % 32.160 B 3.48 % 31.078 B 6.53 % 29.173 B 98.28 % 14.713 B -69.37 % 48.035 B -6.27 % 51.250 B 7.62 % 47.622 B -1.63 % 48.409 B 16.08 % 41.703 B 5.67 % 39.467 B 0.56 % 39.247 B 1 520.61 % 2.422 B -93.28 % 36.018 B 13.95 % 31.609 B -0.42 % 31.741 B 1 730.84 % 1.734 B -74.68 % 6.848 B 49.59 % 4.578 B
Accumulated other comprehensive income loss 1.343 B 0.000 0.000 100.00 % -7.128 B 27.09 % -9.775 B -137.47 % -4.116 B -124.02 % 17.136 B 44.50 % 11.859 B -22.28 % 15.259 B 388.77 % 3.122 B -66.31 % 9.267 B 65.73 % 5.592 B -9.92 % 6.208 B -7.99 % 6.747 B 254.52 % 1.903 B 15.07 % 1.654 B 1.82 % 1.624 B 22.50 % 1.326 B 52.01 % 872.172 M 14.43 % 762.194 M
Retained earnings -127.307 B -283.12 % -33.229 B 0.000 -100.00 % 8.493 B -59.28 % 20.857 B -29.12 % 29.425 B -48.71 % 57.366 B -17.46 % 69.504 B -15.13 % 81.896 B -10.26 % 91.260 B 173.15 % -124.760 B -4.47 % -119.420 B -7.94 % -110.641 B -8.97 % -101.533 B -11.34 % -91.190 B -8.55 % -84.010 B -7.59 % -78.083 B -8.78 % -71.783 B -14.28 % -62.815 B -20.48 % -52.136 B
Common stock 3.469 B 13.99 % 3.044 B 0.000 -100.00 % 3.044 B 0.06 % 3.042 B 0.00 % 3.042 B 0.00 % 3.042 B 0.00 % 3.042 B 0.18 % 3.036 B 0.19 % 3.030 B 0.00 % 3.030 B 0.00 % 3.030 B 0.70 % 3.009 B 156.21 % 1.175 B 1.74 % 1.154 B 0.66 % 1.147 B 0.63 % 1.140 B 1.24 % 1.126 B 2.35 % 1.100 B 17.70 % 934.464 M
Total equity -71.707 B -1 413.99 % 5.457 B -82.93 % 31.969 B -32.85 % 47.612 B -12.98 % 54.714 B -7.07 % 58.875 B -36.24 % 92.345 B -6.92 % 99.214 B -2.83 % 102.099 B 3.41 % 98.728 B -12.19 % 112.437 B -1.59 % 114.252 B -6.39 % 122.055 B 545.21 % 18.917 B -15.74 % 22.451 B -5.45 % 23.744 B -14.63 % 27.811 B 11.98 % 24.835 B 8.13 % 22.969 B 558.69 % 3.487 B
Other non current liabilities 632.173 M -2.26 % 646.796 M -98.37 % 39.581 B 282.22 % 10.356 B 1 526.88 % 636.535 M -0.34 % 638.717 M 10.48 % 578.139 M 1.82 % 567.779 M -86.21 % 4.116 B 615.46 % 575.332 M -69.00 % 1.856 B 264.39 % 509.253 M 1.13 % 503.567 M 3.86 % 484.869 M -55.19 % 1.082 B 167.21 % 404.940 M 766.18 % 46.750 M -94.86 % 909.274 M -85.14 % 6.120 B 690.42 % 774.310 M
Long term debt 16.251 B -0.88 % 16.395 B -43.90 % 29.227 B 1.57 % 28.776 B 4.62 % 27.505 B 101.04 % 13.681 B -64.17 % 38.185 B -7.76 % 41.395 B 10.05 % 37.617 B 191.64 % 12.898 B 117.43 % 5.932 B 31.73 % 4.503 B -88.29 % 38.463 B 0.90 % 38.119 B 8.14 % 35.249 B 13.67 % 31.009 B -0.45 % 31.149 B 1 831.34 % 1.613 B -2.23 % 1.650 B -63.96 % 4.578 B
Total non current liabilities 18.241 B -5.82 % 19.369 B -51.07 % 39.581 B 1.15 % 39.132 B 34.15 % 29.170 B 103.70 % 14.320 B -67.30 % 43.791 B -3.82 % 45.529 B 9.10 % 41.733 B 182.93 % 14.750 B 89.40 % 7.788 B 14.52 % 6.800 B -83.33 % 40.800 B 0.79 % 40.482 B 11.42 % 36.331 B 13.16 % 32.107 B 1.15 % 31.741 B 1 158.52 % 2.522 B -67.54 % 7.770 B 45.17 % 5.352 B
Other current liabilities 96.748 B 548.63 % 14.916 B 209.15 % 4.825 B -21.54 % 6.149 B 68.44 % 3.651 B -41.19 % 6.208 B 36.67 % 4.542 B 30.64 % 3.477 B 3.55 % 3.358 B 20.94 % 2.776 B 13.13 % 2.454 B 27.00 % 1.932 B -32.31 % 2.855 B 22.37 % 2.333 B 6.17 % 2.197 B 42.82 % 1.539 B -18.20 % 1.881 B 69.51 % 1.110 B -32.38 % 1.641 B 94.31 % 844.460 M
Deferred revenue 7.062 B 0.000 0.000 -100.00 % 1.013 B -29.83 % 1.444 B -6.23 % 1.540 B 5.20 % 1.464 B 34.31 % 1.090 B 355.80 % 239.160 M 43.41 % 166.772 M 118.42 % 76.353 M -62.15 % 201.719 M 3.75 % 194.419 M -5.95 % 206.719 M -9.21 % 227.701 M -74.77 % 902.674 M 5 921.68 % 14.990 M 0.000 0.000 0.000
Short term debt 4.473 B -74.85 % 17.784 B 506.45 % 2.933 B 9.28 % 2.684 B 60.85 % 1.668 B 61.77 % 1.031 B -89.53 % 9.850 B -0.05 % 9.855 B -1.51 % 10.005 B -71.82 % 35.511 B -0.73 % 35.771 B 2.31 % 34.964 B 4 362.37 % 783.534 M 0.47 % 779.875 M 1.41 % 769.032 M 28.22 % 599.785 M 1.22 % 592.571 M -10.09 % 659.077 M 0.07 % 658.619 M 100.04 % 329.243 M
Total current liabilities 108.346 B 230.66 % 32.767 B 320.35 % 7.795 B -22.84 % 10.102 B 87.31 % 5.393 B -28.02 % 7.492 B -50.08 % 15.010 B 8.27 % 13.863 B 0.01 % 13.861 B -64.25 % 38.772 B 0.02 % 38.764 B 3.96 % 37.288 B 815.60 % 4.072 B 24.87 % 3.261 B 1.44 % 3.215 B 42.47 % 2.257 B -13.48 % 2.608 B 45.25 % 1.796 B -23.22 % 2.339 B 98.41 % 1.179 B
Total liabilities 126.588 B 142.80 % 52.136 B 10.05 % 47.376 B -3.77 % 49.234 B 42.44 % 34.564 B 58.46 % 21.812 B -62.90 % 58.801 B -0.99 % 59.392 B 6.83 % 55.594 B 3.87 % 53.522 B 14.97 % 46.552 B 5.59 % 44.088 B -1.75 % 44.873 B 2.58 % 43.743 B 10.61 % 39.546 B 15.08 % 34.363 B 0.04 % 34.349 B 695.53 % 4.318 B -57.29 % 10.109 B 54.78 % 6.531 B
Other non current assets 2.597 B -20.66 % 3.274 B -92.44 % 43.306 B 1 657.52 % 2.464 B -81.76 % 13.509 B 401.96 % 2.691 B -0.69 % 2.710 B 2.47 % 2.645 B -59.59 % 6.544 B 188.42 % 2.269 B -79.54 % 11.091 B 12.87 % 9.826 B 8.39 % 9.065 B -1.19 % 9.174 B 1.86 % 9.006 B 109.73 % 4.294 B 151.91 % 1.705 B 3.15 % 1.653 B 20.73 % 1.369 B 58.91 % 861.386 M
Long term investments 9.535 B -4.42 % 9.976 B 0.48 % 9.928 B -57.95 % 23.611 B 68.87 % 13.982 B 17.34 % 11.916 B -56.01 % 27.088 B -14.60 % 31.717 B -3.99 % 33.035 B 45.54 % 22.698 B 134.12 % 9.695 B 1.49 % 9.553 B 14.95 % 8.311 B 27.64 % 6.511 B 0.83 % 6.458 B 162.78 % 2.458 B 1 170 251 709.52 % -210.000 56.25 % -480.000 0.000 -100.00 % 300.000
Intangible assets 7.413 B -14.66 % 8.686 B -0.03 % 8.688 B -12.42 % 9.920 B -9.51 % 10.963 B 3.89 % 10.552 B -32.75 % 15.690 B 0.79 % 15.566 B 1 416.58 % 1.026 B 4.45 % 982.640 M 3.98 % 945.070 M 18.51 % 797.470 M 0.26 % 795.379 M 11.68 % 712.197 M 62.68 % 437.793 M 2.29 % 428.013 M 3.94 % 411.805 M 52.23 % 270.518 M 3.67 % 260.952 M -8.76 % 285.995 M
GoodWill 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Goodwill and intangible assets 7.413 B -14.66 % 8.686 B -0.03 % 8.688 B -12.42 % 9.920 B -9.51 % 10.963 B 3.89 % 10.552 B -32.75 % 15.690 B 0.79 % 15.566 B 1 416.58 % 1.026 B 4.45 % 982.640 M 3.98 % 945.070 M 18.51 % 797.470 M 0.26 % 795.379 M 11.68 % 712.197 M 62.68 % 437.793 M 2.29 % 428.013 M 3.94 % 411.805 M 52.23 % 270.518 M 3.67 % 260.952 M -8.76 % 285.995 M
Property plant equipment net 25.312 B -4.41 % 26.479 B 0.000 -100.00 % 28.497 B -2.88 % 29.343 B -2.86 % 30.206 B 2.02 % 29.608 B 3.97 % 28.478 B 3.06 % 27.633 B 19.02 % 23.217 B -0.87 % 23.420 B 15.58 % 20.264 B 27.59 % 15.882 B 2.45 % 15.502 B 15.65 % 13.405 B 25.46 % 10.684 B 131.63 % 4.613 B 9.99 % 4.194 B 10.22 % 3.805 B 42.87 % 2.663 B
Total non current assets 44.856 B -7.35 % 48.414 B -21.81 % 61.922 B -3.99 % 64.493 B 13.48 % 56.834 B 2.65 % 55.365 B -26.27 % 75.096 B -4.22 % 78.406 B 14.90 % 68.238 B 38.79 % 49.167 B 8.89 % 45.151 B 11.65 % 40.440 B 18.76 % 34.053 B 34.13 % 25.389 B 11.12 % 22.849 B 48.30 % 15.407 B 128.96 % 6.729 B 10.01 % 6.117 B 12.55 % 5.435 B 42.63 % 3.810 B
Other current assets 1.066 B -38.02 % 1.720 B 187.04 % 599.108 M -76.66 % 2.567 B -13.15 % 2.956 B 130.04 % 1.285 B -4.28 % 1.342 B -1.77 % 1.367 B -1.64 % 1.389 B -89.18 % 12.843 B 168.44 % 4.784 B -9.08 % 5.262 B -22.62 % 6.801 B 269.77 % 1.839 B -41.43 % 3.140 B 11.86 % 2.807 B 46.64 % 1.914 B 273.72 % 512.236 M -31.28 % 745.412 M 177.06 % 269.043 M
Short term investments 1.745 B 54.85 % 1.127 B -40.71 % 1.901 B -83.00 % 11.182 B 463.30 % 1.985 B -4.61 % 2.081 B -95.01 % 41.716 B -10.15 % 46.428 B -19.28 % 57.519 B -21.50 % 73.273 B 102.99 % 36.096 B -24.90 % 48.064 B 121.98 % 21.652 B -20.89 % 27.369 B 18.74 % 23.050 B -7.68 % 24.967 B -27.51 % 34.443 B 124.27 % 15.358 B 2.41 % 14.996 B 383.99 % 3.098 B
cash and cash equivalents 3.463 B 2.23 % 3.387 B -66.38 % 10.074 B -30.75 % 14.548 B -39.60 % 24.085 B 62.95 % 14.780 B -39.60 % 24.473 B -0.94 % 24.704 B 13.69 % 21.729 B 63.91 % 13.257 B -79.26 % 63.919 B 11.16 % 57.504 B -43.49 % 101.766 B 1 427.12 % 6.664 B -42.73 % 11.636 B -17.80 % 14.157 B -23.23 % 18.439 B 175.05 % 6.704 B -41.55 % 11.470 B 361.21 % 2.487 B
Cash and short term investments 5.208 B 15.37 % 4.514 B -62.30 % 11.975 B -53.46 % 25.730 B -1.31 % 26.070 B 54.61 % 16.861 B -74.53 % 66.189 B -6.95 % 71.132 B -10.24 % 79.248 B -8.42 % 86.530 B -13.48 % 100.015 B -5.26 % 105.568 B -14.46 % 123.418 B 262.64 % 34.033 B -1.88 % 34.686 B -11.34 % 39.123 B -26.02 % 52.882 B 139.70 % 22.062 B -16.64 % 26.466 B 373.85 % 5.585 B
Total current assets 10.024 B 9.22 % 9.178 B -47.32 % 17.424 B -46.15 % 32.353 B -0.28 % 32.444 B 28.12 % 25.323 B -66.70 % 76.050 B -5.17 % 80.199 B -10.35 % 89.455 B -13.22 % 103.084 B -9.45 % 113.838 B -3.44 % 117.899 B -11.27 % 132.874 B 256.51 % 37.271 B -4.79 % 39.148 B -8.32 % 42.700 B -23.44 % 55.771 B 142.10 % 23.036 B -16.66 % 27.643 B 345.32 % 6.207 B
Inventory 1.841 B -23.81 % 2.417 B -10.29 % 2.694 B -11.52 % 3.045 B 0.30 % 3.036 B -13.03 % 3.491 B -2.00 % 3.562 B -4.67 % 3.737 B 14.29 % 3.269 B 43.78 % 2.274 B -8.36 % 2.481 B 20.16 % 2.065 B 34.58 % 1.534 B 15.20 % 1.332 B 27.65 % 1.043 B 50.35 % 694.010 M 31.40 % 528.182 M 14.40 % 461.716 M 8.81 % 424.334 M 20.19 % 353.047 M
Net receivables 1.909 B 261.84 % 527.539 M -75.52 % 2.155 B -34.06 % 3.268 B 5.41 % 3.101 B -15.87 % 3.686 B -25.63 % 4.957 B 25.03 % 3.964 B -28.54 % 5.548 B -41.00 % 9.403 B 43.40 % 6.557 B 31.04 % 5.004 B 346.40 % 1.121 B 738.76 % 133.650 M -51.92 % 277.959 M 264.43 % 76.272 M -82.90 % 446.065 M 0.000 -100.00 % 602.532 M 0.000
Tax assets 0.000 0.000 0.000 0.000 100.00 % -10.963 B 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -6.511 B -0.83 % -6.458 B -162.78 % -2.458 B -1 175 851 000.00 % 209.000 0.000 0.000 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 64.088 M -3.68 % 66.539 M 76.41 % 37.718 M -85.24 % 255.590 M 244.76 % 74.136 M -70.75 % 253.470 M -58.97 % 617.827 M 16.23 % 531.551 M 6.68 % 498.286 M 2.71 % 485.147 M -9.94 % 538.710 M 37.66 % 391.338 M -9.92 % 434.410 M 192.32 % 148.606 M -40.27 % 248.797 M 110.13 % 118.400 M -12.25 % 134.932 M 398.46 % 27.070 M -30.77 % 39.101 M 688.48 % 4.959 M
Tax 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 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Deferred revenue non current 0.000 0.000 100.00 % -31.554 B 0.000 -100.00 % 1.391 B 0.000 -100.00 % 1.655 B -7.52 % 1.790 B -9.41 % 1.976 B -5.86 % 2.098 B -23.20 % 2.732 B 434.34 % 511.301 M -8.14 % 556.607 M -7.45 % 601.414 M -7.08 % 647.217 M -6.61 % 693.020 M 27.05 % 545.455 M 0.000 0.000 0.000
Minority interest 5.290 B 7.82 % 4.907 B 3.52 % 4.740 B -18.84 % 5.840 B -11.17 % 6.574 B 0.57 % 6.537 B -16.08 % 7.790 B -0.11 % 7.798 B 3 665.28 % 207.110 M 48.12 % 139.823 M -36.28 % 219.420 M -41.66 % 376.119 M -28.78 % 528.137 M -21.04 % 668.850 M -19.28 % 828.599 M 292.97 % 210.857 M 66.79 % 126.417 M 0.000 0.000 0.000
Capital lease obligations 1.392 B -1.39 % 1.411 B -5.51 % 1.494 B -8.83 % 1.639 B -7.92 % 1.779 B -6.97 % 1.913 B -6.92 % 2.055 B -6.36 % 2.194 B -13.30 % 2.531 B -5.90 % 2.690 B -32.04 % 3.958 B 88.76 % 2.097 B -6.73 % 2.248 B -7.16 % 2.422 B -6.45 % 2.589 B 16.51 % 2.222 B -6.12 % 2.367 B 10.03 % 2.151 B -0.91 % 2.171 B 67.75 % 1.294 B
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 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 total stockholders equity 45.498 B 48.03 % 30.736 B 12.88 % 27.229 B -27.12 % 37.363 B 9.84 % 34.016 B 41.80 % 23.988 B -0.66 % 24.147 B 27.97 % 18.869 B 11.26 % 16.960 B 294.62 % 4.298 B -98.12 % 229.206 B 2.02 % 224.674 B 0.77 % 222.951 B 99.31 % 111.860 B 1.92 % 109.754 B 4.78 % 104.743 B 1.69 % 103.003 B 9.38 % 94.167 B 12.36 % 83.811 B 55.42 % 53.927 B
Deferred tax liabilities non current 1.358 B -41.64 % 2.327 B 0.00 % 2.327 B 0.000 -100.00 % 1.029 B 0.000 -100.00 % 5.028 B 41.02 % 3.565 B 0.88 % 3.534 B 176.90 % 1.276 B 0.00 % 1.276 B 0.00 % 1.276 B 0.00 % 1.276 B 0.00 % 1.276 B -29.85 % 1.820 B 12.18 % 1.622 B -8.58 % 1.774 B 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 54.881 B -4.71 % 57.593 B -27.42 % 79.346 B -18.07 % 96.846 B 8.48 % 89.278 B 10.65 % 80.688 B -46.62 % 151.146 B -4.70 % 158.606 B 0.58 % 157.693 B 3.57 % 152.250 B -4.24 % 158.989 B 0.41 % 158.340 B -5.14 % 166.928 B 166.40 % 62.660 B 1.07 % 61.997 B 6.69 % 58.107 B -7.03 % 62.500 B 114.39 % 29.153 B -11.86 % 33.077 B 230.18 % 10.018 B
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 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2019-12-31
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 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2019-12-31 2019-09-30
Deferred income tax 0.000 0.000 0.000 0.000 0.000 100.00 % -3.799 B 0.86 % -3.832 B -543.30 % 864.351 M 219.69 % -722.137 M -7.45 % -672.096 M -154.38 % 1.236 B 459.77 % -343.497 M -136.25 % 947.647 M 284.67 % -513.161 M -4 634.39 % -10.839 M -127.88 % 38.880 M 108.95 % -434.507 M -256.57 % -121.859 M 13.18 % -140.362 M 2.82 % -144.435 M -150.35 % 286.858 M
Stock based compensation 0.000 -100.00 % 368.985 M -21.05 % 467.381 M -14.15 % 544.414 M 3 493.29 % 15.151 M -98.18 % 834.648 M 0.00 % 834.648 M 234.29 % 249.681 M -68.83 % 800.983 M 15.31 % 694.627 M -23.90 % 912.803 M 41.23 % 646.314 M 648.34 % -117.868 M -119.96 % 590.568 M 5.00 % 562.463 M 177.51 % 202.683 M -59.54 % 500.973 M 261.29 % 138.663 M 16.45 % 119.080 M 6.85 % 111.441 M 188.98 % -125.245 M
Change in working capital 91.541 B 1 231.47 % 6.875 B 570.44 % -1.461 B 9.24 % -1.610 B -155.02 % -631.386 M -112.73 % 4.958 B 344.96 % -2.024 B 35.58 % -3.142 B -219.20 % 2.636 B 187.40 % -3.016 B -86.28 % -1.619 B -121.45 % 7.549 B 270.06 % -4.439 B -385.03 % 1.557 B 308.77 % -745.991 M 32.98 % -1.113 B -5.70 % -1.053 B -51.81 % -693.642 M -259.56 % 434.720 M 229.03 % -336.914 M 32.51 % -499.178 M
Accounts receivables -1.097 B -327.09 % 483.090 M 99.24 % 242.465 M 138.78 % -625.236 M -182.20 % 760.619 M -8.37 % 830.062 M 160.11 % -1.381 B 7.20 % -1.488 B -150.30 % 2.959 B 233.26 % -2.220 B -14.49 % -1.939 B -165.50 % 2.961 B 192.50 % -3.201 B -377.61 % 1.153 B 201.80 % -1.133 B -18 739.45 % -6.012 M 92.28 % -77.897 M -478.55 % 20.578 M 115.16 % 9.564 M 794.50 % 1.069 M 200.00 % -1.069 M
Inventory 542.355 M 255.78 % -348.159 M -134.19 % 1.018 B 448.85 % -291.930 M -141.80 % 698.470 M 2 725.51 % -26.603 M -104.03 % 660.399 M 147.44 % -1.392 B -39.85 % -995.438 M -82.79 % -544.580 M -30.83 % -416.257 M 42.57 % -724.748 M -257.86 % -202.523 M 29.81 % -288.541 M 17.42 % -349.400 M -110.70 % -165.829 M -149.49 % -66.466 M -77.80 % -37.382 M -418.99 % 11.719 M -63.29 % 31.925 M 119.89 % -160.544 M
Accounts payables 2.259 B 0.000 0.000 -100.00 % 4.194 B 282.82 % -2.294 B -352.26 % 909.399 M 185.71 % 318.289 M 422.00 % 60.975 M 115.73 % -387.576 M -52.88 % -253.515 M -136.64 % 691.844 M 255.61 % -444.614 M -255.57 % 285.803 M 149.15 % -581.533 M -187.05 % 668.024 M 1 017.41 % -72.816 M -167.51 % 107.862 M 0.000 0.000 0.000 0.000
Other working capital 89.837 B 1 232.84 % 6.740 B 347.59 % -2.722 B 44.30 % -4.887 B -2 500.70 % 203.569 M -93.73 % 3.245 B 300.11 % -1.622 B -402.82 % -322.515 M -130.43 % 1.060 B 41 256.97 % 2.563 M 109.65 % -26.564 M -100.47 % 5.705 B 531.72 % -1.321 B -209.41 % 1.208 B 1 674.79 % 68.052 M 107.84 % -868.456 M 14.57 % -1.017 B -50.19 % -676.838 M -263.71 % 413.438 M 211.77 % -369.908 M -9.58 % -337.565 M
Other non cash items -738.294 M -107.39 % 9.990 B 777.12 % 1.139 B 168.06 % -1.674 B -140.74 % 4.108 B -78.95 % 19.516 B 125.42 % 8.658 B -18.71 % 10.650 B 560.99 % 1.611 B -84.83 % 10.625 B 60 568.40 % -17.570 M -100.59 % 2.958 B -51.39 % 6.085 B 64.81 % 3.692 B 74.13 % 2.120 B 40.43 % 1.510 B -43.09 % 2.653 B -48.54 % 5.156 B 329.26 % 1.201 B 15.82 % 1.037 B 1 160.35 % -97.809 M
Net cash provided by operating activities -345.828 M 95.80 % -8.233 B 39.51 % -13.612 B -8.14 % -12.587 B -73.59 % -7.251 B -77.14 % -4.093 B 43.18 % -7.204 B 16.87 % -8.666 B -92.23 % -4.508 B -19.01 % -3.788 B 60.00 % -9.469 B -435.00 % 2.826 B 124.80 % -11.399 B -117.59 % -5.239 B 25.68 % -7.050 B -14.52 % -6.156 B -20.90 % -5.092 B -25.74 % -4.049 B -26.05 % -3.213 B -60.75 % -1.998 B -2.55 % -1.949 B
Investments in property plant and equipment -774.704 M -821.41 % 107.387 M 147.33 % -226.881 M -95.85 % -115.841 M 84.13 % -730.114 M 27.00 % -1.000 B 54.48 % -2.197 B 13.98 % -2.554 B 52.71 % -5.401 B -309.08 % -1.320 B 39.89 % -2.196 B 54.88 % -4.868 B -362.98 % -1.052 B 68.12 % -3.299 B -72.63 % -1.911 B 70.32 % -6.438 B -1 107.26 % -533.244 M 6.08 % -567.749 M -104.72 % -277.333 M -5.75 % -262.242 M -32.65 % -197.700 M
Acquisitions net 243.682 M 0.000 0.000 0.000 -100.00 % 818.185 K 303.20 % -402.647 K -101.30 % 31.091 M 16.92 % 26.591 M 100.80 % -3.329 B 91.08 % -37.320 B -10 947 351.07 % 340.910 K -25.00 % 454.550 K 0.000 0.000 -100.00 % 70.899 M 0.000 0.000 0.000 0.000 0.000 0.000
Purchases of investments -84.940 M 0.000 -100.00 % 9.300 B 0.000 0.000 -100.00 % 74.296 B 410.28 % -23.945 B 57.52 % -56.363 B -811.30 % -6.185 B 87.81 % -50.719 B -455.15 % 14.281 B 154.83 % -26.045 B -44.28 % -18.052 B -100.86 % -8.987 B 15.27 % -10.607 B -63.70 % -6.480 B 74.08 % -25.000 B 0.000 0.000 0.000 0.000
Sales maturities of investments 455.129 M 299.10 % 114.040 M 499 837.07 % -22.820 K -100.00 % 997.908 M 1 129.03 % 81.195 M 100.08 % -104.071 B -425.24 % 31.999 B -60.41 % 80.818 B 1 230.80 % 6.073 B 1.95 % 5.957 B 11 813.57 % 50.000 M 100.34 % -14.799 B -200.00 % 14.799 B 224.63 % 4.559 B -37.71 % 7.319 B -48.13 % 14.111 B 164.70 % 5.331 B 0.000 0.000 0.000 0.000
Other investing activites 250.802 M -49.10 % 492.722 M 490.14 % 83.493 M 100.85 % -9.873 B -9 264.37 % 107.733 M -99.84 % 65.773 B 14 513.56 % 450.082 M 105.45 % -8.261 B -186.53 % 9.547 B 13 825.70 % 68.556 M -76.89 % 296.625 M 112.14 % -2.443 B -63.15 % -1.498 B -720.78 % -182.471 M -135.25 % 517.646 M 44 029.14 % -1.178 M 99.24 % -154.567 M 65.87 % -452.823 M 97.05 % -15.356 B -4 178.41 % -358.929 M 88.30 % -3.067 B
Net cash used for investing activites 89.969 M -87.40 % 714.150 M -92.20 % 9.157 B 201.84 % -8.991 B -1 563.86 % -540.368 M -101.54 % 34.997 B 452.23 % 6.337 B -62.77 % 17.021 B 2 314.54 % 704.947 M 100.85 % -83.334 B -770.34 % 12.432 B 125.82 % -48.155 B -730.00 % -5.802 B 26.65 % -7.910 B -71.55 % -4.610 B -486.58 % 1.193 B 105.86 % -20.357 B -1 894.65 % -1.021 B 93.47 % -15.634 B -2 416.82 % -621.171 M 80.97 % -3.265 B
Debt repayment -155.000 M -118.02 % 860.000 M 0.000 -100.00 % 11.842 B -30.34 % 17.000 B 150.77 % -33.486 B -625 905 000.71 % -5.350 K 100.00 % -185.779 M -102.88 % 6.449 B -15.15 % 7.600 B 21 134 558.09 % 35.960 K -97.08 % 1.233 M 0.000 100.00 % -504.982 M -114.51 % 3.480 B 0.000 -100.00 % 35.000 B 25 365.23 % -138.530 M -11.39 % -124.360 M 0.000 0.000
Common stock issued 0.000 0.000 0.000 -100.00 % 130.433 M 0.000 0.000 0.000 0.000 -100.00 % 6.312 B -81.21 % 33.591 B 0.000 -100.00 % 1.295 B -98.85 % 112.705 B 1 121.03 % 9.230 B 66.00 % 5.561 B 555.36 % 848.471 M -68.10 % 2.660 B 0.000 -100.00 % 27.950 B 9 477.81 % 291.819 M -70.82 % 999.955 M
Common stock repurchased -84.979 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -141.308 M 0.000 0.000 0.000
Dividends paid 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 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 financing activites -46.292 M -178.86 % 58.698 M 136.51 % -160.763 M -223.25 % 130.433 M 182.51 % -158.073 M 97.61 % -6.610 B -3 999.64 % -161.238 M -831 278.26 % -19.394 K 99.99 % -254.457 M -7.44 % -236.831 M -12.26 % -210.968 M 2.65 % -216.708 M -100.19 % 112.491 B 1 118.70 % 9.230 B 71.10 % 5.395 B 3 406.86 % -163.134 M -106.53 % 2.497 B 1 016.15 % 223.723 M 191.90 % -243.450 M -901.29 % -24.314 M 77.24 % -106.844 M
Net cash used provided by financing activities -286.271 M -131.16 % 918.698 M 671.46 % -160.763 M -101.34 % 11.972 B -28.92 % 16.842 B 142.00 % -40.096 B -24 766.88 % -161.243 M 96.96 % -5.297 B -142.36 % 12.506 B -69.46 % 40.954 B 19 515.64 % -210.932 M -119.53 % 1.080 B -99.04 % 112.491 B 1 153.17 % 8.976 B 1.15 % 8.875 B 1 194.93 % 685.337 M -98.17 % 37.497 B 66 920.81 % -56.116 M -100.20 % 27.582 B 10 210.84 % 267.505 M -70.05 % 893.111 M
Effect of forex changes on cash 617.807 M 815.41 % -86.357 M -160.60 % 142.501 M 106.46 % 69.020 M -72.84 % 254.092 M 150.79 % -500.253 M -162.84 % 796.096 M 1 052.47 % -83.582 M 63.70 % -230.274 M 94.88 % -4.494 B -222.70 % 3.663 B 28 271.56 % -13.001 M 93.06 % -187.270 M 65.89 % -549.011 M -307.20 % 264.963 M 5 715.63 % -4.718 M 98.49 % -313.426 M -186.99 % 360.292 M 261.56 % 99.649 M 892.08 % -12.581 M -111.78 % 106.776 M
Net change in cash 75.677 M 101.13 % -6.687 B -49.47 % -4.474 B 53.09 % -9.537 B -202.50 % 9.304 B 196.00 % -9.692 B -4 084.83 % -231.605 M -107.79 % 2.975 B -64.89 % 8.473 B 116.72 % -50.662 B -889.79 % 6.415 B 114.49 % -44.262 B -146.54 % 95.102 B 2 012.70 % -4.972 B -97.27 % -2.520 B 41.15 % -4.283 B -136.49 % 11.735 B 346.24 % -4.766 B -153.94 % 8.835 B 473.64 % -2.365 B 43.88 % -4.213 B
Cash at beginning of period 3.387 B -66.38 % 10.074 B -30.75 % 14.548 B -39.60 % 24.085 B 62.95 % 14.780 B -39.60 % 24.473 B -0.94 % 24.704 B 13.69 % 21.729 B 63.91 % 13.257 B -79.26 % 63.919 B 11.16 % 57.504 B -43.49 % 101.766 B 1 427.12 % 6.664 B -42.73 % 11.636 B -17.80 % 14.157 B -23.23 % 18.439 B 175.05 % 6.704 B -41.55 % 11.470 B 335.39 % 2.634 B -45.70 % 4.852 B -46.48 % 9.065 B
Cash at end of period 3.463 B 2.23 % 3.387 B -66.38 % 10.074 B -30.75 % 14.548 B -39.60 % 24.085 B 62.95 % 14.780 B -39.60 % 24.473 B -0.94 % 24.704 B 13.69 % 21.729 B 63.91 % 13.257 B -79.26 % 63.919 B 11.16 % 57.504 B -43.49 % 101.766 B 1 427.12 % 6.664 B -42.73 % 11.636 B -17.80 % 14.157 B -23.23 % 18.439 B 175.05 % 6.704 B -41.55 % 11.470 B 361.21 % 2.487 B -48.74 % 4.852 B
Operating cash flow -345.828 M 95.80 % -8.233 B 39.51 % -13.612 B -8.14 % -12.587 B -73.59 % -7.251 B -77.14 % -4.093 B 43.18 % -7.204 B 16.87 % -8.666 B -92.23 % -4.508 B -19.01 % -3.788 B 60.00 % -9.469 B -435.00 % 2.826 B 124.80 % -11.399 B -117.59 % -5.239 B 25.68 % -7.050 B -14.52 % -6.156 B -20.90 % -5.092 B -25.74 % -4.049 B -26.05 % -3.213 B -60.75 % -1.998 B -2.55 % -1.949 B
Capital expenditure -7.250 M -106.75 % 107.387 M 147.15 % -227.734 M -96.59 % -115.841 M 84.13 % -730.114 M 27.00 % -1.000 B 54.48 % -2.197 B 13.98 % -2.554 B 52.71 % -5.401 B -309.08 % -1.320 B 39.89 % -2.196 B 54.88 % -4.868 B -362.98 % -1.052 B 68.12 % -3.299 B -72.63 % -1.911 B 70.32 % -6.438 B -1 107.26 % -533.244 M 6.08 % -567.749 M -104.72 % -277.333 M -5.75 % -262.242 M -32.65 % -197.700 M
Free CashFlow -353.078 M 95.65 % -8.126 B 41.29 % -13.840 B -8.95 % -12.703 B -59.16 % -7.981 B -56.69 % -5.094 B 45.82 % -9.401 B 16.21 % -11.220 B -13.23 % -9.909 B -93.98 % -5.108 B 56.21 % -11.665 B -471.32 % -2.042 B 83.60 % -12.451 B -45.84 % -8.538 B 4.72 % -8.960 B 28.85 % -12.593 B -123.89 % -5.625 B -21.83 % -4.617 B -32.30 % -3.490 B -54.37 % -2.261 B -5.32 % -2.147 B
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Date Form 10K
2024
2023
2022
2021
2020
2019
2018
2017