3227.TWO

PixArt Imaging Inc. 3227.TWO

Finances

2024 2023 2022 2021 2020 2019
Revenue 8.362 B 43.08 % 5.845 B 11.84 % 5.226 B -40.62 % 8.801 B 8.01 % 8.148 B 34.12 % 6.075 B
Net income 1.815 B 127.10 % 799.400 M -23.92 % 1.051 B -33.32 % 1.576 B 8.19 % 1.457 B 74.32 % 835.586 M
Income before tax 2.047 B 131.22 % 885.305 M -19.13 % 1.095 B -43.15 % 1.926 B 8.39 % 1.777 B 71.00 % 1.039 B
Income before tax ratio 0.24 61.61 % 0.15 -27.69 % 0.21 -4.26 % 0.22 0.35 % 0.22 27.49 % 0.17
EBITDA 2.399 B 97.36 % 1.215 B -14.80 % 1.427 B -38.33 % 2.313 B 7.56 % 2.151 B 83.07 % 1.175 B
Net income ratio 0.22 58.72 % 0.14 -31.97 % 0.20 12.28 % 0.18 0.17 % 0.18 29.97 % 0.14
Ratio EBITDA 0.29 37.94 % 0.21 -23.82 % 0.27 3.85 % 0.26 -0.41 % 0.26 36.49 % 0.19
Gross profit ratio 0.62 7.69 % 0.58 6.73 % 0.54 -5.44 % 0.57 -1.44 % 0.58 0.09 % 0.58
Weighted average shs out dil 149.106 M 1.71 % 146.595 M 0.88 % 145.320 M 0.58 % 144.481 M 1.64 % 142.153 M 2.17 % 139.132 M
Weighted average shs out 143.438 M -0.06 % 143.519 M 1.20 % 141.813 M 1.87 % 139.206 M 1.34 % 137.359 M -1.20 % 139.033 M
EPS diluted 12.24 124.59 % 5.45 -24.62 % 7.23 -33.73 % 10.91 6.44 % 10.25 70.55 % 6.01
Earnings per share 12.52 124.78 % 5.57 -24.83 % 7.41 -34.54 % 11.32 6.79 % 10.60 70.14 % 6.23
Gross profit 5.187 B 54.09 % 3.366 B 19.36 % 2.820 B -43.85 % 5.023 B 6.45 % 4.718 B 34.24 % 3.515 B
Income tax expense 253.440 M 195.02 % 85.905 M 51.29 % 56.781 M -83.76 % 349.632 M 3.42 % 338.083 M 61.99 % 208.709 M
Cost of revenue 3.175 B 28.13 % 2.478 B 3.02 % 2.406 B -36.32 % 3.778 B 10.16 % 3.430 B 33.96 % 2.560 B
General and administrative expenses 651.944 M 20.34 % 541.774 M -5.83 % 575.340 M -7.04 % 618.914 M 7.98 % 573.174 M 1.15 % 566.655 M
Selling and marketing expenses 385.555 M 22.21 % 315.486 M -3.83 % 328.048 M -19.72 % 408.653 M 9.50 % 373.204 M 7.22 % 348.088 M
Other expenses -32.395 M -194.47 % -11.001 M 0.000 0.000 0.000 0.000
Operating expenses 3.428 B 29.27 % 2.652 B -5.66 % 2.811 B -12.09 % 3.198 B 11.45 % 2.869 B 12.38 % 2.553 B
Cost and expenses 6.604 B 28.71 % 5.130 B -1.66 % 5.217 B -25.21 % 6.976 B 10.75 % 6.299 B 23.18 % 5.114 B
Research and development expenses 2.423 B 34.18 % 1.806 B -5.53 % 1.912 B -11.92 % 2.170 B 12.86 % 1.923 B 17.43 % 1.638 B
Selling general and administrative expenses 1.037 B 21.03 % 857.260 M -5.11 % 903.388 M -12.08 % 1.028 B 8.58 % 946.378 M 3.35 % 915.707 M
Interest income 169.709 M 37.01 % 123.868 M 121.93 % 55.813 M 97.23 % 28.298 M -37.28 % 45.119 M -41.34 % 76.916 M
Interest expense 4.723 M 25.71 % 3.757 M -21.73 % 4.800 M -32.33 % 7.093 M 27.39 % 5.568 M 3.90 % 5.359 M
Depreciation and amortization 347.071 M 6.33 % 326.409 M -0.20 % 327.066 M -15.75 % 388.196 M 8.44 % 357.992 M 67.75 % 213.402 M
Operating income 1.759 B 146.28 % 714.102 M -34.73 % 1.094 B -43.17 % 1.925 B 7.39 % 1.793 B 86.47 % 961.454 M
Operating income ratio 0.21 72.13 % 0.12 -41.64 % 0.21 -4.30 % 0.22 -0.57 % 0.22 39.03 % 0.16
Total other income expenses net 288.374 M 63.06 % 176.855 M 26 100.74 % 675.000 K -99.28 % 93.376 M 229.19 % -72.277 M -193.17 % 77.576 M
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Net debt -4.678 B -21.08 % -3.863 B -4.83 % -3.686 B 9.82 % -4.087 B -10.79 % -3.689 B 0.000
Total investments 4.321 B 8.93 % 3.967 B 12.87 % 3.515 B -5.38 % 3.714 B 31.63 % 2.822 B 0.000
Total debt 219.791 M 24.73 % 176.213 M -0.43 % 176.968 M -70.64 % 602.764 M -0.09 % 603.294 M 0.000
Accumulated other comprehensive income loss 0.000 -100.00 % 825.711 M 0.000 0.000 0.000 0.000
Retained earnings 4.309 B -9.20 % 4.746 B 45.62 % 3.259 B -12.10 % 3.708 B 15.90 % 3.199 B 0.000
Common stock 1.493 B 2.18 % 1.461 B -0.06 % 1.462 B 2.26 % 1.430 B 0.97 % 1.416 B 0.000
Total equity 11.559 B 16.72 % 9.903 B 8.43 % 9.133 B -10.43 % 10.196 B 14.08 % 8.937 B 0.000
Other non current liabilities 4.004 M 694.44 % 504.000 K -88.06 % 4.221 M -2.06 % 4.310 M -33.94 % 6.524 M -98.65 % 482.657 M
Long term debt 184.742 M 26.31 % 146.260 M 3.25 % 141.661 M 2.88 % 137.693 M -5.43 % 145.606 M -20.42 % 182.977 M
Total non current liabilities 457.455 M 6.06 % 431.331 M -11.87 % 489.410 M -5.20 % 516.279 M -8.15 % 562.100 M 0.000
Other current liabilities 1.334 B 16.13 % 1.149 B -5.52 % 1.216 B 3.43 % 1.175 B 44.16 % 815.361 M -19.07 % 1.007 B
Deferred revenue 68.668 M 171.09 % 25.330 M -98.17 % 1.383 B -15.87 % 1.644 B 20.41 % 1.366 B 0.000
Short term debt 35.049 M 60.16 % 21.884 M -4.02 % 22.800 M -94.90 % 447.068 M 2.41 % 436.553 M 2 013.85 % 20.652 M
Total current liabilities 2.224 B 20.78 % 1.842 B 10.85 % 1.661 B -40.80 % 2.807 B 17.87 % 2.381 B 0.000
Total liabilities 2.682 B 17.99 % 2.273 B 5.68 % 2.151 B -35.27 % 3.323 B 12.90 % 2.943 B 0.000
Other non current assets 1.393 B 23.01 % 1.132 B 23.51 % 916.808 M -43.45 % 1.621 B 43.63 % 1.129 B 0.000
Long term investments 3.238 B 4.01 % 3.114 B 9.34 % 2.848 B 7.11 % 2.659 B 29.58 % 2.052 B 0.000
Intangible assets 238.648 M 71.22 % 139.382 M -78.12 % 637.041 M -37.26 % 1.015 B -31.92 % 1.492 B 0.000
GoodWill 0.000 0.000 0.000 0.000 0.000 0.000
Goodwill and intangible assets 238.648 M 71.22 % 139.382 M -11.91 % 158.231 M -52.19 % 330.946 M 8.56 % 304.841 M 0.000
Property plant equipment net 1.028 B 10.38 % 930.931 M -4.75 % 977.321 M 10.85 % 881.663 M 1.79 % 866.192 M 0.000
Total non current assets 6.049 B 10.84 % 5.457 B 8.19 % 5.044 B -10.81 % 5.655 B 25.87 % 4.493 B 0.000
Other current assets 125.012 M -30.35 % 179.475 M 73.72 % 103.314 M 10.50 % 93.500 M -7.21 % 100.763 M -19.35 % 124.931 M
Short term investments 1.083 B 26.91 % 853.257 M 27.95 % 666.887 M -36.82 % 1.056 B 37.10 % 769.981 M 0.000
cash and cash equivalents 4.898 B 21.24 % 4.040 B 4.58 % 3.863 B -17.64 % 4.690 B 9.26 % 4.292 B 0.000
Cash and short term investments 5.981 B 22.23 % 4.893 B 8.02 % 4.529 B -21.16 % 5.745 B 13.50 % 5.062 B 0.000
Total current assets 8.192 B 21.93 % 6.719 B 7.68 % 6.240 B -20.65 % 7.864 B 6.44 % 7.388 B 1 784 415.70 % 414.000 K
Inventory 950.771 M 39.72 % 680.462 M -31.13 % 988.022 M -5.57 % 1.046 B 35.98 % 769.456 M 0.000
Net receivables 1.135 B 14.42 % 992.273 M 55.76 % 637.041 M -37.26 % 1.015 B -31.92 % 1.492 B 79.48 % 831.029 M
Tax assets 151.117 M 7.27 % 140.873 M -2.02 % 143.778 M -11.45 % 162.361 M 15.07 % 141.095 M 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 443.828 M -0.39 % 445.587 M 88.49 % 236.395 M -66.03 % 695.923 M 24.28 % 559.943 M 24.28 % 450.536 M
Tax payables 342.918 M 71.29 % 200.193 M 16.33 % 172.087 M -25.18 % 230.005 M -14.06 % 267.638 M 0.000
Deferred revenue non current 0.000 -100.00 % 8.069 M -35.48 % 12.507 M -30.53 % 18.003 M -14.82 % 21.135 M 0.000
Minority interest 66.343 M 0.000 0.000 -100.00 % 21.936 M 3.91 % 21.111 M 0.000
Capital lease obligations 176.902 M 0.39 % 176.213 M -0.43 % 176.968 M -1.64 % 179.924 M -4.29 % 187.994 M -7.68 % 203.629 M
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 5.690 B 98.25 % 2.870 B 0.12 % 2.867 B 15.91 % 2.473 B 3.06 % 2.400 B 24.58 % 1.926 B
Deferred tax liabilities non current 268.709 M 0.10 % 268.429 M -15.72 % 318.514 M -5.84 % 338.270 M -8.00 % 367.700 M 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 14.240 B 16.96 % 12.176 B 7.91 % 11.284 B -16.53 % 13.519 B 13.79 % 11.881 B 0.000
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 243.703 M 41.53 % 172.196 M -32.47 % 255.001 M 19.11 % 214.085 M 29.37 % 165.487 M -13.54 % 191.400 M
Change in working capital -17.322 M 80.31 % -87.983 M 77.39 % -389.078 M -161.18 % 635.923 M 255.41 % -409.185 M -1 788.78 % -21.664 M
Accounts receivables -117.740 M 67.53 % -362.589 M 0.000 0.000 0.000 100.00 % -58.934 M
Inventory -252.083 M -181.96 % 307.560 M 348.13 % -123.952 M 55.20 % -276.688 M -201.56 % -91.753 M -46.35 % -62.695 M
Accounts payables 0.000 -100.00 % 209.192 M 0.000 0.000 0.000 -100.00 % 152.251 M
Other working capital 352.501 M 245.57 % -242.146 M 0.000 0.000 0.000 -100.00 % 99.965 M
Other non cash items -110.370 M -2 031.93 % -5.177 M 89.86 % -51.052 M -140.75 % -21.205 M 46.39 % -39.551 M -115.30 % 258.536 M
Net cash provided by operating activities 2.509 B 94.42 % 1.291 B 336.95 % 295.403 M -89.31 % 2.763 B 66.78 % 1.657 B 4.38 % 1.588 B
Investments in property plant and equipment -148.075 M 31.79 % -217.099 M -19.32 % -181.951 M 38.09 % -293.892 M 32.81 % -437.423 M -454.28 % -78.918 M
Acquisitions net 30.654 M 0.000 -100.00 % 752.912 M 588.52 % -154.120 M 0.000 -100.00 % 38.207 M
Purchases of investments -818.423 M -124.28 % -364.919 M -14.87 % -317.668 M 51.08 % -649.368 M 45.17 % -1.184 B -753.19 % -138.803 M
Sales maturities of investments 144.960 M -62.77 % 389.373 M 1 467.46 % 24.841 M -52.66 % 52.472 M -54.97 % 116.536 M 572.41 % 17.331 M
Other investing activites -238.344 M -9 860.05 % -2.393 M 97.49 % -95.457 M -6.48 % -89.644 M 38.89 % -146.700 M 51.10 % -300.014 M
Net cash used for investing activites -1.029 B -427.71 % -195.038 M -158.63 % 332.677 M 128.31 % -1.175 B 34.33 % -1.790 B -372.30 % -378.932 M
Debt repayment -4.212 M 84.81 % -27.723 M 86.33 % -202.840 M -2 662.73 % 7.915 M -98.10 % 417.265 M 0.000
Common stock issued 0.000 -100.00 % 175.000 K -99.40 % 29.000 M -62.71 % 77.778 M -23.25 % 101.339 M -9.50 % 111.972 M
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid -673.789 M 23.16 % -876.824 M 33.26 % -1.314 B -8.92 % -1.206 B -68.64 % -715.298 M 0.97 % -722.312 M
Other financing activites -28.880 M -676.97 % -3.717 M -260.91 % 2.310 M 107.81 % -29.582 M -8.04 % -27.380 M -258.00 % 17.329 M
Net cash used provided by financing activities -706.881 M 22.16 % -908.089 M 40.04 % -1.514 B -31.67 % -1.150 B -413.31 % -224.074 M 62.21 % -593.011 M
Effect of forex changes on cash 84.760 M 904.79 % -10.532 M -117.80 % 59.170 M 246.52 % -40.383 M 42.81 % -70.610 M -103.00 % -34.783 M
Net change in cash 858.136 M 384.57 % 177.091 M 121.41 % -827.162 M -308.04 % 397.595 M 193.03 % -427.403 M -173.59 % 580.793 M
Cash at beginning of period 4.040 B 4.58 % 3.863 B -17.64 % 4.690 B 9.26 % 4.292 B -9.06 % 4.720 B 14.03 % 4.139 B
Cash at end of period 4.898 B 21.24 % 4.040 B 4.58 % 3.863 B -17.64 % 4.690 B 9.26 % 4.292 B -9.06 % 4.720 B
Operating cash flow 2.509 B 94.42 % 1.291 B 336.95 % 295.403 M -89.31 % 2.763 B 66.78 % 1.657 B 4.38 % 1.588 B
Capital expenditure -289.271 M -82.08 % -158.871 M 12.68 % -181.951 M 38.09 % -293.892 M 32.81 % -437.423 M -454.28 % -78.918 M
Free CashFlow 2.220 B 96.15 % 1.132 B 897.67 % 113.452 M -95.41 % 2.470 B 102.50 % 1.220 B -19.16 % 1.509 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
Revenue 2.280 B -2.93 % 2.349 B 1.99 % 2.303 B 1.72 % 2.264 B 10.74 % 2.045 B 16.81 % 1.750 B -1.04 % 1.769 B 10.96 % 1.594 B 14.32 % 1.394 B 28.28 % 1.087 B 6.49 % 1.021 B
Net income 366.324 M -32.81 % 545.207 M -2.33 % 558.194 M 16.54 % 478.967 M -1.67 % 487.094 M 67.29 % 291.163 M 4.97 % 277.368 M -7.23 % 298.981 M 37.11 % 218.064 M 4 272.65 % 4.987 M 107.85 % -63.530 M
Income before tax 387.292 M -38.06 % 625.246 M -0.04 % 625.506 M 17.37 % 532.921 M -4.10 % 555.697 M 66.92 % 332.907 M 6.45 % 312.732 M -7.49 % 338.059 M 47.14 % 229.749 M 4 721.59 % 4.765 M 106.44 % -74.031 M
Income before tax ratio 0.17 -36.19 % 0.27 -1.99 % 0.27 15.39 % 0.24 -13.40 % 0.27 42.90 % 0.19 7.57 % 0.18 -16.63 % 0.21 28.72 % 0.16 3 658.74 % 0.00 106.04 % -0.07
EBITDA 495.274 M -31.64 % 724.524 M -0.10 % 725.217 M 16.04 % 624.959 M -1.91 % 637.127 M 53.69 % 414.551 M 4.45 % 396.872 M -5.91 % 421.793 M 34.87 % 312.734 M 248.55 % 89.724 M 1 375.24 % 6.082 M
Net income ratio 0.16 -30.78 % 0.23 -4.23 % 0.24 14.58 % 0.21 -11.20 % 0.24 43.22 % 0.17 6.08 % 0.16 -16.39 % 0.19 19.94 % 0.16 3 308.76 % 0.00 107.37 % -0.06
Ratio EBITDA 0.22 -29.58 % 0.31 -2.04 % 0.31 14.09 % 0.28 -11.42 % 0.31 31.57 % 0.24 5.55 % 0.22 -15.20 % 0.26 17.98 % 0.22 171.72 % 0.08 1 285.37 % 0.01
Gross profit ratio 0.62 0.61 % 0.62 -2.31 % 0.64 1.24 % 0.63 -1.45 % 0.64 11.29 % 0.57 -4.38 % 0.60 0.84 % 0.59 7.93 % 0.55 0.34 % 0.55 -1.33 % 0.56
Weighted average shs out dil 148.912 M -0.31 % 149.372 M -2.14 % 152.635 M 2.93 % 148.287 M 1.07 % 146.715 M 0.00 % 146.720 M 0.04 % 146.658 M 0.56 % 145.844 M 0.32 % 145.376 M 0.05 % 145.302 M 1.90 % 142.587 M
Weighted average shs out 145.946 M 0.12 % 145.777 M -2.34 % 149.272 M 2.85 % 145.142 M 0.12 % 144.968 M 0.53 % 144.200 M 0.27 % 143.819 M 0.05 % 143.741 M 0.19 % 143.463 M 0.39 % 142.909 M 0.23 % 142.584 M
EPS diluted 2.46 -32.60 % 3.65 0.27 % 3.64 12.69 % 3.23 -2.71 % 3.32 67.68 % 1.98 4.76 % 1.89 -7.80 % 2.05 36.67 % 1.50 4 900.00 % 0.03 106.67 % -0.45
Earnings per share 2.51 -32.89 % 3.74 0.00 % 3.74 13.33 % 3.30 -1.79 % 3.36 66.34 % 2.02 4.66 % 1.93 -7.21 % 2.08 36.84 % 1.52 4 966.67 % 0.03 106.67 % -0.45
Gross profit 1.424 B -2.34 % 1.458 B -0.37 % 1.463 B 2.97 % 1.421 B 9.13 % 1.302 B 30.00 % 1.001 B -5.37 % 1.058 B 11.89 % 945.845 M 23.38 % 766.581 M 28.71 % 595.602 M 5.07 % 566.868 M
Income tax expense 30.342 M -65.35 % 87.561 M 13.14 % 77.393 M 17.80 % 65.700 M -4.23 % 68.603 M 64.34 % 41.744 M 18.04 % 35.364 M -9.50 % 39.078 M 234.43 % 11.685 M 5 363.51 % -222.000 K -102.11 % 10.501 M
Cost of revenue 856.468 M -3.89 % 891.129 M 6.09 % 840.012 M -0.41 % 843.436 M 13.55 % 742.808 M -0.82 % 748.973 M 5.41 % 710.517 M 9.60 % 648.289 M 3.24 % 627.917 M 27.76 % 491.497 M 8.26 % 454.005 M
General and administrative expenses 138.162 M -5.48 % 146.168 M -16.01 % 174.032 M -2.48 % 178.457 M 16.98 % 152.558 M 3.85 % 146.897 M 3.67 % 141.700 M 6.68 % 132.827 M -4.32 % 138.820 M 8.09 % 128.427 M -2.24 % 131.370 M
Selling and marketing expenses 88.811 M -13.32 % 102.455 M 5.75 % 96.882 M -0.56 % 97.432 M 2.83 % 94.753 M -1.80 % 96.488 M 14.16 % 84.522 M -3.33 % 87.430 M 18.33 % 73.887 M 6.09 % 69.647 M 9.88 % 63.383 M
Other expenses 0.000 0.000 0.000 100.00 % -32.945 M 0.000 0.000 100.00 % -67.467 M 0.000 0.000 0.000 0.000
Operating expenses 835.592 M -10.08 % 929.247 M -2.19 % 950.037 M 8.39 % 876.516 M 5.23 % 832.986 M 8.42 % 768.298 M 11.91 % 686.539 M -3.05 % 708.119 M 4.13 % 680.060 M 17.76 % 577.481 M 3.19 % 559.606 M
Cost and expenses 1.692 B -7.05 % 1.820 B 1.69 % 1.790 B 4.04 % 1.721 B 9.18 % 1.576 B 3.86 % 1.517 B 8.60 % 1.397 B 3.00 % 1.356 B 3.70 % 1.308 B 22.36 % 1.069 B 5.46 % 1.014 B
Research and development expenses 608.619 M -10.58 % 680.624 M 0.22 % 679.123 M 7.19 % 633.572 M 8.18 % 585.675 M 11.58 % 524.913 M 11.37 % 471.318 M -3.39 % 487.862 M 4.39 % 467.353 M 23.18 % 379.407 M 3.47 % 366.672 M
Selling general and administrative expenses 226.973 M -8.71 % 248.623 M -8.23 % 270.914 M -1.80 % 275.889 M 11.56 % 247.311 M 1.61 % 243.385 M 7.59 % 226.222 M 2.71 % 220.257 M 3.55 % 212.707 M 7.39 % 198.074 M 2.66 % 192.934 M
Interest income 48.645 M 6.23 % 45.790 M -1.23 % 46.362 M 8.35 % 42.791 M 0.38 % 42.628 M 12.39 % 37.928 M 7.61 % 35.247 M 12.99 % 31.196 M 3.27 % 30.208 M 10.99 % 27.217 M 14.85 % 23.697 M
Interest expense 1.282 M -1.23 % 1.298 M -2.41 % 1.330 M -19.83 % 1.659 M 86.61 % 889.000 K 5.21 % 845.000 K -4.09 % 881.000 K -4.65 % 924.000 K -3.65 % 959.000 K -3.42 % 993.000 K 24.13 % 800.000 K
Depreciation and amortization 106.700 M 8.90 % 97.980 M -0.41 % 98.381 M 8.85 % 90.379 M 14.22 % 79.129 M -0.07 % 79.182 M -2.97 % 81.607 M -0.29 % 81.847 M 0.59 % 81.369 M -0.27 % 81.586 M 76.40 % 46.250 M
Operating income 587.914 M 11.27 % 528.386 M 3.00 % 512.972 M 0.22 % 511.836 M -8.27 % 557.998 M 66.38 % 335.369 M 6.38 % 315.265 M -7.26 % 339.946 M 46.93 % 231.365 M 2 743.02 % 8.138 M 12.06 % 7.262 M
Operating income ratio 0.26 14.62 % 0.22 1.00 % 0.22 -1.47 % 0.23 -17.17 % 0.27 42.44 % 0.19 7.49 % 0.18 -16.42 % 0.21 28.53 % 0.17 2 116.31 % 0.01 5.24 % 0.01
Total other income expenses net -200.622 M -305.04 % 97.846 M -13.05 % 112.534 M 433.72 % 21.085 M -76.11 % 88.248 M -12.95 % 101.381 M 271.83 % -59.002 M -158.25 % 101.296 M -29.60 % 143.885 M 1 177.31 % -13.356 M 83.57 % -81.293 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
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
Net debt -5.745 B -6.37 % -5.401 B -15.45 % -4.678 B -15.97 % -4.034 B 5.62 % -4.274 B 0.67 % -4.303 B -11.37 % -3.863 B -18.22 % -3.268 B 14.49 % -3.822 B -10.06 % -3.472 B 0.000
Total investments 3.771 B -32.28 % 5.568 B 28.84 % 4.321 B 4.14 % 4.149 B -8.25 % 4.522 B 13.95 % 3.969 B 0.04 % 3.967 B -0.66 % 3.993 B 4.41 % 3.825 B 2.68 % 3.725 B 0.000
Total debt 220.252 M 0.03 % 220.190 M 0.18 % 219.791 M -4.25 % 229.544 M 27.55 % 179.957 M 4.20 % 172.711 M -1.99 % 176.213 M -3.78 % 183.145 M -3.07 % 188.942 M -3.20 % 195.185 M 0.000
Accumulated other comprehensive income loss 0.000 -100.00 % 681.004 M 1.67 % 669.791 M -21.59 % 854.236 M 22.49 % 697.412 M -15.74 % 827.720 M -73.93 % 3.175 B 357.29 % 694.249 M 0.000 0.000 0.000
Retained earnings 3.593 B 6.19 % 3.384 B -21.48 % 4.309 B 15.14 % 3.743 B -24.34 % 4.947 B 73.68 % 2.848 B -9.77 % 3.157 B 10.05 % 2.869 B 12.55 % 2.549 B 5.84 % 2.408 B 0.000
Common stock 1.492 B 0.00 % 1.492 B -0.02 % 1.493 B 0.03 % 1.492 B -0.01 % 1.492 B 1.64 % 1.468 B 0.51 % 1.461 B -0.01 % 1.461 B -0.01 % 1.461 B -0.01 % 1.461 B 0.000
Total equity 10.770 B 1.26 % 10.637 B -7.98 % 11.559 B 3.53 % 11.164 B 6.88 % 10.446 B 7.58 % 9.710 B -1.95 % 9.903 B 4.42 % 9.483 B 3.59 % 9.155 B 4.27 % 8.780 B 0.000
Other non current liabilities 3.716 M -3.73 % 3.860 M -3.60 % 4.004 M -51.03 % 8.176 M 1 522.22 % 504.000 K -94.03 % 8.443 M -1.52 % 8.573 M -33.81 % 12.953 M 1 545.87 % 787.000 K 31.83 % 597.000 K -99.82 % 335.242 M
Long term debt 179.993 M -1.17 % 182.129 M -1.41 % 184.742 M -4.19 % 192.812 M 28.34 % 150.237 M -0.78 % 151.419 M -1.89 % 154.329 M -2.35 % 158.035 M 5.29 % 150.096 M -3.71 % 155.881 M 1.11 % 154.168 M
Total non current liabilities 430.458 M -6.36 % 459.676 M 0.49 % 457.455 M -0.04 % 457.655 M 4.95 % 436.065 M 1.83 % 428.220 M -0.72 % 431.331 M -9.06 % 474.294 M -1.00 % 479.065 M -2.08 % 489.250 M 0.000
Other current liabilities 2.848 B -2.57 % 2.923 B 119.12 % 1.334 B 13.02 % 1.180 B -34.38 % 1.799 B 0.77 % 1.785 B 52.04 % 1.174 B 16.17 % 1.011 B -48.37 % 1.958 B 4.28 % 1.877 B 33.87 % 1.402 B
Deferred revenue 0.000 0.000 -100.00 % 68.668 M -6.55 % 73.484 M 50.90 % 48.696 M -97.56 % 1.998 B 66.42 % 1.200 B 3 814.68 % 30.662 M -98.45 % 1.978 B -0.65 % 1.990 B 0.000
Short term debt 40.259 M 5.77 % 38.061 M 8.59 % 35.049 M -4.58 % 36.732 M 67.63 % 21.913 M 2.92 % 21.292 M -2.71 % 21.884 M -12.85 % 25.110 M -5.47 % 26.564 M -1.29 % 26.910 M 18.03 % 22.800 M
Total current liabilities 3.595 B -8.99 % 3.950 B 77.59 % 2.224 B 4.57 % 2.127 B -20.04 % 2.660 B 1.17 % 2.629 B 42.77 % 1.842 B 12.43 % 1.638 B -32.71 % 2.434 B 4.88 % 2.321 B 0.000
Total liabilities 4.025 B -8.72 % 4.410 B 64.44 % 2.682 B 3.75 % 2.585 B -16.52 % 3.096 B 1.26 % 3.058 B 34.52 % 2.273 B 7.61 % 2.112 B -27.49 % 2.913 B 3.67 % 2.810 B 0.000
Other non current assets 4.130 B 3 049.70 % 131.113 M -90.59 % 1.393 B -10.32 % 1.553 B 23.45 % 1.258 B 7.87 % 1.166 B 3.00 % 1.132 B 10.96 % 1.020 B -5.64 % 1.081 B -6.49 % 1.157 B 0.000
Long term investments 0.000 -100.00 % 4.454 B 37.55 % 3.238 B 11.33 % 2.909 B -19.66 % 3.620 B 15.94 % 3.123 B 0.28 % 3.114 B -4.32 % 3.254 B 7.29 % 3.033 B 5.97 % 2.862 B 0.000
Intangible assets 1.088 B 439.13 % 201.729 M -15.47 % 238.648 M -14.27 % 278.382 M 252.88 % 78.889 M -28.24 % 109.939 M -21.12 % 139.382 M -18.56 % 171.145 M -81.50 % 925.243 M 13.07 % 818.264 M 0.000
GoodWill 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 191.680 M -4.98 % 201.729 M -15.47 % 238.648 M -14.27 % 278.382 M 252.88 % 78.889 M -28.24 % 109.939 M -21.12 % 139.382 M -18.56 % 171.145 M -8.66 % 187.362 M 43.06 % 130.972 M 0.000
Property plant equipment net 1.021 B -0.17 % 1.023 B -0.48 % 1.028 B -1.22 % 1.040 B 10.68 % 939.839 M 1.30 % 927.758 M -0.34 % 930.931 M -2.37 % 953.523 M -1.19 % 964.979 M -2.09 % 985.614 M 0.000
Total non current assets 5.532 B -7.12 % 5.956 B -1.53 % 6.049 B 2.09 % 5.925 B -1.89 % 6.039 B 10.61 % 5.460 B 0.05 % 5.457 B -1.47 % 5.539 B 2.27 % 5.416 B 2.53 % 5.282 B 0.000
Other current assets 147.565 M 26.75 % 116.418 M -6.87 % 125.012 M -4.00 % 130.218 M -16.09 % 155.190 M 41.12 % 109.971 M -38.73 % 179.475 M -10.18 % 199.819 M -6.49 % 213.688 M 67.08 % 127.898 M 23.80 % 103.314 M
Short term investments 1.061 B -4.66 % 1.113 B 2.81 % 1.083 B -12.71 % 1.241 B 37.55 % 901.874 M 6.59 % 846.154 M -0.83 % 853.257 M 15.46 % 739.017 M -6.66 % 791.772 M -8.24 % 862.875 M 0.000
cash and cash equivalents 5.965 B 6.12 % 5.621 B 14.77 % 4.898 B 14.88 % 4.263 B -4.28 % 4.454 B -0.48 % 4.475 B 10.79 % 4.040 B 17.05 % 3.451 B -13.95 % 4.011 B 9.36 % 3.668 B 0.000
Cash and short term investments 7.027 B 4.34 % 6.734 B 12.60 % 5.981 B 8.66 % 5.504 B 2.76 % 5.356 B 0.64 % 5.322 B 8.76 % 4.893 B 16.77 % 4.190 B -12.75 % 4.802 B 6.00 % 4.530 B 0.000
Total current assets 9.264 B 1.91 % 9.090 B 10.97 % 8.192 B 4.70 % 7.824 B 4.28 % 7.503 B 2.68 % 7.307 B 8.76 % 6.719 B 10.93 % 6.057 B -8.95 % 6.652 B 5.46 % 6.308 B 0.000
Inventory 1.002 B -0.06 % 1.003 B 5.46 % 950.771 M -3.96 % 989.967 M 19.94 % 825.417 M 8.80 % 758.629 M 11.49 % 680.462 M -9.75 % 754.008 M -4.90 % 792.897 M -8.41 % 865.664 M 0.000
Net receivables 1.088 B -12.07 % 1.237 B 8.94 % 1.135 B -5.37 % 1.200 B -0.45 % 1.205 B 7.89 % 1.117 B 12.58 % 992.273 M 3.51 % 958.614 M 3.61 % 925.243 M 13.07 % 818.264 M 28.45 % 637.041 M
Tax assets 189.714 M 29.74 % 146.227 M -3.24 % 151.117 M 4.72 % 144.301 M 1.68 % 141.911 M 6.39 % 133.384 M -5.32 % 140.873 M 1.09 % 139.350 M -6.51 % 149.050 M 1.55 % 146.777 M 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
Account payables 494.652 M -13.29 % 570.436 M 28.53 % 443.828 M -20.70 % 559.698 M -5.01 % 589.210 M 0.68 % 585.242 M 31.34 % 445.587 M 5.19 % 423.603 M 27.70 % 331.729 M 45.05 % 228.707 M -3.25 % 236.395 M
Tax payables 212.343 M -49.32 % 419.023 M 22.19 % 342.918 M 23.80 % 277.003 M 37.33 % 201.700 M -15.25 % 237.992 M 18.88 % 200.193 M 35.26 % 148.008 M 36.10 % 108.752 M -36.87 % 172.272 M 0.000
Deferred revenue non current 0.000 0.000 0.000 0.000 -100.00 % 7.807 M -1.66 % 7.939 M 0.000 -100.00 % 12.166 M -0.94 % 12.282 M -0.90 % 12.394 M 0.000
Minority interest 49.452 M -15.94 % 58.826 M -11.33 % 66.343 M -13.10 % 76.346 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Capital lease obligations 183.659 M 1.78 % 180.449 M 2.01 % 176.902 M -4.04 % 184.341 M 2.44 % 179.957 M 4.20 % 172.711 M -1.99 % 176.213 M -3.78 % 183.145 M -3.07 % 188.942 M -3.20 % 195.185 M 10.29 % 176.968 M
Preferred stock 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 5.635 B 3.62 % 5.439 B 1.58 % 5.354 B -1.93 % 5.459 B 64.97 % 3.309 B 11.71 % 2.962 B 3.21 % 2.870 B -44.43 % 5.165 B 80.12 % 2.868 B 0.01 % 2.867 B 0.02 % 2.867 B
Deferred tax liabilities non current 246.749 M -9.84 % 273.687 M 1.85 % 268.709 M 4.69 % 256.667 M -4.84 % 269.710 M 0.50 % 268.358 M -0.03 % 268.429 M -11.50 % 303.306 M -0.10 % 303.618 M -1.42 % 307.984 M 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
Total assets 14.796 B -1.67 % 15.047 B 5.66 % 14.240 B 3.58 % 13.749 B 1.53 % 13.542 B 6.07 % 12.767 B 4.86 % 12.176 B 5.00 % 11.596 B -3.91 % 12.068 B 4.12 % 11.590 B 0.000
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
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
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 60.654 M -16.95 % 73.031 M -5.68 % 77.426 M -0.28 % 77.647 M 59.00 % 48.836 M 22.72 % 39.794 M 26.48 % 31.462 M -15.24 % 37.120 M -19.46 % 46.091 M -19.87 % 57.523 M
Change in working capital -41.375 M -174.84 % 55.285 M -61.92 % 145.182 M 231.67 % -110.258 M -16.57 % -94.587 M -282.58 % 51.806 M -41.96 % 89.255 M 10.45 % 80.810 M 60.65 % 50.301 M 116.36 % -307.536 M
Accounts receivables 120.378 M 301.80 % -59.652 M -168.66 % 86.883 M 671.33 % 11.264 M 111.42 % -98.616 M 0.000 0.000 0.000 0.000 0.000
Inventory 563.000 K 101.08 % -51.903 M -232.42 % 39.196 M 126.79 % -146.324 M -119.09 % -66.788 M 14.56 % -78.167 M -206.28 % 73.546 M 89.12 % 38.889 M -46.56 % 72.767 M -40.53 % 122.358 M
Accounts payables 0.000 0.000 0.000 0.000 -100.00 % 3.968 M 0.000 0.000 0.000 0.000 0.000
Other working capital -162.316 M -197.29 % 166.840 M 773.37 % 19.103 M -22.98 % 24.802 M -62.90 % 66.849 M 0.000 0.000 -100.00 % 30.365 M 0.000 0.000
Other non cash items -110.118 M -88.97 % -58.273 M -38.08 % -42.203 M -151.18 % 82.452 M 229.01 % -63.911 M -72.35 % -37.083 M -7.90 % -34.367 M -298.55 % 17.309 M 159.18 % -29.249 M -11.54 % -26.224 M
Net cash provided by operating activities 403.153 M -49.18 % 793.269 M -12.26 % 904.135 M 34.32 % 673.141 M 47.44 % 456.561 M -4.01 % 475.648 M -23.60 % 622.606 M 12.32 % 554.332 M 106.13 % 268.920 M 273.38 % -155.108 M
Investments in property plant and equipment -20.718 M 0.40 % -20.801 M 0.15 % -20.833 M 36.22 % -32.664 M 27.72 % -45.191 M 14.13 % -52.626 M -656.99 % -6.952 M 93.19 % -102.066 M -409.49 % -20.033 M 32.82 % -29.820 M
Acquisitions net 0.000 0.000 0.000 0.000 -100.00 % 300.000 K 0.000 0.000 0.000 0.000 0.000
Purchases of investments -9.805 M 82.29 % -55.363 M 81.71 % -302.680 M -650.77 % -40.316 M 91.06 % -451.175 M -1 760.36 % -24.252 M 64.18 % -67.712 M 66.07 % -199.564 M -2 630.01 % -7.310 M 79.70 % -36.016 M
Sales maturities of investments 246.699 M 921.53 % 24.150 M -63.93 % 66.960 M 89.00 % 35.429 M 115.56 % 16.436 M -37.11 % 26.135 M -75.46 % 106.487 M 94.52 % 54.743 M -54.61 % 120.595 M 12.13 % 107.548 M
Other investing activites -124.040 M -312.00 % -30.107 M -41.97 % -21.207 M 86.29 % -154.627 M -1 949.40 % -7.545 M 64.70 % -21.372 M -42.62 % -14.985 M 85.86 % -105.992 M -490.78 % -17.941 M -11.25 % -16.127 M
Net cash used for investing activites 92.136 M 212.20 % -82.121 M 70.43 % -277.760 M -44.53 % -192.178 M 60.55 % -487.175 M -575.55 % -72.115 M -528.29 % 16.838 M 106.35 % -265.024 M -451.91 % 75.311 M 439.81 % -22.163 M
Debt repayment -3.148 M 0.00 % -3.148 M -36.04 % -2.314 M -21.92 % -1.898 M 0.000 0.000 100.00 % -7.174 M -1.16 % -7.092 M 0.000 100.00 % -6.642 M
Common stock issued 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 175.000 K
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid 0.000 0.000 0.000 100.00 % -673.789 M 0.000 0.000 0.000 100.00 % -876.824 M 0.000 0.000
Other financing activites -7.067 M 4.34 % -7.388 M 1.87 % -7.529 M -4.89 % -7.178 M 0.10 % -7.185 M -2.82 % -6.988 M -2 369.26 % -283.000 K 99.97 % -883.916 M -13 242.13 % -6.625 M -82.81 % -3.624 M
Net cash used provided by financing activities -10.215 M 3.05 % -10.536 M -7.04 % -9.843 M 98.56 % -682.865 M -9 404.04 % -7.185 M -2.82 % -6.988 M 6.29 % -7.457 M 99.16 % -883.916 M -13 242.13 % -6.625 M 34.35 % -10.091 M
Effect of forex changes on cash -141.153 M -721.27 % 22.720 M 26.94 % 17.898 M 59.11 % 11.249 M -31.36 % 16.389 M -58.22 % 39.224 M 190.30 % -43.438 M -223.80 % 35.086 M 534.58 % 5.529 M 171.72 % -7.709 M
Net change in cash 343.921 M -52.45 % 723.332 M 14.01 % 634.430 M 432.77 % -190.653 M -790.49 % -21.410 M -104.91 % 435.769 M -25.96 % 588.549 M 205.19 % -559.522 M -263.06 % 343.135 M 275.90 % -195.071 M
Cash at beginning of period 5.621 B 14.77 % 4.898 B 14.88 % 4.263 B -4.28 % 4.454 B -0.48 % 4.475 B 10.79 % 4.040 B 17.05 % 3.451 B -13.95 % 4.011 B 9.36 % 3.668 B -5.05 % 3.863 B
Cash at end of period 5.965 B 6.12 % 5.621 B 14.77 % 4.898 B 14.88 % 4.263 B -4.28 % 4.454 B -0.48 % 4.475 B 10.79 % 4.040 B 17.05 % 3.451 B -13.95 % 4.011 B 9.36 % 3.668 B
Operating cash flow 403.153 M -49.18 % 793.269 M -12.26 % 904.135 M 34.32 % 673.141 M 47.44 % 456.561 M -4.01 % 475.648 M -23.60 % 622.606 M 12.32 % 554.332 M 106.13 % 268.920 M 273.38 % -155.108 M
Capital expenditure -54.022 M -96.22 % -27.531 M -17.93 % -23.346 M 86.11 % -168.108 M -271.99 % -45.191 M 14.13 % -52.626 M -656.99 % -6.952 M 93.19 % -102.066 M -409.49 % -20.033 M 32.82 % -29.820 M
Free CashFlow 349.131 M -54.41 % 765.738 M -13.06 % 880.789 M 74.40 % 505.033 M 22.77 % 411.370 M -2.75 % 423.022 M -31.29 % 615.654 M 36.13 % 452.266 M 81.72 % 248.887 M 234.59 % -184.928 M
2025 2025 2024 2024 2024 2024 2023 2023 2023 2023
Date Form 10K
2024
2023
2022
2021
2020
2019