33637K.KS

Solus Advanced Materials Co. Ltd. 33637K.KS

Finances

2024 2023 2022 2021 2020 2019
Revenue 570.949 B 32.96 % 429.422 B -6.89 % 461.219 B 21.00 % 381.167 B 31.36 % 290.163 B 314.55 % 69.995 B
Net income 4.641 B -97.53 % 187.509 B 527.79 % -43.832 B -28 401.85 % 154.873 M 101.40 % -11.038 B -345.66 % 4.493 B
Income before tax -37.402 B -119.85 % 188.417 B 613.16 % -36.717 B -6 151.76 % 606.717 M 126.64 % -2.277 B -133.25 % 6.850 B
Income before tax ratio -0.07 -114.93 % 0.44 651.16 % -0.08 -5 101.38 % 0.00 120.28 % -0.01 -108.02 % 0.10
EBITDA 56.411 B -79.69 % 277.747 B 1 675.62 % 15.642 B -61.44 % 40.567 B -19.20 % 50.209 B 341.38 % 11.375 B
Net income ratio 0.01 -98.14 % 0.44 559.47 % -0.10 -23 489.59 % 0.00 101.07 % -0.04 -159.26 % 0.06
Ratio EBITDA 0.10 -84.72 % 0.65 1 807.10 % 0.03 -68.13 % 0.11 -38.49 % 0.17 6.47 % 0.16
Gross profit ratio 0.07 75.49 % 0.04 -59.22 % 0.10 -51.99 % 0.21 -38.50 % 0.33 -1.12 % 0.34
Weighted average shs out dil 90.995 M 4.45 % 87.119 M -1.23 % 88.204 M 187.12 % 30.720 M -14.25 % 35.826 M 455 475 162.69 % 7.866
Weighted average shs out 90.995 M -0.40 % 91.357 M 3.57 % 88.204 M 193.23 % 30.080 M -16.04 % 35.826 M 455 475 162.69 % 7.866
EPS diluted 51.00 -97.52 % 2 052.49 513.03 % -496.94 -9 959.92 % 5.04 101.64 % -308.11 -100.00 % 571 271 130.00
Earnings per share 51.00 -97.39 % 1 957.28 493.87 % -496.94 -9 749.32 % 5.15 101.67 % -308.11 -100.00 % 571 271 130.00
Gross profit 40.221 B 133.33 % 17.238 B -62.03 % 45.403 B -41.90 % 78.149 B -19.22 % 96.737 B 309.92 % 23.599 B
Income tax expense 5.288 B -91.55 % 62.550 B 779.15 % 7.115 B 1 474.61 % 451.844 M -94.84 % 8.761 B 271.72 % 2.357 B
Cost of revenue 530.728 B 28.76 % 412.184 B -0.87 % 415.817 B 37.22 % 303.018 B 56.66 % 193.426 B 316.91 % 46.396 B
General and administrative expenses 13.094 B -15.83 % 15.556 B 5.42 % 14.757 B 34.64 % 10.960 B 36.69 % 8.018 B 242.34 % 2.342 B
Selling and marketing expenses 23.458 B 30.16 % 18.023 B -9.64 % 19.945 B 16.41 % 17.133 B 28.31 % 13.353 B 401.62 % 2.662 B
Other expenses 52.143 B 5.69 % 49.336 B 6.71 % 46.234 B 11.25 % 41.559 B 11.95 % 37.124 B 372.99 % 7.849 B
Operating expenses 94.640 B 4.64 % 90.446 B -0.18 % 90.612 B 19.06 % 76.109 B 14.71 % 66.352 B 394.43 % 13.420 B
Cost and expenses 625.368 B 24.42 % 502.630 B -0.75 % 506.428 B 33.58 % 379.127 B 45.94 % 259.778 B 334.30 % 59.815 B
Research and development expenses 5.945 B -21.06 % 7.531 B -22.17 % 9.676 B 49.85 % 6.457 B -17.82 % 7.857 B 1 285.71 % 567.000 M
Selling general and administrative expenses 36.552 B 8.85 % 33.579 B -3.24 % 34.702 B 23.53 % 28.093 B 31.45 % 21.371 B 327.07 % 5.004 B
Interest income 6.653 B -19.44 % 8.258 B 245.96 % 2.387 B 960.89 % 225.000 M -46.56 % 421.000 M 106.37 % 204.000 M
Interest expense 26.079 B 6.01 % 24.600 B 182.76 % 8.700 B 83.12 % 4.751 B -24.13 % 6.262 B 571.17 % 933.000 M
Depreciation and amortization 67.734 B 4.64 % 64.730 B 35.46 % 47.787 B 34.37 % 35.563 B 79.40 % 19.823 B 451.87 % 3.592 B
Operating income -54.419 B 25.67 % -73.208 B -154.04 % -28.817 B -496.02 % 7.277 B 11.55 % 6.524 B -5.39 % 6.895 B
Operating income ratio -0.10 44.09 % -0.17 -172.85 % -0.06 -427.28 % 0.02 -15.09 % 0.02 -77.18 % 0.10
Total other income expenses net 17.017 B -93.50 % 261.625 B 11 194.93 % -2.358 B -64.42 % -1.434 B 95.61 % -32.663 B -881.18 % -3.329 B
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Net debt 631.497 B 134.34 % 269.482 B 39.01 % 193.859 B 17.12 % 165.514 B 428.74 % -50.349 B -151.47 % 97.818 B
Total investments 20.715 M -99.99 % 164.605 B 2 508.75 % 6.310 B -38.72 % 10.297 B 34 223.46 % 30.000 M -98.72 % 2.337 B
Total debt 786.562 B 97.36 % 398.532 B 11.75 % 356.632 B 16.89 % 305.102 B 19.53 % 255.253 B 32.62 % 192.464 B
Accumulated other comprehensive income loss 73.343 B 126.80 % 32.338 B 14.14 % 28.333 B 1 881.19 % -1.591 B -451.06 % -288.655 M -105.67 % 5.088 B
Retained earnings 171.121 B -0.74 % 172.401 B 1 735.99 % -10.538 B -320.80 % 4.773 B 171.11 % -6.711 B -255.11 % 4.327 B
Common stock 7.022 B 99.99 % 3.511 B 0.00 % 3.511 B 14.78 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B
Total equity 1.091 T 3.14 % 1.058 T 15.26 % 918.103 B 75.81 % 522.207 B 6.60 % 489.859 B 248.33 % 140.632 B
Other non current liabilities 5.547 B -9.25 % 6.113 B -90.64 % 65.290 B 5.83 % 61.691 B 0.000 -100.00 % 5.888 B
Long term debt 158.626 B 113.75 % 74.210 B 33.70 % 55.506 B -56.32 % 127.082 B -26.54 % 173.002 B 69.46 % 102.092 B
Total non current liabilities 164.320 B 104.06 % 80.526 B -33.34 % 120.795 B -38.62 % 196.799 B 7.02 % 183.882 B 8.45 % 169.561 B
Other current liabilities 131.395 B 5.99 % 123.964 B 172.30 % 45.525 B 42.38 % 31.975 B 28.38 % 24.906 B -51.22 % 51.056 B
Deferred revenue 0.000 0.000 -100.00 % 6.994 B -80.67 % 36.189 B 6.66 % 33.928 B -39.79 % 56.352 B
Short term debt 627.936 B 93.62 % 324.322 B 7.70 % 301.126 B 69.15 % 178.020 B 116.44 % 82.251 B -8.99 % 90.372 B
Total current liabilities 823.611 B 45.00 % 568.008 B 34.55 % 422.142 B 44.28 % 292.593 B 74.76 % 167.427 B -9.01 % 184.007 B
Total liabilities 987.931 B 52.33 % 648.534 B 19.45 % 542.937 B 10.94 % 489.392 B 39.31 % 351.310 B -0.64 % 353.568 B
Other non current assets 47.719 B 68.48 % 28.323 B 157.30 % 11.007 B 2 751 848 207.50 % 400.000 185.11 % -470.000 -100.00 % 10.524 B
Long term investments -20.056 B -324.16 % 8.947 B 41.80 % 6.310 B -38.72 % 10.297 B -23.75 % 13.504 B 477.88 % 2.337 B
Intangible assets 12.835 B -20.86 % 16.217 B -21.58 % 20.680 B 5.08 % 19.681 B 59.27 % 12.357 B 27.62 % 9.683 B
GoodWill 0.000 0.000 0.000 0.000 0.000 0.000
Goodwill and intangible assets 12.835 B -20.86 % 16.217 B -21.58 % 20.680 B 5.08 % 19.681 B 59.27 % 12.357 B 27.62 % 9.683 B
Property plant equipment net 1.368 T 33.39 % 1.025 T 18.50 % 865.287 B 61.74 % 535.001 B 68.03 % 318.395 B 50.08 % 212.155 B
Total non current assets 1.482 T 29.74 % 1.142 T 19.87 % 953.061 B 54.43 % 617.129 B 57.92 % 390.793 B 48.22 % 263.649 B
Other current assets 67.682 B 131.06 % 29.292 B -64.34 % 82.133 B 116.12 % 38.003 B 76.47 % 21.535 B -42.94 % 37.739 B
Short term investments 20.077 B -86.15 % 145.000 B 103 571 428 457.14 % -140.000 0.000 -100.00 % 30.000 M 18 749 868.75 % 160.000
cash and cash equivalents 155.065 B 20.16 % 129.050 B -20.72 % 162.773 B 16.61 % 139.588 B -54.32 % 305.602 B 222.89 % 94.646 B
Cash and short term investments 175.142 B -36.09 % 274.050 B 68.36 % 162.773 B 16.61 % 139.588 B -54.33 % 305.632 B 222.92 % 94.646 B
Total current assets 597.219 B 5.84 % 564.281 B 11.08 % 507.980 B 28.78 % 394.470 B -12.41 % 450.376 B 95.35 % 230.551 B
Inventory 224.391 B 16.53 % 192.561 B 11.78 % 172.275 B 23.49 % 139.509 B 106.36 % 67.604 B 55.64 % 43.436 B
Net receivables 130.004 B 90.13 % 68.378 B -30.45 % 98.320 B 17.24 % 83.862 B 50.82 % 55.605 B 1.60 % 54.731 B
Tax assets 74.021 B 16.37 % 63.609 B 27.79 % 49.776 B -4.55 % 52.151 B 12.06 % 46.537 B 60.75 % 28.950 B
Other assets 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 59.404 B 28.92 % 46.078 B -23.81 % 60.482 B -22.84 % 78.385 B 52.95 % 51.249 B 37.46 % 37.283 B
Tax payables 4.876 B -93.38 % 73.644 B 818.78 % 8.015 B 90.23 % 4.214 B -53.29 % 9.021 B 70.33 % 5.296 B
Deferred revenue non current 11.700 M -46.57 % 21.899 M 0.000 -100.00 % 8.026 B 47.86 % 5.428 B -90.98 % 60.206 B
Minority interest 319.264 B -1.88 % 325.369 B -12.70 % 372.701 B 69.51 % 219.867 B 11.21 % 197.700 B 0.000
Capital lease obligations 22.035 B -7.87 % 23.918 B 419.22 % 4.607 B -17.45 % 5.580 B -18.47 % 6.845 B -21.61 % 8.731 B
Preferred stock 377.789 M 131 533.80 % 287.000 K -99.97 % 1.034 B 14.78 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M
Other total stockholders equity 518.645 B -1.13 % 524.569 B -4.87 % 551.394 B 86.79 % 295.199 B 0.00 % 295.199 B 131.97 % 127.257 B
Deferred tax liabilities non current 135.394 M -25.11 % 180.787 M -40.80 % 305.374 M 406.93 % 60.240 M -98.90 % 5.452 B 296.69 % 1.374 B
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 2.079 T 21.84 % 1.707 T 16.82 % 1.461 T 44.43 % 1.012 T 20.26 % 841.168 B 70.21 % 494.200 B
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Deferred income tax 0.000 0.000 0.000 100.00 % -7.877 B 0.000 0.000
Stock based compensation -186.000 M 15.07 % -219.000 M 91.14 % -2.473 B -160.60 % 4.081 B 0.000 0.000
Change in working capital -103.532 B -409.46 % 33.456 B 134.91 % -95.849 B -16.10 % -82.558 B -22.26 % -67.527 B -985.02 % 7.630 B
Accounts receivables -31.476 B -191.64 % 34.348 B 493.09 % -8.738 B 56.82 % -20.235 B -588.41 % 4.143 B 115.57 % -26.617 B
Inventory -16.264 B 40.53 % -27.348 B 26.46 % -37.189 B 43.63 % -65.974 B -362.99 % 25.086 B 898.65 % 2.512 B
Accounts payables -13.205 B 1.44 % -13.398 B 43.40 % -23.673 B -200.60 % 23.531 B 91.31 % 12.300 B -64.70 % 34.848 B
Other working capital -42.587 B -206.86 % 39.854 B 251.83 % -26.249 B -32.04 % -19.880 B 81.77 % -109.056 B -3 403.24 % -3.113 B
Other non cash items -111.288 B 46.30 % -207.244 B -7 676.97 % -2.665 B -130.77 % 8.661 B -69.05 % 27.983 B 434.75 % 5.233 B
Net cash provided by operating activities -189.962 B -1 185.80 % 17.495 B 117.42 % -100.411 B -139.22 % -41.974 B -36.46 % -30.759 B -246.82 % 20.950 B
Investments in property plant and equipment -257.611 B -5.33 % -244.584 B 28.76 % -343.329 B -45.78 % -235.510 B -32.17 % -178.189 B -125.83 % -78.905 B
Acquisitions net -1.447 B -100.44 % 326.177 B 78.76 % 182.467 B 211.47 % 58.583 B 1 386.01 % -4.555 B -337.58 % 1.917 B
Purchases of investments -38.911 B 74.32 % -151.543 B -6 033.21 % -2.471 B 95.78 % -58.583 B -1 111.89 % -4.834 B -2 512.08 % -185.064 M
Sales maturities of investments 175.117 B 0.000 100.00 % -182.467 B -608 324.33 % 30.000 M -99.38 % 4.808 B 1 813.03 % 251.317 M
Other investing activites 3.910 B 446.12 % -1.130 B -135.91 % -478.833 M -133.05 % 1.449 B -78.61 % 6.773 B 446.11 % -1.957 B
Net cash used for investing activites -118.943 B -67.34 % -71.079 B 79.47 % -346.278 B -47.96 % -234.031 B -32.97 % -175.997 B -123.13 % -78.878 B
Debt repayment 325.134 B 1 516.35 % 20.115 B -53.67 % 43.422 B 18.13 % 36.757 B -42.66 % 64.108 B 189.45 % 22.148 B
Common stock issued 4.819 B 148 947.85 % 3.233 M -100.00 % 238.489 B 0.000 0.000 -100.00 % 352.054 M
Common stock repurchased 0.000 100.00 % -111.507 M 0.000 0.000 0.000 100.00 % -36.713 M
Dividends paid -4.553 B 0.00 % -4.553 B -14.78 % -3.967 B -875.60 % -406.607 M 96.26 % -10.864 B 0.000
Other financing activites -4.512 B -64 475.68 % -6.987 M -100.00 % 417.749 B 654.57 % 55.363 B -84.77 % 363.604 B 43 920.32 % -829.762 M
Net cash used provided by financing activities 320.888 B 1 962.92 % 15.555 B -96.60 % 457.204 B 398.51 % 91.713 B -78.00 % 416.848 B 1 826.86 % 21.634 B
Effect of forex changes on cash 14.031 B 225.86 % 4.306 B -66.02 % 12.672 B -30.67 % 18.278 B 2 016.21 % 863.719 M 151.98 % -1.662 B
Net change in cash 26.015 B 177.14 % -33.723 B -245.45 % 23.186 B 113.97 % -166.014 B -178.70 % 210.955 B 655.78 % -37.956 B
Cash at beginning of period 129.050 B -20.72 % 162.773 B 16.61 % 139.588 B -54.32 % 305.602 B 222.89 % 94.646 B -28.62 % 132.603 B
Cash at end of period 155.065 B 20.16 % 129.050 B -20.72 % 162.773 B 16.61 % 139.588 B -54.32 % 305.602 B 222.89 % 94.646 B
Operating cash flow -189.962 B -1 185.80 % 17.495 B 117.42 % -100.411 B -139.22 % -41.974 B -36.46 % -30.759 B -246.82 % 20.950 B
Capital expenditure -259.246 B -5.75 % -245.139 B 28.60 % -343.329 B -45.78 % -235.510 B -32.17 % -178.189 B -125.83 % -78.905 B
Free CashFlow -449.207 B -97.33 % -227.644 B 48.70 % -443.740 B -59.92 % -277.484 B -32.80 % -208.948 B -260.54 % -57.955 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 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31
Revenue 143.865 B -8.72 % 157.604 B -4.90 % 165.731 B 23.08 % 134.652 B -9.81 % 149.300 B 23.08 % 121.300 B 16.32 % 104.281 B -6.22 % 111.199 B 9.91 % 101.170 B -10.29 % 112.772 B 3.35 % 109.115 B 3.31 % 105.615 B -14.06 % 122.892 B -0.57 % 123.597 B 29.14 % 95.707 B -8.40 % 104.487 B 13.31 % 92.214 B 3.89 % 88.759 B 26.54 % 70.145 B -5.16 % 73.959 B -1.56 % 75.135 B 5.94 % 70.924 B
Net income -40.953 B -160.16 % -15.742 B -164.46 % 24.419 B 212.31 % -21.742 B -119.62 % -9.900 B -8.79 % -9.100 B 42.04 % -15.701 B -106.91 % 227.283 B 1 822.72 % -13.193 B 38.22 % -21.356 B -6.64 % -20.025 B -12.05 % -17.872 B -1 095.67 % -1.495 B 66.33 % -4.439 B -364.92 % 1.676 B -40.67 % 2.825 B -46.14 % 5.244 B 146.25 % 2.130 B 110.52 % -20.244 B -767.24 % -2.334 B -138.10 % 6.126 B 13.16 % 5.414 B
Income before tax -63.008 B -115.35 % -29.258 B -243.57 % 20.379 B 148.18 % -42.300 B -422.22 % -8.100 B -10.96 % -7.300 B 86.42 % -53.739 B -118.20 % 295.301 B 1 079.32 % -30.154 B -31.15 % -22.991 B 14.39 % -26.856 B -81.04 % -14.834 B -337.85 % 6.237 B 593.55 % -1.264 B 75.35 % -5.126 B -281.62 % 2.823 B 977.21 % -321.770 M -109.96 % 3.232 B 118.58 % -17.401 B -1 737.16 % -947.146 M -112.53 % 7.557 B -11.23 % 8.513 B
Income before tax ratio -0.44 -135.92 % -0.19 -250.97 % 0.12 139.14 % -0.31 -479.03 % -0.05 9.85 % -0.06 88.32 % -0.52 -119.41 % 2.66 991.00 % -0.30 -46.19 % -0.20 17.17 % -0.25 -75.24 % -0.14 -376.76 % 0.05 596.38 % -0.01 80.91 % -0.05 -298.28 % 0.03 874.17 % 0.00 -109.58 % 0.04 114.68 % -0.25 -1 837.04 % -0.01 -112.73 % 0.10 -16.20 % 0.12
EBITDA -38.417 B -430.66 % 11.618 B -73.61 % 44.030 B 336.72 % -18.600 B -221.19 % 15.348 B -1.19 % 15.533 B 145.43 % -34.188 B -110.77 % 317.359 B 6 710.57 % -4.801 B -143.44 % -1.972 B 75.28 % -7.979 B -720.00 % -973.053 M -105.15 % 18.898 B 109.96 % 9.001 B 47.01 % 6.123 B -49.52 % 12.129 B 31.63 % 9.214 B -41.11 % 15.646 B 312.94 % -7.348 B -165.05 % 11.295 B -27.61 % 15.603 B 23.16 % 12.669 B
Net income ratio -0.28 -185.00 % -0.10 -167.79 % 0.15 191.25 % -0.16 -143.51 % -0.07 11.61 % -0.08 50.17 % -0.15 -107.37 % 2.04 1 667.35 % -0.13 31.14 % -0.19 -3.18 % -0.18 -8.45 % -0.17 -1 291.27 % -0.01 66.14 % -0.04 -305.14 % 0.02 -35.23 % 0.03 -52.47 % 0.06 137.02 % 0.02 108.31 % -0.29 -814.39 % -0.03 -138.71 % 0.08 6.81 % 0.08
Ratio EBITDA -0.27 -462.24 % 0.07 -72.25 % 0.27 292.33 % -0.14 -234.37 % 0.10 -19.73 % 0.13 139.06 % -0.33 -111.49 % 2.85 6 114.38 % -0.05 -171.35 % -0.02 76.09 % -0.07 -693.70 % -0.01 -105.99 % 0.15 111.16 % 0.07 13.83 % 0.06 -44.89 % 0.12 16.17 % 0.10 -43.31 % 0.18 268.28 % -0.10 -168.59 % 0.15 -26.46 % 0.21 16.26 % 0.18
Gross profit ratio 0.07 1.29 % 0.07 -0.38 % 0.07 64.21 % 0.05 -94.49 % 0.82 845.55 % 0.09 -14.70 % 0.10 383.49 % 0.02 159.30 % -0.04 -185.19 % 0.04 19.30 % 0.03 -50.79 % 0.07 -47.52 % 0.13 -5.09 % 0.14 -29.21 % 0.20 -5.48 % 0.21 4.75 % 0.20 -0.40 % 0.20 -34.89 % 0.31 -4.61 % 0.33 -8.38 % 0.36 6.99 % 0.33
Weighted average shs out dil 90.804 M -0.10 % 90.897 M 4.34 % 87.118 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 4.82 % 83.116 M 154.66 % 32.638 M 4.00 % 31.384 M -1.14 % 31.746 M -19.08 % 39.230 M 76.63 % 22.211 M -46.14 % 41.238 M 0.74 % 40.935 M 33.84 % 30.585 M -25.53 % 41.067 M -0.54 % 41.292 M 0.67 % 41.019 M
Weighted average shs out 90.804 M -0.10 % 90.897 M 4.34 % 87.118 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 0.00 % 87.119 M 4.82 % 83.116 M 154.66 % 32.638 M 4.00 % 31.384 M -1.14 % 31.746 M -16.35 % 37.949 M 70.86 % 22.211 M -46.14 % 41.238 M 0.74 % 40.935 M 33.84 % 30.585 M -25.53 % 41.067 M -0.54 % 41.292 M 4.45 % 39.533 M
EPS diluted -451.00 -160.69 % -173.00 -164.47 % 268.36 207.53 % -249.57 -119.61 % -113.64 -8.80 % -104.45 42.05 % -180.23 -106.63 % 2 717.30 1 894.31 % -151.44 38.22 % -245.13 -1.74 % -240.93 56.00 % -547.58 -1 049.65 % -47.63 65.94 % -139.84 -427.34 % 42.72 -66.41 % 127.17 0.00 % 127.17 144.46 % 52.02 107.86 % -661.91 -1 064.51 % -56.84 -138.31 % 148.37 12.41 % 131.99
Earnings per share -451.00 -160.69 % -173.00 -223.78 % 139.76 156.00 % -249.57 -119.61 % -113.64 -8.80 % -104.45 42.05 % -180.23 -106.63 % 2 717.30 1 894.31 % -151.44 38.22 % -245.13 -1.74 % -240.93 56.00 % -547.58 -1 049.65 % -47.63 65.94 % -139.84 -416.67 % 44.16 -65.27 % 127.17 0.00 % 127.17 144.46 % 52.02 107.86 % -661.91 -1 064.51 % -56.84 -138.31 % 148.37 12.41 % 131.99
Gross profit 10.742 B -7.54 % 11.618 B -5.26 % 12.263 B 102.11 % 6.068 B -95.03 % 122.200 B 1 063.81 % 10.500 B -0.78 % 10.583 B 353.41 % 2.334 B 165.18 % -3.581 B -176.43 % 4.685 B 23.30 % 3.800 B -49.16 % 7.474 B -54.90 % 16.571 B -5.63 % 17.559 B -8.58 % 19.207 B -13.42 % 22.186 B 18.69 % 18.692 B 3.48 % 18.064 B -17.61 % 21.925 B -9.53 % 24.235 B -9.81 % 26.871 B 13.34 % 23.707 B
Income tax expense -10.706 B -500.86 % 2.671 B -65.43 % 7.725 B 228.76 % -6.000 B -433.33 % 1.800 B 0.00 % 1.800 B 116.69 % -10.785 B -113.61 % 79.248 B 1 952.47 % -4.278 B -161.58 % -1.635 B 76.06 % -6.831 B -324.82 % 3.038 B -60.70 % 7.731 B 143.45 % 3.176 B 206.50 % -2.982 B -241.90 % 2.101 B 162.22 % -3.377 B -171.71 % 4.710 B 65.61 % 2.844 B 105.00 % 1.387 B -3.06 % 1.431 B -53.82 % 3.099 B
Cost of revenue 133.122 B -8.81 % 145.986 B -4.88 % 153.467 B 19.35 % 128.584 B 374.48 % 27.100 B -75.54 % 110.800 B 18.25 % 93.698 B -13.93 % 108.865 B 3.93 % 104.751 B -3.09 % 108.087 B 2.63 % 105.315 B 7.31 % 98.141 B -7.69 % 106.322 B 0.27 % 106.038 B 38.61 % 76.500 B -7.05 % 82.302 B 11.94 % 73.522 B 4.00 % 70.695 B 46.61 % 48.221 B -3.02 % 49.724 B 3.02 % 48.264 B 2.22 % 47.217 B
General and administrative expenses 3.235 B -87.97 % 26.893 B 776.52 % 3.068 B -87.59 % 24.723 B 555.94 % 3.769 B -84.63 % 24.517 B 504.01 % 4.059 B 13.00 % 3.592 B -13.04 % 4.131 B 9.46 % 3.774 B 14.95 % 3.283 B -14.16 % 3.825 B -12.80 % 4.386 B 34.46 % 3.262 B -11.64 % 3.692 B 34.50 % 2.745 B 16.41 % 2.358 B 9.06 % 2.162 B 15.09 % 1.879 B -20.49 % 2.363 B 43.79 % 1.643 B -23.01 % 2.134 B
Selling and marketing expenses 7.533 B 0.000 -100.00 % 6.513 B 0.000 -100.00 % 4.399 B 26 045.15 % -16.955 M -100.37 % 4.564 B -12.65 % 5.225 B 37.25 % 3.807 B -14.00 % 4.427 B 132.51 % 1.904 B -71.52 % 6.685 B 6.11 % 6.300 B 24.56 % 5.058 B 13.94 % 4.439 B 2.73 % 4.321 B 24.67 % 3.466 B -29.38 % 4.908 B -10.75 % 5.499 B 126.67 % 2.426 B 0.12 % 2.423 B -19.34 % 3.004 B
Other expenses 13.951 B 0.000 -100.00 % 12.626 B 1 262 599 900.00 % 1.000 K 100.00 % -159.800 B -18.11 % -135.300 B -32 346.04 % -417.000 M 99.08 % -45.396 B -12.07 % -40.508 B -392.56 % 13.846 B 16.62 % 11.873 B -8.87 % 13.029 B 15.06 % 11.324 B 13.17 % 10.006 B 1 629.75 % -654.095 M 8.98 % -718.662 M -19.82 % -599.802 M -9 153.62 % 6.625 M 253.52 % 1.874 M -98.71 % 145.245 M 163.94 % -227.163 M -2 201.22 % 10.811 M
Operating expenses 25.714 B -4.38 % 26.893 B 13.96 % 23.598 B -4.55 % 24.723 B -84.53 % 159.800 B 18.11 % 135.300 B 557.34 % 20.583 B 190.68 % -22.698 B -12.07 % -20.254 B -185.48 % 23.694 B 22.08 % 19.408 B -28.21 % 27.034 B 11.76 % 24.189 B 21.07 % 19.980 B -14.53 % 23.378 B 26.86 % 18.428 B 10.71 % 16.645 B -5.74 % 17.658 B -8.69 % 19.338 B 15.44 % 16.751 B 8.38 % 15.456 B 4.38 % 14.807 B
Cost and expenses 158.836 B -8.12 % 172.879 B -2.36 % 177.065 B 15.50 % 153.307 B -4.06 % 159.800 B 18.11 % 135.300 B 18.39 % 114.281 B 4.98 % 108.865 B 3.93 % 104.751 B -20.51 % 131.781 B 5.66 % 124.723 B -0.36 % 125.175 B -4.09 % 130.511 B 3.56 % 126.019 B 26.17 % 99.877 B -0.85 % 100.729 B 11.71 % 90.167 B 2.05 % 88.353 B 30.78 % 67.558 B 1.63 % 66.475 B 4.32 % 63.720 B 2.74 % 62.024 B
Research and development expenses 995.000 M 0.000 -100.00 % 1.391 B 0.000 -100.00 % 1.417 B -13.17 % 1.632 B -40.83 % 2.758 B 49.24 % 1.848 B 44.60 % 1.278 B -22.40 % 1.647 B -29.86 % 2.348 B -32.82 % 3.495 B 60.39 % 2.179 B 31.74 % 1.654 B -8.11 % 1.800 B 21.87 % 1.477 B -14.53 % 1.728 B 19.01 % 1.452 B -9.93 % 1.612 B -42.24 % 2.791 B 12.09 % 2.490 B 158.30 % 964.000 M
Selling general and administrative expenses 10.768 B -59.96 % 26.893 B 180.69 % 9.581 B -61.25 % 24.723 B 202.67 % 8.168 B -66.66 % 24.500 B 184.12 % 8.623 B -2.20 % 8.817 B 11.08 % 7.938 B -3.21 % 8.201 B 58.10 % 5.187 B -50.65 % 10.510 B -1.65 % 10.686 B 28.44 % 8.320 B 2.33 % 8.131 B 15.07 % 7.066 B 21.32 % 5.824 B -17.63 % 7.070 B -4.17 % 7.378 B 54.06 % 4.789 B 17.77 % 4.066 B -20.86 % 5.138 B
Interest income 956.000 M -16.87 % 1.150 B -8.87 % 1.262 B 0.000 -100.00 % 1.756 B -24.54 % 2.327 B -17.34 % 2.815 B -6.85 % 3.022 B 195.98 % 1.021 B -27.07 % 1.400 B -6.42 % 1.496 B 122.29 % 673.000 M 220.48 % 210.000 M 425.00 % 40.000 M 5.26 % 38.000 M -49.33 % 75.000 M 20.97 % 62.000 M 24.00 % 50.000 M -19.35 % 62.000 M -43.18 % 109.107 M -22.62 % 141.000 M 29.36 % 109.000 M
Interest expense 6.818 B 12.56 % 6.057 B -1.38 % 6.142 B 0.000 -100.00 % 6.728 B 4.01 % 6.469 B 3.90 % 6.226 B -12.39 % 7.107 B 9.08 % 6.515 B 37.10 % 4.752 B 14.26 % 4.159 B 89.30 % 2.197 B 48.85 % 1.476 B 44.28 % 1.023 B 1 117.86 % 84.000 M -93.80 % 1.354 B 5.37 % 1.285 B -72.28 % 4.635 B 34.66 % 3.442 B 85.55 % 1.855 B 93.43 % 959.000 M 6.61 % 899.555 M
Depreciation and amortization 17.773 B -0.53 % 17.867 B 2.04 % 17.509 B 0.000 100.00 % -3.600 B -121.96 % 16.397 B 23.05 % 13.325 B -10.88 % 14.951 B -25.94 % 20.187 B 24.10 % 16.267 B 10.52 % 14.718 B 27.57 % 11.537 B 4.19 % 11.073 B 5.87 % 10.459 B -6.32 % 11.165 B 33.35 % 8.373 B 1.48 % 8.251 B 6.07 % 7.779 B -3.41 % 8.054 B 111.34 % 3.811 B -20.04 % 4.766 B 49.31 % 3.192 B
Operating income -14.972 B 1.99 % -15.275 B -34.76 % -11.335 B 39.06 % -18.600 B -77.14 % -10.500 B 25.00 % -14.000 B -39.99 % -10.000 B 50.89 % -20.364 B 14.56 % -23.835 B -25.39 % -19.009 B -21.79 % -15.608 B 20.20 % -19.560 B -338.84 % 8.190 B 2 638.34 % -322.639 M 92.26 % -4.170 B -210.98 % 3.758 B 83.56 % 2.047 B 404.39 % 405.848 M -84.31 % 2.587 B -65.43 % 7.484 B -34.43 % 11.414 B 28.25 % 8.900 B
Operating income ratio -0.10 -7.37 % -0.10 -41.71 % -0.07 50.49 % -0.14 -96.41 % -0.07 39.07 % -0.12 -20.35 % -0.10 47.63 % -0.18 22.27 % -0.24 -39.77 % -0.17 -17.84 % -0.14 22.76 % -0.19 -377.91 % 0.07 2 652.90 % 0.00 94.01 % -0.04 -221.17 % 0.04 62.00 % 0.02 385.49 % 0.00 -87.60 % 0.04 -63.55 % 0.10 -33.39 % 0.15 21.06 % 0.13
Total other income expenses net -48.036 B -243.54 % -13.983 B -144.09 % 31.713 B 233.81 % -23.700 B -1 111.02 % 2.344 B -64.73 % 6.646 B 115.19 % -43.739 B -113.86 % 315.665 B 5 095.42 % -6.319 B -58.68 % -3.982 B 64.59 % -11.248 B -364.58 % 4.251 B -68.86 % 13.651 B 1 080.99 % 1.156 B 220.67 % -957.893 M -2.66 % -933.062 M 60.61 % -2.369 B -183.81 % 2.826 B 114.14 % -19.988 B -137.07 % -8.431 B -118.59 % -3.857 B -896.31 % -387.138 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 2020-06-30 2020-03-31
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 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 2020-06-30 2020-03-31
Net debt 722.188 B -21.00 % 914.200 B 44.77 % 631.497 B 33.94 % 471.489 B 27.32 % 370.314 B 59.44 % 232.253 B -13.82 % 269.482 B -0.39 % 270.548 B -26.81 % 369.654 B 17.79 % 313.827 B 61.88 % 193.859 B 29.86 % 149.287 B 557.03 % 22.722 B -93.84 % 368.836 B 122.84 % 165.514 B 92.72 % 85.882 B 279.76 % 22.615 B 159.23 % -38.179 B 24.17 % -50.349 B -123.91 % 210.594 B 11.19 % 189.398 B 14.67 % 165.168 B
Total investments 11.182 B -46.01 % 20.711 B 99 878.79 % 20.715 M -99.89 % 18.041 B -57.73 % 42.683 B 125.66 % 18.915 B -88.51 % 164.605 B 1 664.20 % 9.330 B 5.58 % 8.837 B 38.18 % 6.395 B 1.35 % 6.310 B -4.37 % 6.598 B 44 300.22 % 14.860 M -99.82 % 8.037 B -21.94 % 10.297 B 2 101 433 079.59 % -490.000 -48.48 % -330.000 -100.00 % 30.000 M 0.00 % 30.000 M -98.34 % 1.812 B 604 125 433.33 % -300.000 -100.00 % 2.453 B
Total debt 800.946 B -24.67 % 1.063 T 35.17 % 786.562 B 28.58 % 611.739 B 20.63 % 507.124 B 3.73 % 488.880 B 22.67 % 398.532 B -3.38 % 412.464 B -12.62 % 472.038 B 16.77 % 404.245 B 13.35 % 356.632 B -10.45 % 398.246 B -1.64 % 404.877 B -14.26 % 472.222 B 54.78 % 305.102 B 20.58 % 253.026 B 20.54 % 209.902 B 27.62 % 164.472 B -35.57 % 255.253 B -3.16 % 263.576 B 3.04 % 255.801 B 16.27 % 220.003 B
Accumulated other comprehensive income loss 0.000 -100.00 % 1.051 T 1 338.94 % 73.012 B 0.000 -100.00 % 54.957 B 19.90 % 45.834 B 39.31 % 32.900 B -49.11 % 64.644 B 29.68 % 49.850 B 9.42 % 45.558 B 62.70 % 28.002 B -70.71 % 95.589 B 98.37 % 48.187 B 695.38 % -8.093 B -19 818.95 % -40.632 M 1.78 % -41.368 M -1.38 % -40.805 M 83.07 % -241.000 M -559.42 % -36.547 M -100.35 % 10.588 B 19.28 % 8.877 B -26.61 % 12.095 B
Retained earnings 114.868 B -25.58 % 154.361 B -10.51 % 172.488 B 16.49 % 148.069 B -12.11 % 168.463 B 0.17 % 168.181 B -1.94 % 171.508 B -8.80 % 188.048 B 579.28 % -39.235 B -113.95 % -18.339 B -74.03 % -10.538 B -280.67 % -2.768 B -149.50 % 5.593 B 532.12 % 884.728 M -81.46 % 4.773 B 54.94 % 3.080 B 1 104.19 % 255.805 M 105.58 % -4.583 B 31.72 % -6.711 B -149.56 % 13.542 B -14.70 % 15.877 B 62.99 % 9.741 B
Common stock 7.022 B -22.84 % 9.100 B 29.60 % 7.022 B 0.00 % 7.022 B -19.41 % 8.713 B 0.00 % 8.713 B 99.99 % 4.357 B 24.08 % 3.511 B 0.00 % 3.511 B 0.00 % 3.511 B 0.00 % 3.511 B 0.00 % 3.511 B 0.00 % 3.511 B 14.78 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B 0.00 % 3.059 B
Total equity 978.372 B -7.67 % 1.060 T -2.91 % 1.091 T 7.36 % 1.017 T -5.76 % 1.079 T 0.86 % 1.070 T 1.08 % 1.058 T -6.14 % 1.127 T 25.33 % 899.589 B -1.88 % 916.806 B -0.14 % 918.103 B -11.66 % 1.039 T 6.89 % 972.334 B 87.27 % 519.206 B -0.57 % 522.207 B -1.11 % 528.087 B 4.26 % 506.505 B 0.77 % 502.649 B 2.61 % 489.859 B 215.33 % 155.348 B -0.40 % 155.971 B 1.91 % 153.053 B
Other non current liabilities 5.767 B -0.04 % 5.769 B 4.00 % 5.547 B -14.33 % 6.475 B 2.11 % 6.341 B -0.72 % 6.387 B 4.47 % 6.114 B 23.39 % 4.954 B 40.08 % 3.537 B 43.38 % 2.467 B -96.22 % 65.290 B -16.11 % 77.831 B 12.56 % 69.147 B -9.60 % 76.488 B 23.99 % 61.691 B -10.32 % 68.791 B 4.33 % 65.937 B 2.18 % 64.533 B 0.000 -100.00 % 6.953 B 7.46 % 6.470 B -0.18 % 6.481 B
Long term debt 199.771 B -23.22 % 260.187 B 64.03 % 158.626 B -40.55 % 266.839 B 83.88 % 145.119 B 26.71 % 114.529 B 54.33 % 74.210 B -60.24 % 186.635 B 156.06 % 72.887 B 28.38 % 56.775 B 2.29 % 55.506 B -71.36 % 193.812 B 8.22 % 179.097 B 5.07 % 170.454 B 34.13 % 127.082 B 120.00 % 57.765 B 4.97 % 55.032 B 0.64 % 54.683 B -68.39 % 173.002 B -6.76 % 185.552 B 25.90 % 147.377 B 13.95 % 129.330 B
Total non current liabilities 242.697 B 0.21 % 242.200 B 47.40 % 164.320 B -39.92 % 273.509 B 80.58 % 151.460 B 25.26 % 120.916 B 50.16 % 80.526 B -58.13 % 192.305 B 151.63 % 76.424 B 27.85 % 59.776 B -50.52 % 120.795 B -56.36 % 276.824 B 11.40 % 248.486 B 0.63 % 246.942 B 25.48 % 196.799 B 47.07 % 133.810 B 5.24 % 127.143 B 2.08 % 124.547 B -32.27 % 183.882 B -25.93 % 248.249 B 16.12 % 213.792 B 7.65 % 198.591 B
Other current liabilities 116.987 B 320.24 % -53.118 B -140.43 % 131.395 B 22.42 % 107.334 B -12.37 % 122.488 B 7.37 % 114.075 B -7.98 % 123.964 B 8.56 % 114.188 B -17.97 % 139.208 B -7.30 % 150.173 B 229.87 % 45.525 B 19.40 % 38.129 B -45.77 % 70.306 B 272.55 % 18.872 B -40.98 % 31.975 B 22.91 % 26.015 B 98.87 % 13.082 B -51.30 % 26.860 B 7.85 % 24.906 B 26.69 % 19.660 B -7.81 % 21.325 B -49.36 % 42.106 B
Deferred revenue 0.000 0.000 0.000 0.000 0.000 -100.00 % 4.496 B 3.97 % 4.324 B -97.94 % 209.908 B 39.16 % 150.840 B 2 315.11 % 6.246 B -10.70 % 6.994 B -21.33 % 8.890 B 1.24 % 8.781 B -3.55 % 9.104 B -74.84 % 36.189 B 18.75 % 30.475 B 8.28 % 28.145 B -18.98 % 34.740 B 2.39 % 33.928 B 52.76 % 22.210 B -1.24 % 22.489 B -51.62 % 46.480 B
Short term debt 601.175 B -27.08 % 824.410 B 31.29 % 627.936 B 82.06 % 344.900 B -4.73 % 362.006 B -3.30 % 374.350 B 15.43 % 324.322 B 43.61 % 225.829 B -43.42 % 399.151 B 14.87 % 347.470 B 15.39 % 301.126 B 47.30 % 204.434 B -9.45 % 225.780 B -25.18 % 301.768 B 69.51 % 178.020 B -8.83 % 195.260 B 26.08 % 154.870 B 41.06 % 109.789 B 33.48 % 82.251 B 5.42 % 78.024 B -28.04 % 108.424 B 19.58 % 90.674 B
Total current liabilities 779.571 B -6.20 % 831.100 B 0.91 % 823.611 B 65.08 % 498.904 B -8.34 % 544.298 B -10.54 % 608.454 B 7.12 % 568.008 B 20.20 % 472.570 B -20.03 % 590.930 B 4.65 % 564.651 B 33.76 % 422.142 B 35.11 % 312.435 B -15.94 % 371.697 B -12.14 % 423.079 B 44.60 % 292.593 B 4.01 % 281.320 B 17.47 % 239.474 B 30.46 % 183.564 B 9.64 % 167.427 B 19.73 % 139.837 B -13.65 % 161.942 B -3.78 % 168.306 B
Total liabilities 1.022 T -4.75 % 1.073 T 8.64 % 987.931 B 27.90 % 772.413 B 11.02 % 695.758 B -4.61 % 729.370 B 12.46 % 648.534 B -2.46 % 664.876 B -0.37 % 667.354 B 6.87 % 624.426 B 15.01 % 542.937 B -7.86 % 589.259 B -4.99 % 620.183 B -7.44 % 670.020 B 36.91 % 489.392 B 17.89 % 415.130 B 13.23 % 366.617 B 18.99 % 308.111 B -12.30 % 351.310 B -9.48 % 388.087 B 3.29 % 375.734 B 2.41 % 366.897 B
Other non current assets 37.261 B -97.55 % 1.520 T 3 085.41 % 47.719 B 79.52 % 26.581 B -73.88 % 101.771 B 492.69 % 17.171 B -2.79 % 17.665 B -89.40 % 166.657 B 1 048.00 % 14.517 B -22.69 % 18.778 B 70.59 % 11.007 B 154.14 % 4.331 B -65.70 % 12.628 B 380.42 % 2.629 B 657 162 980.25 % 400.000 183.33 % -480.000 -77.78 % -270.000 -345.45 % 110.000 123.40 % -470.000 -100.00 % 11.661 B 2 915 181 582.50 % 400.000 -100.00 % 14.631 B
Long term investments 0.000 -100.00 % 12.154 B 160.60 % -20.056 B -107 950.92 % 18.596 M -1.10 % 18.804 M -99.83 % 10.834 B -44.74 % 19.605 B 114.45 % -135.670 B -1 635.29 % 8.837 B 92.28 % 4.596 B -27.16 % 6.310 B -50.47 % 12.739 B 85 634.79 % 14.859 M -99.82 % 8.037 B -21.94 % 10.297 B -7.47 % 11.129 B 7.11 % 10.390 B -3.03 % 10.715 B -20.65 % 13.504 B 645.08 % 1.812 B -86.94 % 13.879 B 689.37 % -2.355 B
Intangible assets 11.246 B -7.06 % 12.101 B -5.71 % 12.835 B 8.54 % 11.825 B -7.51 % 12.785 B -14.64 % 14.979 B -7.63 % 16.217 B -7.48 % 17.529 B -1.65 % 17.822 B -6.83 % 19.128 B -7.51 % 20.680 B 4.73 % 19.746 B -0.76 % 19.898 B 5.69 % 18.827 B -4.34 % 19.681 B 16.02 % 16.963 B 52.59 % 11.117 B -6.46 % 11.885 B -3.82 % 12.357 B -10.30 % 13.776 B 19.43 % 11.534 B -6.01 % 12.272 B
GoodWill 0.000 0.000 0.000 0.000 0.000 -100.00 % 401.000 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
Goodwill and intangible assets 11.246 B -7.06 % 12.101 B -5.71 % 12.835 B 8.54 % 11.825 B -7.51 % 12.785 B -16.87 % 15.380 B -5.16 % 16.217 B -7.48 % 17.529 B -1.65 % 17.822 B -6.83 % 19.128 B -7.51 % 20.680 B 4.73 % 19.746 B -0.76 % 19.898 B 5.69 % 18.827 B -4.34 % 19.681 B 16.02 % 16.963 B 52.59 % 11.117 B -6.46 % 11.885 B -3.82 % 12.357 B -10.30 % 13.776 B 19.43 % 11.534 B -6.01 % 12.272 B
Property plant equipment net 1.389 T 0.000 -100.00 % 1.368 T 16.30 % 1.176 T 1.58 % 1.158 T 4.80 % 1.105 T 7.74 % 1.025 T -3.51 % 1.063 T 5.15 % 1.011 T 6.39 % 949.882 B 9.78 % 865.287 B -7.19 % 932.339 B 15.52 % 807.090 B 18.49 % 681.171 B 27.32 % 535.001 B 10.15 % 485.685 B 14.38 % 424.611 B 17.82 % 360.397 B 13.19 % 318.395 B 2.98 % 309.194 B 3.66 % 298.289 B 10.16 % 270.784 B
Total non current assets 1.521 T -1.51 % 1.544 T 4.19 % 1.482 T 14.67 % 1.293 T 1.60 % 1.272 T 4.43 % 1.218 T 6.64 % 1.142 T -2.68 % 1.174 T 5.59 % 1.112 T 6.19 % 1.047 T 9.85 % 953.061 B -7.86 % 1.034 T 15.80 % 893.241 B 16.20 % 768.723 B 24.56 % 617.129 B 8.61 % 568.217 B 13.87 % 499.006 B 15.67 % 431.396 B 10.39 % 390.793 B 7.47 % 363.623 B 3.63 % 350.871 B 8.42 % 323.624 B
Other current assets 52.826 B -82.39 % 300.036 B 343.30 % 67.682 B 104.65 % 33.072 B -7.27 % 35.665 B 225.98 % 10.941 B -42.61 % 19.064 B -70.00 % 63.537 B -62.62 % 169.960 B -25.61 % 228.475 B 178.18 % 82.133 B 13.79 % 72.180 B 55.67 % 46.366 B -17.30 % 56.067 B 47.53 % 38.003 B 127.21 % 16.726 B 24.33 % 13.453 B -35.12 % 20.737 B -3.71 % 21.535 B 66.77 % 12.913 B 55.88 % 8.284 B -68.43 % 26.239 B
Short term investments 17.610 B 105.81 % 8.556 B -57.38 % 20.077 B 11.40 % 18.023 B -42.74 % 31.476 B 289.52 % 8.081 B -94.43 % 145.000 B 0.00 % 145.000 B 0.000 -100.00 % 1.799 B 1 285 174 614.29 % -140.000 100.00 % -6.142 B -1 228 348 828.80 % 500.000 0.000 0.000 100.00 % -490.000 -48.48 % -330.000 -100.00 % 30.000 M 0.00 % 30.000 M 0.000 100.00 % -300.000 -100.00 % 4.808 B
cash and cash equivalents 78.757 B -43.93 % 140.452 B -9.42 % 155.065 B 10.56 % 140.250 B 2.51 % 136.810 B -46.69 % 256.627 B 98.86 % 129.050 B -9.07 % 141.916 B 38.61 % 102.384 B 13.23 % 90.418 B -44.45 % 162.773 B -34.62 % 248.959 B -34.85 % 382.156 B 269.64 % 103.386 B -25.93 % 139.588 B -16.49 % 167.144 B -10.76 % 187.287 B -7.58 % 202.651 B -33.69 % 305.602 B 476.80 % 52.982 B -20.21 % 66.403 B 21.10 % 54.835 B
Cash and short term investments 96.367 B -35.32 % 149.000 B -14.93 % 175.142 B 10.66 % 158.273 B -5.95 % 168.286 B -36.43 % 264.708 B -3.41 % 274.050 B -4.48 % 286.916 B 180.23 % 102.384 B 11.03 % 92.217 B -43.35 % 162.773 B -34.62 % 248.959 B -34.85 % 382.156 B 269.64 % 103.386 B -25.93 % 139.588 B -16.49 % 167.144 B -10.76 % 187.287 B -7.59 % 202.681 B -33.68 % 305.632 B 476.86 % 52.982 B -20.21 % 66.403 B 11.33 % 59.643 B
Total current assets 479.692 B -18.52 % 588.700 B -1.43 % 597.219 B 20.29 % 496.485 B -1.17 % 502.348 B -13.50 % 580.738 B 2.92 % 564.281 B -8.75 % 618.409 B 35.86 % 455.182 B -7.92 % 494.316 B -2.69 % 507.980 B -14.51 % 594.174 B -15.03 % 699.276 B 66.30 % 420.503 B 6.60 % 394.470 B 5.19 % 374.999 B 0.24 % 374.116 B -1.38 % 379.364 B -15.77 % 450.376 B 150.47 % 179.811 B -0.57 % 180.834 B -7.89 % 196.326 B
Inventory 222.186 B 0.000 -100.00 % 224.391 B 1.75 % 220.538 B 2.49 % 215.170 B 6.18 % 202.648 B 5.24 % 192.561 B 6.76 % 180.366 B -1.35 % 182.838 B 5.31 % 173.624 B 0.78 % 172.275 B -3.18 % 177.937 B 9.24 % 162.889 B 5.65 % 154.178 B 10.51 % 139.509 B 26.91 % 109.931 B 12.10 % 98.067 B 26.90 % 77.282 B 14.32 % 67.604 B 22.62 % 55.131 B 24.32 % 44.346 B -4.73 % 46.546 B
Net receivables 108.313 B -22.45 % 139.664 B 7.43 % 130.004 B 53.67 % 84.602 B 1.65 % 83.227 B -1.17 % 84.216 B 44.35 % 58.341 B -39.04 % 95.704 B 25.44 % 76.297 B -18.50 % 93.621 B -4.78 % 98.320 B -6.73 % 105.417 B -2.27 % 107.866 B 0.93 % 106.872 B 20.70 % 88.545 B 9.05 % 81.198 B 7.82 % 75.309 B -4.27 % 78.665 B 41.47 % 55.605 B -5.41 % 58.785 B -4.88 % 61.801 B -3.28 % 63.898 B
Tax assets 83.106 B 0.000 -100.00 % 74.021 B -5.34 % 78.197 B 0.000 -100.00 % 70.247 B 10.44 % 63.609 B 1.32 % 62.781 B 4.56 % 60.042 B 10.10 % 54.532 B 9.55 % 49.776 B -23.67 % 65.214 B 21.65 % 53.610 B -7.66 % 58.059 B 11.33 % 52.151 B -4.21 % 54.440 B 2.94 % 52.887 B 9.27 % 48.399 B 4.00 % 46.537 B 71.22 % 27.180 B 0.05 % 27.168 B -3.97 % 28.291 B
Other assets 0.000 0.000 0.000 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 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 52.876 B -11.59 % 59.808 B 0.68 % 59.404 B 54.03 % 38.567 B -19.18 % 47.717 B 18.52 % 40.262 B -12.62 % 46.078 B 25.10 % 36.834 B -10.03 % 40.939 B -15.47 % 48.433 B -19.92 % 60.482 B 37.55 % 43.971 B -34.02 % 66.642 B -13.91 % 77.414 B -1.24 % 78.385 B 41.02 % 55.584 B -1.55 % 56.459 B 44.64 % 39.035 B -23.83 % 51.249 B 29.41 % 39.603 B 27.64 % 31.028 B -0.40 % 31.152 B
Tax payables 8.534 B 0.000 -100.00 % 4.876 B -39.82 % 8.103 B -32.97 % 12.088 B -84.85 % 79.766 B 8.31 % 73.644 B -23.06 % 95.720 B 722.89 % 11.632 B -5.66 % 12.330 B 53.83 % 8.015 B -52.88 % 17.011 B 89.66 % 8.969 B 31.55 % 6.818 B 61.81 % 4.214 B -5.52 % 4.460 B -15.40 % 5.271 B -33.10 % 7.879 B -12.66 % 9.021 B 253.78 % 2.550 B 119.02 % 1.164 B -73.38 % 4.374 B
Deferred revenue non current 37.024 B 30.82 % 28.302 B 241 801.50 % 11.700 M -18.26 % 14.314 M 0.000 -100.00 % 19.086 M -11.11 % 21.472 M -10.00 % 23.857 M 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 8.026 B 10.65 % 7.254 B 17.49 % 6.174 B 15.81 % 5.331 B -1.79 % 5.428 B -90.02 % 54.370 B -6.54 % 58.174 B -5.26 % 61.405 B
Minority interest 281.074 B -7.92 % 305.249 B -4.39 % 319.264 B 6.09 % 300.950 B -7.64 % 325.860 B -0.46 % 327.356 B 0.61 % 325.369 B -6.30 % 347.253 B -3.94 % 361.489 B -0.18 % 362.126 B -2.84 % 372.701 B -10.95 % 418.543 B 7.17 % 390.539 B 71.77 % 227.366 B 3.41 % 219.867 B 7.42 % 204.673 B 3.24 % 198.258 B 0.76 % 196.763 B -0.47 % 197.700 B 0.000 0.000 0.000
Capital lease obligations 21.814 B 1.95 % 21.397 B -2.89 % 22.035 B -1.67 % 22.410 B -4.30 % 23.417 B -0.07 % 23.432 B -2.03 % 23.918 B -3.29 % 24.731 B -1.83 % 25.191 B 508.55 % 4.140 B -10.14 % 4.607 B -29.35 % 6.520 B 1.72 % 6.410 B 14.60 % 5.594 B 0.24 % 5.580 B -8.44 % 6.095 B -0.94 % 6.152 B -4.55 % 6.446 B -5.83 % 6.845 B -7.26 % 7.380 B -5.64 % 7.821 B -4.95 % 8.228 B
Preferred stock 2.069 B 447.58 % 377.789 M 0.00 % 377.789 M -81.74 % 2.069 B 0.00 % 2.069 B 447.58 % 377.789 M 99.96 % 188.935 M -81.74 % 1.034 B 0.00 % 1.034 B 0.00 % 1.034 B 0.00 % 1.034 B 0.00 % 1.034 B 0.00 % 1.034 B 14.78 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M 0.00 % 901.245 M
Other total stockholders equity 573.339 B 10.47 % 518.976 B 0.00 % 518.976 B -7.09 % 558.569 B 7.75 % 518.404 B -0.02 % 518.526 B -6.58 % 555.027 B -5.55 % 587.616 B 2.59 % 572.790 B 9.42 % 523.499 B -5.06 % 551.394 B 5.33 % 523.499 B -0.01 % 523.576 B 83.01 % 286.094 B -2.26 % 292.707 B -0.85 % 295.216 B -2.90 % 304.031 B -0.81 % 306.508 B 4.35 % 293.726 B 130.81 % 127.257 B 0.00 % 127.257 B 0.00 % 127.257 B
Deferred tax liabilities non current 135.394 M 0.00 % 135.394 M 0.00 % 135.394 M -25.11 % 180.787 M 0.000 -100.00 % 180.787 M 0.00 % 180.787 M -74.73 % 715.517 M 205.03 % 234.576 M -56.05 % 533.732 M 74.78 % 305.374 M -94.11 % 5.180 B 2 039.85 % 242.087 M -95.38 % 5.242 B 8 601.61 % 60.240 M -99.16 % 7.192 B 0.00 % 7.192 B 0.00 % 7.192 B 31.90 % 5.452 B 296.69 % 1.374 B -22.43 % 1.772 B 28.91 % 1.374 B
Other liabilities 0.000 0.000 0.000 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 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 2.001 T -6.21 % 2.133 T 2.58 % 2.079 T 16.23 % 1.789 T 0.82 % 1.775 T -1.36 % 1.799 T 5.41 % 1.707 T -4.78 % 1.792 T 14.38 % 1.567 T 1.67 % 1.541 T 5.49 % 1.461 T -10.29 % 1.629 T 2.26 % 1.593 T 33.91 % 1.189 T 17.56 % 1.012 T 7.25 % 943.216 B 8.03 % 873.122 B 7.69 % 810.760 B -3.62 % 841.168 B 54.79 % 543.434 B 2.21 % 531.705 B 2.26 % 519.950 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 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31
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 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 2020-06-30 2020-03-31
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 3.552 B 101.49 % -238.322 B -1 974.98 % -11.486 B 0.000 0.000 0.000 0.000 0.000 -100.00 % 722.606 M 126.90 % -2.687 B 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation -91.000 M 0.000 -100.00 % 55.000 M 105.39 % -1.020 B -537.77 % 233.000 M -54.31 % 510.000 M 191.23 % -559.000 M 54.33 % -1.224 B -35.10 % -906.000 M -136.68 % 2.470 B 327.23 % -1.087 B -321.38 % 491.000 M 129.00 % -1.693 B -820.11 % -184.000 M -105.71 % 3.223 B 1 442.11 % 209.000 M -52.61 % 441.000 M 0.000 0.000 0.000 0.000 0.000
Change in working capital 36.488 B 527.03 % -8.544 B 78.60 % -39.923 B -58.51 % -25.186 B -528.05 % 5.884 B 113.40 % -43.898 B -191.14 % 48.164 B 294.51 % -24.762 B -204.09 % 23.788 B 273.20 % -13.734 B -102.77 % -6.773 B 60.81 % -17.283 B -176.35 % -6.254 B 90.46 % -65.539 B -106.84 % -31.686 B -117.19 % -14.589 B -321.99 % 6.572 B 115.34 % -42.855 B 7.76 % -46.461 B -375.79 % -9.765 B -652.32 % 1.768 B 113.53 % -13.069 B
Accounts receivables -5.292 B -25.22 % -4.226 B 77.03 % -18.395 B -15 429.17 % 120.000 M -98.36 % 7.321 B 170.73 % -10.350 B -133.24 % 31.136 B 802.37 % -4.433 B -131.66 % 14.000 B 320.30 % -6.355 B -132.17 % 19.755 B 525.75 % 3.157 B 165.34 % -4.832 B 81.98 % -26.818 B -468.68 % 7.274 B 450.89 % -2.073 B -118.68 % 11.099 B 131.55 % -35.182 B -747.20 % 5.436 B 292.49 % 1.385 B -53.35 % 2.969 B 134.74 % -8.547 B
Inventory 1.554 B 120.99 % -7.405 B -175.42 % 9.818 B 179.03 % -12.423 B -67.22 % -7.429 B -19.25 % -6.230 B 60.10 % -15.614 B -440.44 % 4.586 B 152.50 % -8.735 B -15.17 % -7.585 B -2.81 % -7.378 B 18.74 % -9.080 B -19.18 % -7.619 B 41.89 % -13.112 B 50.26 % -26.360 B -191.88 % -9.031 B 57.51 % -21.255 B -127.86 % -9.328 B -126.44 % 35.274 B 438.42 % -10.423 B -411.51 % 3.346 B 207.55 % -3.111 B
Accounts payables 0.000 -100.00 % 21.000 M 0.000 0.000 -100.00 % 1.198 B 110.22 % -11.725 B -183.03 % 14.121 B 185.80 % -16.459 B -119.28 % -7.506 B -111.20 % -3.554 B -98.33 % -1.792 B 69.63 % -5.900 B 55.37 % -13.219 B -378.60 % -2.762 B -119.43 % 14.214 B 433.43 % -4.263 B -142.14 % 10.116 B 192.03 % 3.464 B 0.000 0.000 0.000 0.000
Other working capital 40.226 B 1 212.20 % 3.066 B 109.78 % -31.346 B -143.32 % -12.883 B -368.74 % 4.794 B 130.74 % -15.593 B -184.19 % 18.521 B 319.03 % -8.456 B -132.49 % 26.029 B 592.34 % 3.760 B 121.66 % -17.358 B -217.93 % -5.460 B -128.12 % 19.416 B 137.03 % -52.427 B -884.40 % -5.326 B 4.18 % -5.558 B -119.97 % 27.827 B 183.00 % -33.527 B 58.98 % -81.735 B -12 521.73 % 658.000 M 141.70 % -1.578 B 84.15 % -9.958 B
Other non cash items 19.522 B 263.29 % -11.956 B 69.05 % -38.635 B -677.41 % 6.691 B 109.37 % -71.387 B -266.28 % 42.932 B 684.27 % 5.474 B 19.42 % 4.584 B -19.77 % 5.714 B 247.49 % -3.874 B -164.02 % 6.051 B 433.22 % -1.816 B 78.00 % -8.254 B -709.75 % 1.354 B 130.59 % 587.030 M -64.37 % 1.648 B 143.21 % -3.813 B -176.63 % 4.976 B -71.50 % 17.458 B 105.10 % 8.512 B 1 375.58 % 576.867 M -59.83 % 1.436 B
Net cash provided by operating activities 21.390 B 216.41 % -18.375 B 61.99 % -48.342 B -24.76 % -38.749 B 33.73 % -58.475 B -32.94 % -43.986 B -181.12 % 54.221 B 298.10 % -27.370 B -350.80 % 10.913 B 153.84 % -20.268 B -93.10 % -10.496 B 57.92 % -24.943 B -276.66 % -6.622 B 88.65 % -58.350 B -221.80 % -18.133 B -186.69 % -6.325 B -144.98 % 14.062 B 144.53 % -31.579 B 23.34 % -41.193 B -18 507.44 % 223.787 M -98.31 % 13.237 B 537.32 % -3.027 B
Investments in property plant and equipment -69.055 B 13.87 % -80.177 B -6.57 % -75.236 B 15.50 % -89.042 B -134.86 % -37.912 B 31.59 % -55.421 B 3.76 % -57.589 B -5.44 % -54.620 B -18.62 % -46.048 B 47.00 % -86.883 B -72.98 % -50.228 B 42.93 % -88.005 B -46.88 % -59.915 B 58.73 % -145.181 B -120.93 % -65.715 B -11.04 % -59.183 B 16.33 % -70.733 B -77.37 % -39.879 B 39.76 % -66.199 B -192.58 % -22.626 B 35.50 % -35.080 B 35.38 % -54.284 B
Acquisitions net 0.000 -100.00 % 4.326 M 0.000 0.000 0.000 0.000 -100.00 % 325.894 B 47 966.48 % -680.839 M -322.04 % 306.627 M 4 898.56 % 6.134 M -99.58 % 1.470 B 91 795.73 % -1.603 M -100.00 % 180.998 B 19 346 704.77 % 935.547 K -99.92 % 1.232 B 39 274.60 % 3.130 M -45.48 % 5.742 M -99.99 % 57.342 B 35 948.75 % 159.067 M -94.41 % 2.843 B 1 281.41 % 205.808 M 107.41 % -2.776 B
Purchases of investments 0.000 0.000 100.00 % -606.124 M -163.76 % 950.569 M 103.04 % -31.275 B -291.89 % -7.981 B -31 182.88 % -25.511 M 99.98 % -151.517 B -8 483.07 % 1.807 B 200.00 % -1.807 B -4 000.03 % -44.083 M 98.18 % -2.427 B 0.000 0.000 -100.00 % 25.559 M 722.02 % -4.109 M 80.84 % -21.450 M 0.000 100.00 % -30.066 M -149 256.68 % -20.130 K -100.53 % 3.821 M 100.08 % -4.808 B
Sales maturities of investments -10.401 B -191.52 % 11.364 B 14 644.67 % 77.073 M -99.38 % 12.493 B 49.64 % 8.348 B -94.59 % 154.199 B 146.57 % -331.123 B -200.00 % 331.123 B 35 174.52 % 938.703 M 3 579.52 % 25.512 M 101.74 % -1.470 B -160.51 % 2.428 B 0.000 0.000 -100.00 % 83.192 M 0.000 -100.00 % 3.185 M -88.12 % 26.815 M 123.86 % -112.404 M -393.53 % 38.294 M -99.21 % 4.841 B 11 721.93 % 40.949 M
Other investing activites -2.743 B -888.30 % 347.982 M 197.35 % -357.453 M -120.85 % 1.714 B 59.37 % 1.076 B 3 485.41 % 30.000 M -97.03 % 1.010 B 55.88 % 647.748 M 534.24 % 102.130 M 103.86 % -2.646 B -1 105.98 % 263.061 M 109.70 % -2.713 B 98.50 % -181.167 B -63 069.62 % -286.795 M -120.75 % 1.382 B 44 067.21 % 3.130 M 119.93 % -15.708 M -158.58 % 26.815 M -98.68 % 2.036 B 170.93 % -2.871 B -1 744.73 % -155.621 M -105.61 % 2.776 B
Net cash used for investing activites -82.199 B -20.07 % -68.460 B 10.07 % -76.123 B -3.03 % -73.884 B -23.63 % -59.763 B -165.80 % 90.828 B 246.89 % -61.834 B -149.49 % 124.953 B 391.31 % -42.893 B 53.02 % -91.305 B -82.58 % -50.009 B 44.87 % -90.718 B -50.99 % -60.084 B 58.70 % -145.468 B -126.41 % -64.249 B -8.56 % -59.184 B 16.34 % -70.746 B -77.52 % -39.852 B 37.87 % -64.146 B -183.63 % -22.616 B 25.08 % -30.185 B 48.88 % -59.051 B
Debt repayment 4.327 B -94.27 % 75.539 B -34.11 % 114.642 B -10.17 % 127.624 B 1 918.09 % 6.324 B -91.63 % 75.531 B 1 755.78 % -4.562 B 92.84 % -63.719 B -239.73 % 45.601 B 0.19 % 45.514 B 767.90 % -6.814 B 78.66 % -31.936 B 61.59 % -83.148 B -151.22 % 162.343 B 199.88 % 54.136 B 52.84 % 35.420 B -11.56 % 40.048 B 143.13 % -92.846 B -1 384.24 % -6.255 B -155.34 % 11.304 B -70.10 % 37.810 B 83.68 % 20.585 B
Common stock issued 0.000 0.000 0.000 0.000 0.000 100.00 % -120.955 M -323.11 % 54.213 M 582.49 % -11.236 M -449.69 % 3.213 M 107.48 % -42.957 M 98.14 % -2.311 B -2 887.56 % -77.350 M -100.03 % 238.566 B 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 0.000 100.00 % -1.093 B -33 691.18 % -3.233 M -100.07 % 4.550 B 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
Dividends paid 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -4.553 B 0.000 0.000 0.000 100.00 % -3.967 B 0.000 0.000 0.000 100.00 % -406.607 M 0.000 0.000 0.000 100.00 % -10.864 B 0.000
Other financing activites -1.275 B -26.01 % -1.012 B -125.45 % 3.976 B 728.47 % -632.573 M 90.20 % -6.456 B 0.000 100.00 % -984.094 M -83.26 % -537.007 M -18.53 % -453.073 M 39.45 % -748.214 M -119.79 % 3.781 B 0.000 -100.00 % 415.590 B 185 122.11 % -224.616 M 25.50 % -301.491 M 31.37 % -439.293 M 39.06 % -720.871 M -101.27 % 56.824 B -84.46 % 365.642 B 46 038.32 % -795.940 M 0.000 100.00 % -576.803 M
Net cash used provided by financing activities 3.052 B -95.90 % 74.528 B -37.17 % 118.618 B -6.59 % 126.992 B 96 309.91 % -131.994 M -100.18 % 75.001 B 1 452.41 % -5.546 B 91.37 % -64.259 B -258.30 % 40.595 B -9.32 % 44.765 B 937.61 % -5.344 B 83.31 % -32.013 B -109.63 % 332.442 B 105.06 % 162.119 B 201.14 % 53.834 B 53.90 % 34.981 B -10.12 % 38.920 B 208.05 % -36.022 B -110.02 % 359.386 B 3 319.97 % 10.508 B -61.00 % 26.946 B 34.68 % 20.008 B
Effect of forex changes on cash -3.938 B -70.78 % -2.306 B -111.16 % 20.661 B 289.24 % -10.918 B -654.93 % -1.446 B -125.22 % 5.734 B 1 852.16 % 293.711 M 1 199.81 % 22.597 M -99.19 % 2.780 B 129.95 % 1.209 B 105.95 % -20.336 B -240.47 % 14.477 B 11.08 % 13.034 B 137.10 % 5.497 B 454.83 % 990.776 M -90.46 % 10.385 B 332.66 % 2.400 B -46.68 % 4.502 B 415.35 % -1.428 B 7.16 % -1.538 B -197.97 % 1.570 B -30.53 % 2.259 B
Net change in cash -61.695 B -322.19 % -14.613 B -198.64 % 14.815 B 330.66 % 3.440 B 102.87 % -119.817 B -193.92 % 127.577 B 1 091.64 % -12.865 B -132.54 % 39.531 B 230.35 % 11.967 B 116.54 % -72.356 B 16.05 % -86.186 B 35.29 % -133.196 B -147.78 % 278.770 B 870.04 % -36.202 B -31.37 % -27.557 B -36.81 % -20.143 B -31.11 % -15.364 B 85.08 % -102.951 B -140.75 % 252.620 B 1 982.27 % -13.421 B -216.02 % 11.568 B 129.06 % -39.811 B
Cash at beginning of period 140.452 B -9.42 % 155.065 B 10.56 % 140.250 B 2.51 % 136.810 B -46.69 % 256.627 B 98.86 % 129.050 B -9.07 % 141.916 B 38.61 % 102.384 B 13.23 % 90.418 B -44.45 % 162.773 B -34.62 % 248.959 B -34.85 % 382.156 B 269.64 % 103.386 B -25.93 % 139.588 B -16.49 % 167.144 B -10.76 % 187.287 B -7.58 % 202.651 B -33.69 % 305.602 B 476.80 % 52.982 B -20.21 % 66.403 B 21.10 % 54.835 B -42.06 % 94.646 B
Cash at end of period 78.757 B -43.93 % 140.452 B -9.42 % 155.065 B 10.56 % 140.250 B 2.51 % 136.810 B -46.69 % 256.627 B 98.86 % 129.050 B -9.07 % 141.916 B 38.61 % 102.384 B 13.23 % 90.418 B -44.45 % 162.773 B -34.62 % 248.959 B -34.85 % 382.156 B 269.64 % 103.386 B -25.93 % 139.588 B -16.49 % 167.144 B -10.76 % 187.287 B -7.58 % 202.651 B -33.69 % 305.602 B 476.80 % 52.982 B -20.21 % 66.403 B 21.10 % 54.835 B
Operating cash flow 21.390 B 216.41 % -18.375 B 61.99 % -48.342 B -24.76 % -38.749 B 33.73 % -58.475 B -32.94 % -43.986 B -181.12 % 54.221 B 298.10 % -27.370 B -350.80 % 10.913 B 153.84 % -20.268 B -93.10 % -10.496 B 57.92 % -24.943 B -276.66 % -6.622 B 88.65 % -58.350 B -221.80 % -18.133 B -186.69 % -6.325 B -144.98 % 14.062 B 144.53 % -31.579 B 23.34 % -41.193 B -18 507.44 % 223.787 M -98.31 % 13.237 B 537.32 % -3.027 B
Capital expenditure -69.662 B 12.86 % -79.942 B -4.00 % -76.871 B 13.67 % -89.042 B -134.86 % -37.912 B 31.59 % -55.421 B 3.76 % -57.589 B -5.44 % -54.620 B -18.62 % -46.048 B 47.00 % -86.883 B -72.98 % -50.228 B 42.93 % -88.005 B -46.88 % -59.915 B 58.73 % -145.181 B -120.93 % -65.715 B -11.04 % -59.183 B 16.33 % -70.733 B -77.37 % -39.879 B 39.76 % -66.199 B -192.58 % -22.626 B 35.50 % -35.080 B 35.38 % -54.284 B
Free CashFlow -48.272 B 50.90 % -98.317 B 21.48 % -125.213 B 2.02 % -127.791 B -32.58 % -96.387 B 3.04 % -99.407 B -2 851.52 % -3.368 B 95.89 % -81.990 B -133.36 % -35.135 B 67.21 % -107.152 B -76.46 % -60.724 B 46.24 % -112.948 B -69.75 % -66.537 B 67.31 % -203.531 B -142.74 % -83.847 B -28.00 % -65.508 B -15.59 % -56.672 B 20.69 % -71.458 B 33.46 % -107.392 B -379.38 % -22.402 B -2.56 % -21.843 B 61.89 % -57.311 B
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Date Form 10K
2024
2023
2022
2021
2020
2019