6411.TWO

Amazing Microelectronic Corp. 6411.TWO

Finances

2024 2023 2022 2021 2020 2019
Revenue 2.745 B 4.06 % 2.638 B -6.17 % 2.811 B -32.13 % 4.142 B 29.92 % 3.188 B 15.44 % 2.762 B
Net income 444.711 M 9.65 % 405.561 M -11.69 % 459.241 M -51.17 % 940.570 M 77.04 % 531.286 M 5.59 % 503.153 M
Income before tax 478.836 M 11.02 % 431.306 M -17.40 % 522.171 M -53.33 % 1.119 B 84.06 % 607.881 M 4.07 % 584.100 M
Income before tax ratio 0.17 6.69 % 0.16 -11.97 % 0.19 -31.24 % 0.27 41.68 % 0.19 -9.85 % 0.21
EBITDA 566.743 M 8.37 % 522.990 M -13.87 % 607.225 M -49.06 % 1.192 B 79.70 % 663.316 M 4.10 % 637.220 M
Net income ratio 0.16 5.38 % 0.15 -5.88 % 0.16 -28.06 % 0.23 36.27 % 0.17 -8.53 % 0.18
Ratio EBITDA 0.21 4.14 % 0.20 -8.21 % 0.22 -24.94 % 0.29 38.32 % 0.21 -9.83 % 0.23
Gross profit ratio 0.42 -6.42 % 0.45 13.93 % 0.40 -15.76 % 0.47 26.52 % 0.37 -8.48 % 0.41
Weighted average shs out dil 99.831 M 1.92 % 97.946 M 2.71 % 95.360 M 1.25 % 94.179 M 11.12 % 84.751 M 2.54 % 82.650 M
Weighted average shs out 98.151 M 1.65 % 96.562 M 3.48 % 93.317 M 1.34 % 92.080 M 10.90 % 83.032 M 2.67 % 80.874 M
EPS diluted 4.45 7.49 % 4.14 -14.99 % 4.87 -51.25 % 9.99 59.33 % 6.27 2.96 % 6.09
Earnings per share 4.52 7.62 % 4.20 -15.49 % 4.97 -51.32 % 10.21 59.78 % 6.39 2.73 % 6.22
Gross profit 1.165 B -2.63 % 1.197 B 6.89 % 1.120 B -42.82 % 1.958 B 64.37 % 1.191 B 5.65 % 1.128 B
Income tax expense 77.061 M 32.61 % 58.110 M -35.63 % 90.272 M -54.21 % 197.154 M 97.38 % 99.883 M -3.79 % 103.817 M
Cost of revenue 1.579 B 9.61 % 1.441 B -14.82 % 1.692 B -22.54 % 2.184 B 9.36 % 1.997 B 22.20 % 1.634 B
General and administrative expenses 173.545 M 6.62 % 162.763 M 6.67 % 152.582 M -20.58 % 192.126 M 51.76 % 126.599 M 0.000
Selling and marketing expenses 192.705 M -5.00 % 202.858 M 3.37 % 196.242 M -8.80 % 215.182 M 27.09 % 169.321 M 0.000
Other expenses 0.000 0.000 0.000 0.000 0.000 0.000
Operating expenses 821.935 M 0.72 % 816.047 M 6.72 % 764.679 M -6.42 % 817.101 M 39.88 % 584.151 M 8.24 % 539.703 M
Cost and expenses 2.401 B 6.39 % 2.257 B -8.12 % 2.456 B -18.15 % 3.001 B 16.27 % 2.581 B 18.73 % 2.174 B
Research and development expenses 455.685 M 1.17 % 450.426 M 8.31 % 415.855 M 1.48 % 409.793 M 42.18 % 288.231 M 4.04 % 277.044 M
Selling general and administrative expenses 366.250 M 0.17 % 365.621 M 4.82 % 348.824 M -14.36 % 407.308 M 37.64 % 295.920 M 12.66 % 262.659 M
Interest income 49.786 M 23.57 % 40.289 M 129.58 % 17.549 M 135.02 % 7.467 M -32.20 % 11.013 M -63.07 % 29.824 M
Interest expense 5.047 M 159.49 % 1.945 M -59.32 % 4.781 M 402.73 % 951.000 K -37.64 % 1.525 M -30.33 % 2.189 M
Depreciation and amortization 82.860 M -7.67 % 89.739 M 11.79 % 80.273 M 11.24 % 72.160 M 33.85 % 53.910 M 5.85 % 50.931 M
Operating income 343.392 M -9.81 % 380.722 M -27.75 % 526.952 M -52.94 % 1.120 B 83.76 % 609.406 M 3.65 % 587.947 M
Operating income ratio 0.13 -13.32 % 0.14 -23.00 % 0.19 -30.67 % 0.27 41.44 % 0.19 -10.21 % 0.21
Total other income expenses net 135.444 M 167.76 % 50.584 M -69.75 % 167.245 M 855.23 % -22.145 M -3 179.97 % 719.000 K 118.69 % -3.847 M
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Net debt -354.479 M 27.92 % -491.814 M 68.38 % -1.555 B 14.48 % -1.819 B -50.70 % -1.207 B 0.000
Total investments 327.133 M 1 194.14 % 25.278 M -0.82 % 25.488 M 24.50 % 20.472 M 128.23 % 8.970 M 0.000
Total debt 9.582 M -87.04 % 73.945 M -80.08 % 371.119 M 1 237.41 % 27.749 M 22.55 % 22.643 M 0.000
Accumulated other comprehensive income loss 0.000 -100.00 % 675.639 M 0.000 0.000 0.000 0.000
Retained earnings 1.548 B 10.80 % 1.397 B 0.02 % 1.397 B -17.01 % 1.684 B 41.16 % 1.193 B 0.000
Common stock 989.889 M 0.69 % 983.141 M 5.77 % 929.546 M 1.55 % 915.383 M 1.13 % 905.115 M 0.000
Total equity 5.124 B 8.23 % 4.734 B 12.79 % 4.198 B -1.09 % 4.244 B 16.44 % 3.645 B 0.000
Other non current liabilities 23.401 M 9.41 % 21.388 M 22.52 % 17.457 M 12.78 % 15.479 M 6.81 % 14.492 M 84.38 % 7.860 M
Long term debt 2.563 M -62.95 % 6.917 M 23.52 % 5.600 M -52.63 % 11.823 M 151.02 % 4.710 M -71.20 % 16.356 M
Total non current liabilities 46.970 M 24.65 % 37.682 M 3.81 % 36.299 M 32.53 % 27.389 M 36.74 % 20.030 M 0.000
Other current liabilities 1.037 B 13.08 % 916.762 M 17.25 % 781.887 M -37.03 % 1.242 B 2 179.07 % 54.478 M -88.81 % 487.034 M
Deferred revenue 0.000 0.000 -100.00 % 342.945 M -52.46 % 721.336 M 106.23 % 349.774 M 0.000
Short term debt 7.019 M -89.53 % 67.028 M -81.66 % 365.519 M 2 195.11 % 15.926 M -11.19 % 17.933 M -19.08 % 22.162 M
Total current liabilities 1.531 B 6.76 % 1.435 B -2.22 % 1.467 B -29.06 % 2.068 B 138.12 % 868.456 M 0.000
Total liabilities 1.578 B 7.22 % 1.472 B -2.08 % 1.503 B -28.25 % 2.095 B 135.84 % 888.486 M 0.000
Other non current assets 2.916 B -5.07 % 3.072 B 177.77 % 1.106 B 21.36 % 911.319 M 10.00 % 828.471 M 1 160.71 % -78.105 M
Long term investments -1.791 B -3.00 % -1.739 B -1 001.20 % -157.925 M 61.00 % -404.945 M 46.34 % -754.681 M 0.000
Intangible assets 27.743 M -7.33 % 29.939 M -89.20 % 277.108 M -74.74 % 1.097 B 52.42 % 719.794 M 1 625.67 % 41.711 M
GoodWill 46.786 M 0.00 % 46.786 M 0.000 0.000 0.000 -100.00 % 36.394 M
Goodwill and intangible assets 74.529 M -2.86 % 76.725 M -9.37 % 84.653 M -11.37 % 95.509 M 13.65 % 84.035 M 7.59 % 78.105 M
Property plant equipment net 1.263 B -0.26 % 1.267 B -20.33 % 1.590 B -4.65 % 1.668 B 47.12 % 1.134 B 0.000
Total non current assets 2.670 B -6.51 % 2.856 B 2.48 % 2.787 B 12.79 % 2.471 B 84.30 % 1.341 B 1 616.68 % 78.105 M
Other current assets 507.065 M 605.25 % 71.899 M 36.42 % 52.704 M -88.19 % 446.215 M 1 747.30 % 24.155 M -43.78 % 42.965 M
Short term investments 2.118 B 20.07 % 1.764 B 861.96 % 183.413 M -56.89 % 425.417 M -44.29 % 763.651 M 0.000
cash and cash equivalents 364.061 M -35.65 % 565.759 M -70.63 % 1.926 B 4.34 % 1.846 B 50.18 % 1.229 B 0.000
Cash and short term investments 2.482 B 6.54 % 2.330 B 10.44 % 2.110 B -7.13 % 2.272 B 13.98 % 1.993 B 0.000
Total current assets 4.032 B 20.34 % 3.350 B 14.97 % 2.914 B -24.67 % 3.868 B 21.17 % 3.192 B 0.000
Inventory 370.140 M -6.56 % 396.142 M -16.47 % 474.243 M -3.22 % 490.033 M 4.29 % 469.856 M 0.000
Net receivables 672.067 M 21.74 % 552.073 M 99.23 % 277.108 M -74.74 % 1.097 B 52.42 % 719.794 M 6.23 % 677.583 M
Tax assets 207.340 M 15.30 % 179.821 M 9.48 % 164.246 M -18.51 % 201.546 M 307.47 % 49.463 M 0.000
Other assets 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 392.983 M 22.63 % 320.466 M 59.49 % 200.929 M -55.74 % 453.999 M 25.98 % 360.379 M 10.56 % 325.957 M
Tax payables 94.801 M -27.23 % 130.274 M 30.31 % 99.969 M -71.10 % 345.882 M 302.69 % 85.892 M 0.000
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000
Minority interest 125.578 M -23.33 % 163.783 M 21.85 % 134.413 M -13.46 % 155.327 M -11.67 % 175.850 M 0.000
Capital lease obligations 9.582 M -46.82 % 18.018 M -0.56 % 18.119 M -34.70 % 27.749 M 22.55 % 22.643 M -41.21 % 38.518 M
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 2.460 B 62.45 % 1.514 B 84.98 % 818.600 M 0.00 % 818.600 M -5.03 % 861.980 M 37.84 % 625.346 M
Deferred tax liabilities non current 21.006 M 124.02 % 9.377 M -29.19 % 13.242 M 15 120.69 % 87.000 K -89.49 % 828.000 K 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 0.000
Total assets 6.702 B 7.99 % 6.206 B 8.87 % 5.701 B -10.07 % 6.339 B 39.84 % 4.533 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 96.998 M -26.98 % 132.832 M 25.29 % 106.023 M 71.17 % 61.940 M -0.80 % 62.437 M 0.000
Change in working capital 119.716 M 245.19 % 34.681 M 126.66 % -130.075 M -123.88 % 544.696 M 473.84 % -145.702 M 0.000
Accounts receivables -88.307 M 69.75 % -291.929 M 0.000 0.000 0.000 0.000
Inventory 26.002 M -66.71 % 78.101 M 394.62 % 15.790 M 178.26 % -20.177 M 88.04 % -168.765 M 0.000
Accounts payables 57.700 M -54.56 % 126.991 M 0.000 0.000 0.000 0.000
Other working capital 124.321 M 2.31 % 121.518 M 0.000 0.000 0.000 0.000
Other non cash items -179.001 M -238.21 % -52.926 M -271.59 % -14.243 M -116.13 % -6.590 M 31.73 % -9.653 M 0.000
Net cash provided by operating activities 599.409 M -5.70 % 635.632 M 169.36 % 235.976 M -86.21 % 1.711 B 254.73 % 482.449 M 0.000
Investments in property plant and equipment -31.830 M -22.27 % -26.033 M -32.94 % -19.583 M 96.68 % -589.833 M 6.22 % -628.946 M 0.000
Acquisitions net 0.000 0.000 0.000 0.000 -100.00 % 69.169 M 0.000
Purchases of investments -468.281 M 70.38 % -1.581 B -14 859.20 % -10.567 M 0.000 100.00 % -391.149 M 0.000
Sales maturities of investments 0.000 100.00 % -538.000 K -100.22 % 243.864 M -27.27 % 335.280 M 534.72 % 52.823 M 0.000
Other investing activites -30.482 M 76.27 % -128.471 M 0.66 % -129.322 M 69.54 % -424.545 M -3 117.22 % -13.196 M 0.000
Net cash used for investing activites -530.593 M 69.43 % -1.736 B -2 156.81 % 84.392 M 112.43 % -679.062 M 25.48 % -911.299 M 0.000
Debt repayment -58.411 M 80.17 % -294.589 M -183.45 % 353.000 M 0.000 0.000 100.00 % -147.491 M
Common stock issued 35.343 M -89.54 % 337.787 M 345.51 % 75.820 M 15.58 % 65.598 M -91.12 % 738.855 M 1 382.72 % 49.831 M
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid -243.303 M 24.30 % -321.383 M 51.49 % -662.517 M -44.00 % -460.083 M -19.61 % -384.640 M 0.000
Other financing activites -10.380 M -158.08 % 17.871 M 221.49 % -14.710 M 20.69 % -18.547 M -102.54 % 728.926 M 3 723.97 % -20.114 M
Net cash used provided by financing activities -276.751 M -6.31 % -260.314 M -4.79 % -248.407 M 39.86 % -413.032 M -219.97 % 344.286 M 0.000
Effect of forex changes on cash 6.237 M 2 555.51 % -254.000 K -103.12 % 8.139 M 443.56 % -2.369 M 48.00 % -4.556 M 0.000
Net change in cash -201.698 M 85.18 % -1.361 B -1 798.77 % 80.100 M -87.02 % 616.950 M 792.27 % -89.120 M 0.000
Cash at beginning of period 565.759 M -70.63 % 1.926 B 4.34 % 1.846 B 50.18 % 1.229 B -6.76 % 1.319 B 0.000
Cash at end of period 364.061 M -35.65 % 565.759 M -70.63 % 1.926 B 4.34 % 1.846 B 50.18 % 1.229 B 0.000
Operating cash flow 599.409 M -5.70 % 635.632 M 169.36 % 235.976 M -86.21 % 1.711 B 254.73 % 482.449 M 0.000
Capital expenditure -57.845 M -23.01 % -47.026 M -140.14 % -19.583 M 96.68 % -589.833 M 6.22 % -628.946 M 0.000
Free CashFlow 541.564 M -7.99 % 588.606 M 172.01 % 216.393 M -80.71 % 1.122 B 865.60 % -146.497 M 0.000
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 612.123 M 5.15 % 582.157 M -15.85 % 691.771 M -11.87 % 784.934 M 12.54 % 697.477 M 22.26 % 570.502 M -5.62 % 604.456 M -10.26 % 673.575 M -10.83 % 755.412 M 25.01 % 604.265 M 56.31 % 386.578 M
Net income 57.753 M -3.07 % 59.584 M -51.32 % 122.387 M 15.23 % 106.211 M -10.06 % 118.085 M 20.46 % 98.028 M 210.48 % 31.573 M -72.76 % 115.908 M -28.77 % 162.726 M 70.65 % 95.354 M 247.46 % -64.664 M
Income before tax 56.541 M -12.82 % 64.858 M -56.47 % 148.983 M 41.84 % 105.035 M -10.95 % 117.946 M 10.36 % 106.872 M 2 308.11 % 4.438 M -96.88 % 142.138 M -22.57 % 183.572 M 81.47 % 101.158 M 198.04 % -103.182 M
Income before tax ratio 0.09 -17.09 % 0.11 -48.27 % 0.22 60.94 % 0.13 -20.87 % 0.17 -9.73 % 0.19 2 451.43 % 0.01 -96.52 % 0.21 -13.16 % 0.24 45.16 % 0.17 162.72 % -0.27
EBITDA 78.973 M -10.02 % 87.764 M -48.30 % 169.761 M 34.00 % 126.688 M 32.83 % 95.379 M -26.94 % 130.556 M 357.80 % 28.518 M -82.77 % 165.551 M -19.75 % 206.293 M 68.10 % 122.724 M 248.17 % -82.825 M
Net income ratio 0.09 -7.82 % 0.10 -42.15 % 0.18 30.75 % 0.14 -20.08 % 0.17 -1.47 % 0.17 228.96 % 0.05 -69.65 % 0.17 -20.12 % 0.22 36.51 % 0.16 194.34 % -0.17
Ratio EBITDA 0.13 -14.42 % 0.15 -38.57 % 0.25 52.05 % 0.16 18.03 % 0.14 -40.24 % 0.23 385.05 % 0.05 -80.80 % 0.25 -10.00 % 0.27 34.46 % 0.20 194.79 % -0.21
Gross profit ratio 0.43 12.87 % 0.38 -9.02 % 0.42 1.87 % 0.41 -3.08 % 0.43 -4.93 % 0.45 11.54 % 0.40 -7.03 % 0.43 -9.63 % 0.48 -5.01 % 0.50 545.95 % 0.08
Weighted average shs out dil 97.886 M -1.43 % 99.307 M -1.98 % 101.317 M 2.07 % 99.263 M 0.87 % 98.404 M -0.62 % 99.018 M 0.54 % 98.482 M 0.26 % 98.227 M -0.40 % 98.622 M 2.39 % 96.317 M 2.56 % 93.912 M
Weighted average shs out 97.886 M 0.21 % 97.679 M -0.64 % 98.310 M -0.03 % 98.344 M -0.06 % 98.404 M 0.38 % 98.028 M 0.73 % 97.318 M -0.09 % 97.402 M -0.64 % 98.028 M 2.80 % 95.354 M 1.54 % 93.912 M
EPS diluted 0.59 -1.67 % 0.60 -50.41 % 1.21 13.08 % 1.07 -10.83 % 1.20 21.21 % 0.99 209.38 % 0.32 -72.88 % 1.18 -28.48 % 1.65 66.67 % 0.99 243.48 % -0.69
Earnings per share 0.59 -3.28 % 0.61 -50.81 % 1.24 14.81 % 1.08 -10.00 % 1.20 20.00 % 1.00 212.50 % 0.32 -73.11 % 1.19 -28.31 % 1.66 66.00 % 1.00 244.93 % -0.69
Gross profit 263.842 M 18.68 % 222.311 M -23.43 % 290.351 M -10.22 % 323.392 M 9.07 % 296.488 M 16.23 % 255.096 M 5.27 % 242.321 M -16.57 % 290.452 M -19.42 % 360.453 M 18.75 % 303.543 M 909.69 % 30.063 M
Income tax expense 10.715 M -3.08 % 11.055 M -69.53 % 36.283 M 135.48 % 15.408 M 38.21 % 11.148 M -21.61 % 14.222 M 200.40 % -14.165 M -168.28 % 20.744 M -39.81 % 34.465 M 101.95 % 17.066 M 164.14 % -26.606 M
Cost of revenue 348.281 M -3.21 % 359.846 M -10.36 % 401.420 M -13.03 % 461.542 M 15.10 % 400.989 M 27.13 % 315.406 M -12.90 % 362.135 M -5.48 % 383.123 M -3.00 % 394.959 M 31.34 % 300.722 M -15.65 % 356.515 M
General and administrative expenses 30.226 M -8.71 % 33.111 M -21.15 % 41.994 M 6.51 % 39.426 M -23.98 % 51.862 M 28.81 % 40.263 M 14.35 % 35.210 M -15.95 % 41.894 M -8.92 % 45.998 M 15.98 % 39.661 M 0.000
Selling and marketing expenses 41.662 M -4.38 % 43.570 M -12.30 % 49.678 M 4.15 % 47.700 M -1.28 % 48.320 M 2.79 % 47.007 M -0.82 % 47.398 M -1.91 % 48.319 M -14.13 % 56.272 M 10.62 % 50.869 M 0.000
Other expenses 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Operating expenses 178.533 M -5.55 % 189.019 M -9.40 % 208.630 M 4.11 % 200.388 M -4.46 % 209.738 M 3.23 % 203.179 M 6.72 % 190.393 M -8.08 % 207.124 M -5.59 % 219.398 M 10.18 % 199.132 M 108.82 % 95.359 M
Cost and expenses 526.814 M -4.02 % 548.865 M -10.03 % 610.050 M -7.84 % 661.930 M 8.38 % 610.727 M 17.77 % 518.585 M -6.14 % 552.528 M -6.39 % 590.247 M -3.92 % 614.357 M 22.91 % 499.854 M 10.62 % 451.874 M
Research and development expenses 106.645 M -5.07 % 112.338 M -3.95 % 116.958 M 3.26 % 113.262 M 3.38 % 109.556 M -5.48 % 115.909 M 7.54 % 107.785 M -7.81 % 116.911 M -0.19 % 117.128 M 7.85 % 108.602 M 51.22 % 71.818 M
Selling general and administrative expenses 71.888 M -6.25 % 76.681 M -16.35 % 91.672 M 5.22 % 87.126 M -13.03 % 100.182 M 14.80 % 87.270 M 5.64 % 82.608 M -8.43 % 90.213 M -11.79 % 102.270 M 12.97 % 90.530 M 284.56 % 23.541 M
Interest income 9.963 M -28.18 % 13.873 M -1.21 % 14.043 M 26.81 % 11.074 M -14.33 % 12.927 M 10.09 % 11.742 M -4.96 % 12.355 M 23.74 % 9.985 M -0.02 % 9.987 M 25.43 % 7.962 M 0.71 % 7.906 M
Interest expense 56.000 K -59.42 % 138.000 K 40.82 % 98.000 K -27.94 % 136.000 K -94.06 % 2.290 M -9.24 % 2.523 M 557.03 % 384.000 K 129.94 % 167.000 K -6.70 % 179.000 K -85.27 % 1.215 M -17.01 % 1.464 M
Depreciation and amortization 22.376 M -1.72 % 22.768 M 10.10 % 20.680 M -3.89 % 21.517 M 5.79 % 20.339 M -7.55 % 21.999 M -4.68 % 23.080 M -2.15 % 23.588 M 3.82 % 22.720 M 11.64 % 20.351 M -1.00 % 20.556 M
Operating income 85.309 M 156.24 % 33.292 M -59.26 % 81.721 M -33.56 % 123.004 M 2.30 % 120.236 M 9.91 % 109.395 M 2 168.66 % 4.822 M -96.61 % 142.305 M -22.56 % 183.751 M 79.49 % 102.373 M 256.78 % -65.296 M
Operating income ratio 0.14 143.70 % 0.06 -51.59 % 0.12 -24.61 % 0.16 -9.10 % 0.17 -10.10 % 0.19 2 303.69 % 0.01 -96.22 % 0.21 -13.15 % 0.24 43.58 % 0.17 200.30 % -0.17
Total other income expenses net -28.768 M -191.14 % 31.566 M -53.07 % 67.262 M 474.32 % -17.969 M -684.67 % -2.290 M -104.17 % 54.955 M 215.72 % -47.490 M -180.75 % 58.810 M 38.32 % 42.517 M 1 407.01 % -3.253 M 91.41 % -37.886 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 -619.057 M -42.88 % -433.275 M -22.23 % -354.479 M -4.48 % -339.273 M 52.61 % -715.888 M -61.73 % -442.641 M 10.00 % -491.814 M -2.83 % -478.290 M 64.23 % -1.337 B 23.01 % -1.737 B -11.25 % -1.561 B
Total investments 332.247 M -90.28 % 3.418 B 944.83 % 327.133 M 213.72 % 104.275 M -14.87 % 122.493 M 29.33 % 94.713 M 274.69 % 25.278 M -12.92 % 29.029 M -12.06 % 33.010 M -7.08 % 35.526 M -87.25 % 278.645 M
Total debt 5.427 M -24.50 % 7.188 M -24.98 % 9.582 M -12.45 % 10.945 M -21.28 % 13.903 M -93.10 % 201.597 M 172.63 % 73.945 M 318.26 % 17.679 M 29.29 % 13.674 M -20.29 % 17.155 M -95.31 % 365.519 M
Accumulated other comprehensive income loss 0.000 0.000 0.000 0.000 -100.00 % 748.042 M 0.000 0.000 0.000 0.000 0.000 -100.00 % 917.876 M
Retained earnings 1.330 B 2.54 % 1.297 B -16.26 % 1.548 B 8.58 % 1.426 B 8.05 % 1.320 B 5.40 % 1.252 B -10.40 % 1.397 B 2.31 % 1.366 B 9.27 % 1.250 B 6.74 % 1.171 B -16.18 % 1.397 B
Common stock 992.538 M 0.27 % 989.838 M -0.01 % 989.889 M -0.01 % 989.960 M -0.01 % 990.010 M 0.30 % 987.010 M -0.58 % 992.728 M 0.57 % 987.055 M 0.42 % 982.886 M 0.31 % 979.826 M 5.41 % 929.546 M
Total equity 4.840 B -2.32 % 4.955 B -3.29 % 5.124 B 4.94 % 4.883 B 1.86 % 4.794 B 3.55 % 4.629 B -2.21 % 4.734 B 1.06 % 4.685 B 3.37 % 4.532 B 4.88 % 4.321 B 2.95 % 4.198 B
Other non current liabilities 21.601 M -8.69 % 23.656 M 1.09 % 23.401 M 3.04 % 22.711 M -2.10 % 23.197 M 1.19 % 22.924 M 7.18 % 21.388 M 2.83 % 20.800 M 3.42 % 20.113 M 16.18 % 17.312 M -0.83 % 17.457 M
Long term debt 1.629 M -17.39 % 1.972 M -23.06 % 2.563 M -16.65 % 3.075 M -20.85 % 3.885 M -28.37 % 5.424 M -21.58 % 6.917 M -10.64 % 7.741 M 31.96 % 5.866 M -21.79 % 7.500 M 33.93 % 5.600 M
Total non current liabilities 44.236 M -5.14 % 46.634 M -0.72 % 46.970 M 33.58 % 35.163 M -3.55 % 36.459 M -3.36 % 37.725 M 0.11 % 37.682 M -9.81 % 41.783 M 6.53 % 39.221 M 3.07 % 38.054 M 4.83 % 36.299 M
Other current liabilities 1.005 B -24.57 % 1.333 B 28.59 % 1.037 B 9.06 % 950.564 M -4.57 % 996.035 M -5.71 % 1.056 B 18.95 % 888.056 M 11.07 % 799.532 M -30.38 % 1.148 B 17.05 % 981.081 M 11.25 % 881.856 M
Deferred revenue 0.000 0.000 0.000 0.000 -100.00 % 5.855 M -99.02 % 597.684 M 67.56 % 356.693 M 6.96 % 333.488 M -53.02 % 709.867 M 9.88 % 646.044 M 6 756.76 % 9.422 M
Short term debt 3.798 M -27.19 % 5.216 M -25.69 % 7.019 M -10.81 % 7.870 M -21.44 % 10.018 M -94.89 % 196.173 M 192.67 % 67.028 M 574.46 % 9.938 M 27.28 % 7.808 M -19.13 % 9.655 M -97.36 % 365.519 M
Total current liabilities 1.427 B -18.63 % 1.753 B 14.50 % 1.531 B 8.02 % 1.418 B -5.72 % 1.504 B -11.01 % 1.690 B 17.81 % 1.435 B 9.21 % 1.314 B -21.97 % 1.683 B 19.77 % 1.406 B -4.20 % 1.467 B
Total liabilities 1.471 B -18.28 % 1.800 B 14.04 % 1.578 B 8.64 % 1.453 B -5.67 % 1.540 B -10.84 % 1.728 B 17.36 % 1.472 B 8.63 % 1.355 B -21.32 % 1.723 B 19.33 % 1.444 B -3.98 % 1.503 B
Other non current assets 994.057 M 269.28 % 269.187 M -90.77 % 2.916 B 6.99 % 2.726 B 7.18 % 2.543 B -8.21 % 2.771 B -9.81 % 3.072 B 35.46 % 2.268 B 25.53 % 1.807 B 59.11 % 1.135 B 40.40 % 808.735 M
Long term investments 0.000 -100.00 % 820.614 M 145.81 % -1.791 B 0.35 % -1.797 B -15.91 % -1.551 B 16.85 % -1.865 B -7.24 % -1.739 B -4.24 % -1.668 B -102.58 % -823.566 M -332.92 % -190.234 M -291.93 % 99.115 M
Intangible assets 401.744 M 1 335.21 % 27.992 M 0.90 % 27.743 M -8.43 % 30.298 M -19.04 % 37.424 M -92.01 % 468.646 M -15.11 % 552.073 M 2.92 % 536.425 M -27.14 % 736.243 M 43.67 % 512.455 M 1 253.30 % 37.867 M
GoodWill 0.000 -100.00 % 46.786 M 0.00 % 46.786 M 0.00 % 46.786 M 0.00 % 46.786 M 0.000 0.000 0.000 0.000 0.000 -100.00 % 46.786 M
Goodwill and intangible assets 75.773 M 1.33 % 74.778 M 0.33 % 74.529 M -3.31 % 77.084 M -8.46 % 84.210 M 16.66 % 72.186 M -5.92 % 76.725 M -8.18 % 83.562 M -8.28 % 91.105 M 10.69 % 82.305 M -2.77 % 84.653 M
Property plant equipment net 1.248 B -0.55 % 1.255 B -0.66 % 1.263 B 1.09 % 1.250 B -0.72 % 1.259 B -0.01 % 1.259 B -0.61 % 1.267 B -18.23 % 1.549 B -0.14 % 1.551 B -2.09 % 1.585 B -2.81 % 1.630 B
Total non current assets 2.525 B -3.87 % 2.627 B -1.63 % 2.670 B 9.67 % 2.435 B -3.19 % 2.515 B 4.09 % 2.417 B -15.39 % 2.856 B 19.18 % 2.397 B -14.10 % 2.790 B 0.49 % 2.776 B -0.39 % 2.787 B
Other current assets 168.856 M 0.19 % 168.544 M -66.76 % 507.065 M 4.02 % 487.488 M 6.82 % 456.344 M -9.14 % 502.269 M 598.58 % 71.899 M -84.87 % 475.117 M -48.82 % 928.392 M 221.62 % 288.660 M 447.70 % 52.704 M
Short term investments 2.229 B -14.19 % 2.597 B 22.61 % 2.118 B 11.39 % 1.902 B 13.66 % 1.673 B -14.62 % 1.960 B 11.07 % 1.764 B 3.95 % 1.697 B 98.16 % 856.576 M 279.42 % 225.760 M 25.75 % 179.530 M
cash and cash equivalents 624.484 M 41.78 % 440.463 M 20.99 % 364.061 M 3.95 % 350.218 M -52.01 % 729.791 M 13.28 % 644.238 M 13.87 % 565.759 M 14.07 % 495.969 M -63.28 % 1.351 B -22.98 % 1.754 B -8.96 % 1.926 B
Cash and short term investments 2.853 B -6.92 % 3.065 B 23.48 % 2.482 B 10.23 % 2.252 B -6.29 % 2.403 B -7.71 % 2.604 B 11.75 % 2.330 B 6.23 % 2.193 B -0.63 % 2.207 B 11.51 % 1.980 B -6.01 % 2.106 B
Total current assets 3.786 B -8.30 % 4.128 B 2.40 % 4.032 B 3.36 % 3.901 B 2.15 % 3.819 B -3.09 % 3.941 B 17.62 % 3.350 B -8.05 % 3.644 B 5.15 % 3.465 B 15.94 % 2.989 B 2.56 % 2.914 B
Inventory 362.033 M 1.57 % 356.435 M -3.70 % 370.140 M -2.48 % 379.538 M -2.72 % 390.160 M 6.69 % 365.703 M -7.68 % 396.142 M -9.70 % 438.700 M -4.43 % 459.023 M 3.56 % 443.240 M -6.54 % 474.243 M
Net receivables 401.744 M -25.33 % 538.051 M -19.94 % 672.067 M -14.01 % 781.527 M 37.34 % 569.066 M 21.43 % 468.646 M -15.11 % 552.073 M 2.92 % 536.425 M -27.14 % 736.243 M 43.67 % 512.455 M 78.60 % 286.927 M
Tax assets 207.340 M 0.00 % 207.340 M 0.00 % 207.340 M 15.30 % 179.821 M 0.00 % 179.821 M 0.00 % 179.821 M 0.00 % 179.821 M 9.48 % 164.246 M 0.00 % 164.246 M 0.00 % 164.246 M 0.00 % 164.246 M
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 325.996 M 5.38 % 309.360 M -21.28 % 392.983 M -4.78 % 412.725 M 1.63 % 406.124 M 51.60 % 267.885 M -16.41 % 320.466 M -11.90 % 363.738 M -8.74 % 398.553 M 42.33 % 280.016 M 39.36 % 200.929 M
Tax payables 91.489 M -13.56 % 105.847 M 11.65 % 94.801 M 103.19 % 46.657 M -45.67 % 85.877 M -40.57 % 144.496 M 10.92 % 130.274 M 2.86 % 126.651 M 19.59 % 105.907 M -9.51 % 117.034 M 0.000
Deferred revenue non current 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Minority interest 99.409 M -17.69 % 120.779 M -3.82 % 125.578 M -5.31 % 132.622 M -12.21 % 151.068 M -6.36 % 161.328 M -1.50 % 163.783 M -9.14 % 180.258 M 4.63 % 172.275 M 40.52 % 122.596 M -8.79 % 134.413 M
Capital lease obligations 5.427 M -24.50 % 7.188 M -24.98 % 9.582 M -12.45 % 10.945 M -21.28 % 13.903 M -15.27 % 16.409 M -8.93 % 18.018 M 1.92 % 17.679 M 29.29 % 13.674 M -20.29 % 17.155 M -5.32 % 18.119 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 2.419 B -5.07 % 2.548 B 3.58 % 2.460 B 5.39 % 2.334 B 47.29 % 1.585 B 2.60 % 1.545 B 2.00 % 1.514 B 0.55 % 1.506 B 39.06 % 1.083 B 0.02 % 1.083 B 32.28 % 818.600 M
Deferred tax liabilities non current 21.006 M 0.00 % 21.006 M 0.00 % 21.006 M 124.02 % 9.377 M 0.00 % 9.377 M 0.00 % 9.377 M 0.00 % 9.377 M -29.19 % 13.242 M 0.00 % 13.242 M 0.00 % 13.242 M 0.00 % 13.242 M
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 6.311 B -6.57 % 6.755 B 0.79 % 6.702 B 5.79 % 6.336 B 0.03 % 6.334 B -0.36 % 6.357 B 2.43 % 6.206 B 2.75 % 6.040 B -3.43 % 6.255 B 8.50 % 5.765 B 1.12 % 5.701 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
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
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 20.387 M -9.34 % 22.488 M 0.00 % 22.488 M 16.01 % 19.384 M 76.33 % 10.993 M -59.10 % 26.875 M 7.62 % 24.971 M -17.00 % 30.084 M -6.07 % 32.028 M -29.99 % 45.749 M 0.000
Change in working capital -174.762 M -438.42 % 51.640 M -75.72 % 212.702 M 6 272.14 % 3.338 M 104.93 % -67.721 M -3 623.47 % 1.922 M -97.31 % 71.439 M -47.42 % 135.876 M 121.62 % 61.311 M 126.21 % -233.945 M 0.000
Accounts receivables 118.818 M -8.55 % 129.927 M -4.07 % 135.441 M 158.43 % -231.783 M -117.64 % -106.496 M 0.000 0.000 0.000 0.000 0.000 0.000
Inventory -5.598 M -140.85 % 13.705 M 45.83 % 9.398 M -11.52 % 10.622 M 143.43 % -24.457 M -180.35 % 30.439 M -28.48 % 42.558 M 109.41 % 20.323 M 228.77 % -15.783 M -150.91 % 31.003 M 0.000
Accounts payables 0.000 0.000 0.000 0.000 -100.00 % 141.483 M 0.000 0.000 0.000 0.000 0.000 0.000
Other working capital -287.982 M -213.05 % -91.992 M -235.56 % 67.863 M -69.77 % 224.499 M 386.90 % -78.251 M 0.000 0.000 0.000 0.000 0.000 0.000
Other non cash items 17.086 M -68.75 % 54.669 M 169.03 % -79.196 M -534.74 % -12.477 M 73.55 % -47.171 M -411.67 % -9.219 M 22.99 % -11.971 M -21.93 % -9.818 M -0.10 % -9.808 M -42.45 % -6.885 M 0.000
Net cash provided by operating activities -58.372 M -126.97 % 216.423 M -33.54 % 325.657 M 138.06 % 136.797 M 288.37 % 35.223 M -65.38 % 101.732 M -40.18 % 170.066 M -44.33 % 305.479 M 35.43 % 225.554 M 444.53 % -65.467 M 0.000
Investments in property plant and equipment -1.134 M -137.24 % -478.000 K 97.79 % -21.628 M -5 532.29 % -384.000 K 95.71 % -8.959 M -172.48 % -3.288 M -158.08 % -1.274 M 42.51 % -2.216 M 94.18 % -38.090 M -599.41 % -5.446 M 0.000
Acquisitions net 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Purchases of investments 240.767 M 148.23 % -499.187 M -55.03 % -322.003 M -120.13 % -146.278 M -182.26 % 177.827 M 200.00 % -177.827 M -150.47 % -70.996 M 91.50 % -835.196 M -34.45 % -621.204 M -1 064.55 % -53.343 M 0.000
Sales maturities of investments 128.215 M 2 730.98 % 4.529 M 0.000 0.000 0.000 0.000 100.00 % -538.000 K 0.000 0.000 0.000 -100.00 % 8.720 M
Other investing activites -2.007 M -100.56 % 356.204 M 1 046.83 % 31.060 M 125.48 % -121.889 M -275.78 % 69.340 M 1 156.37 % -6.564 M 93.00 % -93.825 M -1 536.58 % -5.733 M -688.58 % -727.000 K 89.89 % -7.193 M 0.000
Net cash used for investing activites 365.841 M 363.32 % -138.932 M 55.55 % -312.571 M -16.39 % -268.551 M -212.74 % 238.208 M 226.92 % -187.679 M -12.63 % -166.633 M 80.24 % -843.145 M -27.75 % -660.021 M -900.30 % -65.982 M 0.000
Debt repayment 0.000 100.00 % -2.394 M 0.08 % -2.396 M 12.55 % -2.740 M 98.53 % -186.136 M -245.73 % 127.725 M 118.67 % 58.411 M 1 864.15 % -3.311 M 0.000 100.00 % -353.000 M 0.000
Common stock issued 0.000 0.000 0.000 0.000 0.000 -100.00 % 35.343 M 151.87 % 14.032 M 219.71 % 4.389 M 47.53 % 2.975 M -99.06 % 316.391 M 7 292.31 % 4.280 M
Common stock repurchased 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dividends paid 0.000 0.000 0.000 100.00 % -243.303 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Other financing activites -2.331 M 0.000 -100.00 % 122.000 K 0.000 100.00 % -3.070 M -33.71 % -2.296 M -37.82 % -1.666 M 0.000 -100.00 % 29.734 M 860.27 % -3.911 M -59.05 % -2.459 M
Net cash used provided by financing activities -112.618 M -4 604.18 % -2.394 M -5.28 % -2.274 M 99.08 % -246.043 M -30.04 % -189.206 M -217.69 % 160.772 M 127.15 % 70.777 M 122.10 % -320.305 M -1 177.23 % 29.734 M 173.38 % -40.520 M 0.000
Effect of forex changes on cash -10.830 M -929.89 % 1.305 M -56.94 % 3.031 M 270.66 % -1.776 M -233.73 % 1.328 M -63.66 % 3.654 M 182.67 % -4.420 M -238.25 % 3.197 M 87.51 % 1.705 M 331.66 % -736.000 K 0.000
Net change in cash 184.021 M 140.86 % 76.402 M 451.92 % 13.843 M 103.65 % -379.573 M -543.67 % 85.553 M 9.01 % 78.479 M 12.45 % 69.790 M 108.16 % -854.774 M -112.09 % -403.028 M -133.36 % -172.705 M 0.000
Cash at beginning of period 440.463 M 20.99 % 364.061 M 3.95 % 350.218 M -52.01 % 729.791 M 13.28 % 644.238 M 13.87 % 565.759 M 14.07 % 495.969 M -63.28 % 1.351 B -22.98 % 1.754 B -8.96 % 1.926 B 0.000
Cash at end of period 624.484 M 41.78 % 440.463 M 20.99 % 364.061 M 3.95 % 350.218 M -52.01 % 729.791 M 13.28 % 644.238 M 13.87 % 565.759 M 14.07 % 495.969 M -63.28 % 1.351 B -22.98 % 1.754 B 0.000
Operating cash flow -58.372 M -126.97 % 216.423 M -33.54 % 325.657 M 138.06 % 136.797 M 288.37 % 35.223 M -65.38 % 101.732 M -40.18 % 170.066 M -44.33 % 305.479 M 35.43 % 225.554 M 444.53 % -65.467 M 0.000
Capital expenditure -10.923 M -12.21 % -9.734 M 63.43 % -26.619 M -6 222.80 % -421.000 K 98.47 % -27.517 M -736.89 % -3.288 M -158.08 % -1.274 M 42.51 % -2.216 M 94.18 % -38.090 M -599.41 % -5.446 M 0.000
Free CashFlow -69.295 M -133.53 % 206.689 M -30.88 % 299.038 M 119.27 % 136.376 M 1 669.74 % 7.706 M -92.17 % 98.444 M -41.68 % 168.792 M -44.34 % 303.263 M 61.77 % 187.464 M 364.36 % -70.913 M 0.000
2025 2025 2024 2024 2024 2024 2023 2023 2023 2023 2022
Date Form 10K
2024
2023
2022
2021
2020
2019