6741.TWO

91App, Inc. 6741.TWO

Finances

2024 2023 2022 2021 2020 2019
Revenue 1.619 B 16.56 % 1.389 B 10.00 % 1.263 B 14.71 % 1.101 B 25.79 % 875.213 M 30.78 % 669.222 M
Net income 497.810 M 25.00 % 398.235 M 17.86 % 337.883 M 13.23 % 298.409 M 44.71 % 206.205 M 100.08 % 103.059 M
Income before tax 615.526 M 18.87 % 517.808 M 21.45 % 426.356 M 14.02 % 373.945 M 47.07 % 254.270 M 98.20 % 128.290 M
Income before tax ratio 0.38 1.98 % 0.37 10.41 % 0.34 -0.60 % 0.34 16.91 % 0.29 51.55 % 0.19
EBITDA 655.209 M 13.85 % 575.519 M 24.09 % 463.794 M 16.77 % 397.177 M 44.54 % 274.785 M 84.72 % 148.760 M
Net income ratio 0.31 7.25 % 0.29 7.14 % 0.27 -1.29 % 0.27 15.05 % 0.24 52.99 % 0.15
Ratio EBITDA 0.40 -2.33 % 0.41 12.81 % 0.37 1.80 % 0.36 14.91 % 0.31 41.24 % 0.22
Gross profit ratio 0.74 -0.76 % 0.75 -0.17 % 0.75 -0.45 % 0.75 3.82 % 0.73 11.78 % 0.65
Weighted average shs out dil 118.289 M 0.07 % 118.211 M -0.94 % 119.328 M 3.32 % 115.495 M 6.98 % 107.961 M 0.00 % 107.961 M
Weighted average shs out 118.078 M -0.08 % 118.171 M -0.87 % 119.211 M 3.27 % 115.439 M 7.49 % 107.398 M 0.00 % 107.398 M
EPS diluted 4.20 24.63 % 3.37 19.08 % 2.83 9.69 % 2.58 35.08 % 1.91 101.05 % 0.95
Earnings per share 4.20 24.63 % 3.37 19.08 % 2.83 9.69 % 2.58 34.38 % 1.92 100.00 % 0.96
Gross profit 1.205 B 15.68 % 1.041 B 9.81 % 948.334 M 14.20 % 830.446 M 30.60 % 635.889 M 46.18 % 434.994 M
Income tax expense 118.172 M -0.86 % 119.200 M 35.98 % 87.661 M 16.41 % 75.303 M 60.05 % 47.049 M 80.31 % 26.093 M
Cost of revenue 414.566 M 19.20 % 347.778 M 10.58 % 314.506 M 16.28 % 270.480 M 13.02 % 239.324 M 2.18 % 234.228 M
General and administrative expenses 248.589 M 3.90 % 239.268 M 19.76 % 199.795 M 19.34 % 167.421 M 35.52 % 123.538 M 0.000
Selling and marketing expenses 271.448 M 14.80 % 236.456 M 11.19 % 212.650 M 20.99 % 175.760 M -1.81 % 178.997 M 0.000
Other expenses 0.000 0.000 100.00 % -2.573 M 0.000 -100.00 % 806.000 K -99.30 % 114.948 M
Operating expenses 675.572 M 9.31 % 618.030 M 14.93 % 537.736 M 16.33 % 462.234 M 17.89 % 392.084 M 241.10 % 114.948 M
Cost and expenses 1.090 B 12.87 % 965.808 M 13.33 % 852.242 M 16.31 % 732.714 M 16.04 % 631.408 M 449.30 % 114.948 M
Research and development expenses 155.535 M 9.37 % 142.205 M 13.50 % 125.291 M 5.24 % 119.053 M 32.95 % 89.549 M 23.53 % 72.494 M
Selling general and administrative expenses 520.037 M 9.31 % 475.724 M 15.34 % 412.445 M 20.18 % 343.181 M 13.44 % 302.535 M 22.21 % 247.552 M
Interest income 88.771 M -12.85 % 101.862 M 229.38 % 30.925 M 581.17 % 4.540 M -46.93 % 8.555 M -40.52 % 14.382 M
Interest expense 751.000 K 72.25 % 436.000 K -2.90 % 449.000 K 54.83 % 290.000 K -55.52 % 652.000 K 70.23 % 383.000 K
Depreciation and amortization 38.932 M -0.48 % 39.121 M 5.87 % 36.951 M 62.20 % 22.781 M 15.13 % 19.787 M -1.49 % 20.087 M
Operating income 529.065 M 24.97 % 423.359 M -0.82 % 426.843 M 14.01 % 374.396 M 46.82 % 254.998 M 121.84 % 114.948 M
Operating income ratio 0.33 7.21 % 0.30 -9.84 % 0.34 -0.61 % 0.34 16.72 % 0.29 69.63 % 0.17
Total other income expenses net 86.461 M -8.46 % 94.449 M 19 494.05 % -487.000 K -7.98 % -451.000 K 38.05 % -728.000 K -105.46 % 13.342 M
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Net debt -1.585 B -7.52 % -1.475 B 39.25 % -2.427 B -291.52 % -619.998 M 18.01 % -756.216 M -201.98 % -250.416 M
Total investments 754.691 M 33.84 % 563.893 M 131.71 % 243.364 M 30.17 % 186.959 M 105.82 % 90.834 M -89.70 % 881.893 M
Total debt 45.482 M 75.85 % 25.864 M -34.58 % 39.536 M 64.78 % 23.993 M 109.00 % 11.480 M 0.12 % 11.466 M
Accumulated other comprehensive income loss 0.000 0.000 -100.00 % 1.348 B 12.68 % 1.197 B 25 683.65 % 4.641 M -74.08 % 17.903 M
Retained earnings 1.487 B 30.45 % 1.140 B 32.85 % 857.741 M 41.17 % 607.576 M 96.52 % 309.167 M 200.27 % 102.962 M
Common stock 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 12.50 % 535.900 M 0.00 % 535.900 M
Total equity 3.254 B 15.67 % 2.814 B 12.12 % 2.510 B 4.05 % 2.412 B 182.27 % 854.494 M 29.32 % 660.760 M
Other non current liabilities 0.000 -100.00 % 511.000 K 0.000 -100.00 % 100.000 K 0.000 -100.00 % 200.000 K
Long term debt 29.482 M 405.52 % 5.832 M -68.34 % 18.419 M 60.33 % 11.488 M 211.92 % 3.683 M 32.20 % 2.786 M
Total non current liabilities 47.131 M 181.82 % 16.724 M -39.54 % 27.659 M 43.74 % 19.243 M 119.27 % 8.776 M 4 288.00 % 200.000 K
Other current liabilities 644.228 M -46.04 % 1.194 B -3.01 % 1.231 B -24.03 % 1.620 B 89.08 % 856.897 M 682.86 % 109.457 M
Deferred revenue 0.000 -100.00 % 116.871 M 28.76 % 90.767 M 32.99 % 68.252 M 26.86 % 53.803 M 27.26 % 42.277 M
Short term debt 32.000 M 59.74 % 20.032 M -5.14 % 21.117 M 68.87 % 12.505 M 127.18 % -46.006 M 92.96 % -653.553 M
Total current liabilities 1.724 B 22.32 % 1.409 B 0.21 % 1.406 B -20.13 % 1.761 B 84.17 % 955.983 M 22.50 % 780.370 M
Total liabilities 1.771 B 24.19 % 1.426 B -0.56 % 1.434 B -19.44 % 1.780 B 84.49 % 964.759 M 482 279.50 % 200.000 K
Other non current assets 2.081 B 109.83 % 991.633 M 26.85 % 781.735 M -73.64 % 2.965 B 358.58 % 646.596 M 1 093.48 % -65.084 M
Long term investments -1.317 B -212.77 % -421.207 M 20.69 % -531.090 M 80.46 % -2.717 B -392.33 % -551.958 M -1 678.47 % 34.968 M
Intangible assets 3.308 M 27.23 % 2.600 M -13.33 % 3.000 M 0.000 0.000 -100.00 % 33.000 K
GoodWill 3.516 M 6.77 % 3.293 M -0.03 % 3.294 M 10.95 % 2.969 M -2.82 % 3.055 M -54.09 % 6.655 M
Goodwill and intangible assets 6.824 M 15.80 % 5.893 M -6.37 % 6.294 M 111.99 % 2.969 M -2.82 % 3.055 M -54.32 % 6.688 M
Property plant equipment net 59.553 M 31.46 % 45.302 M -34.44 % 69.099 M 42.71 % 48.420 M 79.27 % 27.009 M -7.56 % 29.218 M
Total non current assets 832.430 M 33.13 % 625.286 M 88.70 % 331.357 M 10.17 % 300.771 M 136.67 % 127.086 M 385 009.09 % 33.000 K
Other current assets 22.323 M -97.87 % 1.048 B -1.83 % 1.068 B -35.08 % 1.644 B 23 312.12 % 7.024 M -24.25 % 9.272 M
Short term investments 2.072 B 110.34 % 985.100 M 27.20 % 774.454 M -73.34 % 2.904 B 351.84 % 642.792 M -24.10 % 846.925 M
cash and cash equivalents 1.631 B 8.69 % 1.500 B -39.18 % 2.467 B 283.07 % 643.991 M -16.11 % 767.696 M 193.15 % 261.882 M
Cash and short term investments 3.703 B 47.71 % 2.507 B -22.66 % 3.241 B -8.65 % 3.548 B 151.57 % 1.410 B 27.21 % 1.109 B
Total current assets 4.193 B 16.01 % 3.614 B 0.06 % 3.612 B -7.17 % 3.891 B 129.95 % 1.692 B 23.42 % 1.371 B
Inventory 0.000 100.00 % -21.400 M 0.000 0.000 0.000 0.000
Net receivables 467.499 M 25.45 % 372.658 M 386.39 % 76.617 M 40.55 % 54.511 M 0.000 -100.00 % 253.036 M
Tax assets 2.727 M -25.59 % 3.665 M -31.10 % 5.319 M 220.81 % 1.658 M -30.45 % 2.384 M 165.48 % 898.000 K
Other assets 0.000 0.000 0.000 0.000 0.000 -100.00 % 75.666 M
Account payables 956.090 M 255 539.04 % 374.000 K 0.000 0.000 0.000 -100.00 % 598.747 M
Tax payables 91.329 M 17.00 % 78.056 M 22.86 % 63.530 M 6.45 % 59.681 M 59.21 % 37.486 M 76.75 % 21.209 M
Deferred revenue non current 16.946 M 63.24 % 10.381 M 12.35 % 9.240 M 20.71 % 7.655 M 50.30 % 5.093 M 88.77 % 2.698 M
Minority interest 6.602 M 0.33 % 6.580 M 5.69 % 6.226 M 28.29 % 4.853 M 1.40 % 4.786 M 19.80 % 3.995 M
Capital lease obligations 45.482 M 76.00 % 25.842 M -34.42 % 39.408 M 64.84 % 23.907 M 108.25 % 11.480 M 0.12 % 11.466 M
Preferred stock 0.000 0.000 0.000 0.000 0.000 0.000
Other total stockholders equity 1.158 B 8.80 % 1.065 B 19.91 % 887.901 M -25.80 % 1.197 B 25 683.65 % 4.641 M 3.62 % 4.479 M
Deferred tax liabilities non current 703.000 K 0.000 0.000 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000 0.000 100.00 % -780.370 M
Total assets 5.025 B 18.53 % 4.240 B 7.51 % 3.943 B -5.93 % 4.192 B 130.42 % 1.819 B 25.74 % 1.447 B
2024 2023 2022 2021 2020 2019
2024 2023 2022 2021 2020 2019
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 365.000 K -67.56 % 1.125 M -49.46 % 2.226 M -74.22 % 8.633 M 86.30 % 4.634 M 0.000
Change in working capital -95.447 M -501.34 % 23.782 M -87.59 % 191.616 M 130.58 % -626.664 M -540.30 % 142.327 M 144.70 % -318.416 M
Accounts receivables -92.925 M -594.56 % -13.379 M 31.34 % -19.486 M 65.45 % -56.401 M -135.39 % -23.961 M 40.96 % -40.586 M
Inventory 0.000 0.000 0.000 0.000 0.000 0.000
Accounts payables -22.000 K 79.25 % -106.000 K 0.000 0.000 -100.00 % 151.598 M 153.61 % -282.788 M
Other working capital -2.500 M -106.71 % 37.267 M -82.35 % 211.102 M 137.02 % -570.263 M -4 035.56 % 14.490 M 192.25 % 4.958 M
Other non cash items -80.709 M -6.09 % -76.078 M -149.63 % -30.476 M -642.05 % -4.107 M 48.21 % -7.930 M -102.03 % 391.321 M
Net cash provided by operating activities 478.667 M -5.36 % 505.758 M -12.96 % 581.032 M 316.24 % -268.695 M -170.28 % 382.300 M 328.24 % -167.497 M
Investments in property plant and equipment -7.986 M -71.82 % -4.648 M 79.32 % -22.471 M -11.96 % -20.071 M -214.30 % -6.386 M 26.54 % -8.693 M
Acquisitions net 0.000 0.000 -100.00 % 20.000 K 100.02 % -106.120 M -125.81 % -46.995 M -41.74 % -33.156 M
Purchases of investments -2.635 B -91.76 % -1.374 B -2.23 % -1.344 B 40.07 % -2.243 B 1.50 % -2.277 B -6 530.03 % -34.350 M
Sales maturities of investments 2.388 B 19 797.78 % 12.000 M -99.58 % 2.892 B 127.13 % 1.273 B -48.70 % 2.482 B 0.000
Other investing activites -4.084 M -203.79 % 3.935 M 218.20 % -3.329 M -1 017.11 % -298.000 K -538.24 % 68.000 K 100.01 % -505.712 M
Net cash used for investing activites -259.737 M 80.94 % -1.363 B -189.37 % 1.525 B 239.40 % -1.094 B -820.19 % 151.907 M 127.74 % -547.548 M
Debt repayment -23.855 M 0.000 100.00 % -21.430 M 0.000 100.00 % -11.211 M 0.000
Common stock issued 0.000 0.000 0.000 -100.00 % 1.270 B 0.000 0.000
Common stock repurchased 0.000 0.000 100.00 % -335.477 M 0.000 0.000 0.000
Dividends paid -112.174 M -35.71 % -82.655 M -42.81 % -57.877 M 0.000 0.000 0.000
Other financing activites -511.000 K 97.77 % -22.896 M -22 796.00 % -100.000 K -100.01 % 1.257 B 628 585.50 % -200.000 K 98.01 % -10.061 M
Net cash used provided by financing activities -136.540 M -29.36 % -105.551 M 74.56 % -414.884 M -133.01 % 1.257 B 11 115.43 % -11.411 M -13.42 % -10.061 M
Effect of forex changes on cash 48.062 M 1 400.38 % -3.696 M -102.81 % 131.704 M 832.99 % -17.968 M -5.81 % -16.982 M 0.000
Net change in cash 130.452 M 113.50 % -966.545 M -153.02 % 1.823 B 1 573.63 % -123.705 M -124.46 % 505.814 M 168.91 % -734.019 M
Cash at beginning of period 1.500 B -39.18 % 2.467 B 283.07 % 643.991 M -16.11 % 767.696 M 193.15 % 261.882 M -73.70 % 995.901 M
Cash at end of period 1.631 B 8.69 % 1.500 B -39.18 % 2.467 B 283.07 % 643.991 M -16.11 % 767.696 M 193.15 % 261.882 M
Operating cash flow 478.667 M -5.36 % 505.758 M -12.96 % 581.032 M 316.24 % -268.695 M -170.28 % 382.300 M 328.24 % -167.497 M
Capital expenditure -10.434 M -91.52 % -5.448 M 75.76 % -22.471 M -11.96 % -20.071 M -214.30 % -6.386 M 26.54 % -8.693 M
Free CashFlow 468.233 M -6.41 % 500.310 M -10.43 % 558.561 M 293.43 % -288.766 M -176.82 % 375.914 M 313.36 % -176.190 M
2024 2023 2022 2021 2020 2019
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
Revenue 422.584 M 2.60 % 411.893 M -14.39 % 481.147 M 26.20 % 381.258 M -0.84 % 384.481 M 3.27 % 372.317 M -10.73 % 417.069 M 28.89 % 323.573 M -0.41 % 324.902 M 0.40 % 323.623 M -16.57 % 387.880 M 30.67 % 296.847 M
Net income 93.897 M -29.96 % 134.055 M -13.84 % 155.585 M 49.21 % 104.273 M -11.57 % 117.919 M -1.76 % 120.033 M 9.98 % 109.138 M -4.37 % 114.123 M 15.37 % 98.916 M 30.05 % 76.058 M -36.15 % 119.111 M 49.52 % 79.662 M
Income before tax 129.294 M -21.67 % 165.057 M -16.46 % 197.568 M 53.88 % 128.388 M -9.58 % 141.996 M -3.78 % 147.574 M 3.76 % 142.220 M 3.55 % 137.348 M 1.78 % 134.946 M 30.64 % 103.294 M -30.26 % 148.114 M 46.44 % 101.143 M
Income before tax ratio 0.31 -23.65 % 0.40 -2.41 % 0.41 21.94 % 0.34 -8.82 % 0.37 -6.82 % 0.40 16.24 % 0.34 -19.67 % 0.42 2.20 % 0.42 30.13 % 0.32 -16.41 % 0.38 12.07 % 0.34
EBITDA 137.595 M -20.76 % 173.640 M -16.33 % 207.533 M 49.76 % 138.580 M 11.22 % 124.596 M -20.34 % 156.419 M 7.25 % 145.851 M -0.98 % 147.291 M 1.67 % 144.869 M 19.86 % 120.863 M -23.41 % 157.800 M 77.22 % 89.044 M
Net income ratio 0.22 -31.73 % 0.33 0.65 % 0.32 18.23 % 0.27 -10.82 % 0.31 -4.87 % 0.32 23.20 % 0.26 -25.81 % 0.35 15.85 % 0.30 29.54 % 0.24 -23.47 % 0.31 14.43 % 0.27
Ratio EBITDA 0.33 -22.76 % 0.42 -2.26 % 0.43 18.67 % 0.36 12.16 % 0.32 -22.86 % 0.42 20.14 % 0.35 -23.18 % 0.46 2.09 % 0.45 19.39 % 0.37 -8.20 % 0.41 35.62 % 0.30
Gross profit ratio 0.72 -2.13 % 0.73 -4.29 % 0.77 5.51 % 0.73 0.86 % 0.72 -2.18 % 0.74 -5.80 % 0.78 6.87 % 0.73 -0.87 % 0.74 0.35 % 0.74 -4.64 % 0.77 7.59 % 0.72
Weighted average shs out dil 114.509 M -2.62 % 117.592 M -0.69 % 118.406 M -0.07 % 118.492 M 0.28 % 118.157 M -0.06 % 118.225 M -0.03 % 118.256 M 0.51 % 117.653 M -0.09 % 117.757 M -0.35 % 118.165 M -0.41 % 118.649 M 0.40 % 118.173 M
Weighted average shs out 114.509 M -1.77 % 116.570 M -1.28 % 118.078 M -0.35 % 118.492 M 0.49 % 117.919 M -0.13 % 118.078 M 0.00 % 118.078 M 0.36 % 117.653 M -0.09 % 117.757 M -0.27 % 118.078 M 0.00 % 118.078 M 0.00 % 118.078 M
EPS diluted 0.82 -28.07 % 1.14 -12.98 % 1.31 48.86 % 0.88 -12.00 % 1.00 -1.96 % 1.02 10.87 % 0.92 -5.15 % 0.97 15.48 % 0.84 31.25 % 0.64 -36.00 % 1.00 49.25 % 0.67
Earnings per share 0.82 -28.70 % 1.15 -12.88 % 1.32 50.00 % 0.88 -12.00 % 1.00 -1.96 % 1.02 10.87 % 0.92 -5.15 % 0.97 15.48 % 0.84 31.25 % 0.64 -36.63 % 1.01 50.75 % 0.67
Gross profit 303.713 M 0.41 % 302.466 M -18.06 % 369.151 M 33.15 % 277.249 M 0.02 % 277.202 M 1.01 % 274.421 M -15.91 % 326.327 M 37.75 % 236.902 M -1.28 % 239.971 M 0.75 % 238.189 M -20.44 % 299.382 M 40.58 % 212.957 M
Income tax expense 35.028 M 13.82 % 30.775 M -25.63 % 41.383 M 69.88 % 24.360 M -2.14 % 24.892 M -9.61 % 27.537 M -17.27 % 33.286 M 44.58 % 23.023 M -36.38 % 36.188 M 35.52 % 26.703 M -4.98 % 28.103 M 45.37 % 19.332 M
Cost of revenue 118.871 M 8.63 % 109.427 M -2.29 % 111.996 M 7.68 % 104.009 M -3.05 % 107.279 M 9.58 % 97.896 M 7.88 % 90.742 M 4.70 % 86.671 M 2.05 % 84.931 M -0.59 % 85.434 M -3.46 % 88.498 M 5.49 % 83.890 M
General and administrative expenses 57.382 M -3.25 % 59.307 M -21.26 % 75.319 M 34.67 % 55.928 M -0.57 % 56.251 M -7.92 % 61.091 M -14.29 % 71.278 M 25.60 % 56.751 M 1.03 % 56.173 M 2.01 % 55.066 M 0.000 0.000
Selling and marketing expenses 65.857 M 6.65 % 61.750 M 11.75 % 55.255 M -19.80 % 68.896 M -11.30 % 77.675 M 11.57 % 69.622 M -1.23 % 70.491 M 28.07 % 55.042 M -2.40 % 56.396 M 3.43 % 54.527 M 0.000 0.000
Other expenses 0.000 0.000 0.000 -100.00 % 113.644 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Operating expenses 171.210 M 2.61 % 166.862 M -6.74 % 178.923 M -35.46 % 277.249 M 64.18 % 168.867 M 2.84 % 164.211 M -9.63 % 181.705 M 23.49 % 147.142 M -0.02 % 147.167 M 3.70 % 141.915 M 3.95 % 136.517 M 2.45 % 133.252 M
Cost and expenses 290.081 M 4.99 % 276.289 M -5.03 % 290.919 M 8.71 % 267.614 M -0.71 % 269.532 M 2.83 % 262.107 M -3.80 % 272.447 M 16.52 % 233.813 M 0.74 % 232.098 M 2.09 % 227.349 M 1.04 % 225.015 M 3.63 % 217.142 M
Research and development expenses 47.971 M 4.73 % 45.805 M -5.26 % 48.349 M 24.67 % 38.781 M 11.10 % 34.907 M 4.21 % 33.498 M -16.12 % 39.936 M 12.98 % 35.349 M 2.17 % 34.598 M 7.04 % 32.322 M 1.04 % 31.990 M -1.96 % 32.628 M
Selling general and administrative expenses 123.239 M 1.80 % 121.057 M -7.29 % 130.574 M 4.61 % 124.824 M -6.80 % 133.926 M 2.46 % 130.713 M -7.80 % 141.769 M 26.81 % 111.793 M -0.69 % 112.569 M 2.72 % 109.593 M 4.85 % 104.527 M 3.88 % 100.624 M
Interest income 19.536 M 11.20 % 17.568 M -27.14 % 24.113 M 19.86 % 20.118 M -14.40 % 23.501 M 11.70 % 21.039 M -19.19 % 26.036 M 7.28 % 24.270 M -13.67 % 28.112 M 19.91 % 23.444 M 0.90 % 23.234 M 1 133.88 % 1.883 M
Interest expense 360.000 K -2.96 % 371.000 K 27.93 % 290.000 K 9.43 % 265.000 K 150.00 % 106.000 K 17.78 % 90.000 K -2.17 % 92.000 K -13.21 % 106.000 K -13.82 % 123.000 K 6.96 % 115.000 K -4.17 % 120.000 K 7.14 % 112.000 K
Depreciation and amortization 7.941 M -3.30 % 8.212 M -15.12 % 9.675 M -2.54 % 9.927 M 2.90 % 9.647 M -0.37 % 9.683 M -0.50 % 9.732 M -0.84 % 9.814 M 0.67 % 9.749 M -0.78 % 9.826 M 2.72 % 9.566 M 2.43 % 9.339 M
Operating income 132.503 M -2.29 % 135.604 M -28.72 % 190.228 M 67.39 % 113.644 M -1.14 % 114.949 M -22.16 % 147.664 M 3.74 % 142.339 M 3.54 % 137.477 M 1.74 % 135.120 M 30.67 % 103.409 M -36.51 % 162.865 M 104.33 % 79.705 M
Operating income ratio 0.31 -4.76 % 0.33 -16.73 % 0.40 32.64 % 0.30 -0.30 % 0.30 -24.62 % 0.40 16.21 % 0.34 -19.67 % 0.42 2.16 % 0.42 30.15 % 0.32 -23.90 % 0.42 56.38 % 0.27
Total other income expenses net -3.209 M -110.90 % 29.453 M 301.27 % 7.340 M -50.22 % 14.744 M -45.49 % 27.047 M -27.61 % 37.364 M 31 498.32 % -119.000 K 7.75 % -129.000 K 25.86 % -174.000 K -102.48 % 7.020 M 144.87 % -15.645 M -179.63 % 19.648 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
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
Net debt -2.015 B 13.42 % -2.327 B -46.78 % -1.585 B -76.12 % -900.185 M 20.66 % -1.135 B -26.97 % -893.599 M 39.40 % -1.475 B 30.68 % -2.127 B 12.14 % -2.421 B 1.35 % -2.454 B -1.09 % -2.428 B -6.83 % -2.272 B
Total investments 1.145 B 10.12 % 1.040 B 37.74 % 754.691 M 1.22 % 745.593 M -64.73 % 2.114 B 203.79 % 695.821 M 23.40 % 563.893 M 25.39 % 449.715 M 1.73 % 442.057 M 57.56 % 280.558 M 10.56 % 253.764 M -7.77 % 275.149 M
Total debt 37.794 M -7.97 % 41.065 M -9.71 % 45.482 M 34.15 % 33.904 M 76.34 % 19.226 M -4.95 % 20.228 M -21.79 % 25.864 M -11.23 % 29.137 M -16.16 % 34.753 M -6.24 % 37.066 M -5.94 % 39.408 M -5.08 % 41.519 M
Accumulated other comprehensive income loss 0.000 0.000 0.000 0.000 0.000 -100.00 % 1.441 B 2.95 % 1.400 B -5.52 % 1.482 B 8.45 % 1.367 B 1.17 % 1.351 B 0.18 % 1.348 B -5.47 % 1.426 B
Retained earnings 1.466 B 3.09 % 1.422 B -4.32 % 1.487 B 11.75 % 1.330 B 8.45 % 1.227 B 6.89 % 1.147 B 0.69 % 1.140 B 10.59 % 1.030 B 12.46 % 916.272 M 7.65 % 851.144 M -4.11 % 887.582 M 20.17 % 738.630 M
Common stock 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M 0.00 % 602.890 M
Total equity 2.849 B -4.90 % 2.996 B -7.94 % 3.254 B 5.36 % 3.089 B 3.21 % 2.993 B 4.53 % 2.863 B 1.76 % 2.814 B 0.96 % 2.787 B 6.35 % 2.621 B 4.58 % 2.506 B -0.15 % 2.510 B 2.90 % 2.439 B
Other non current liabilities 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 511.000 K -38.06 % 825.000 K 0.000 0.000 0.000 0.000
Long term debt 21.585 M -12.78 % 24.747 M -16.06 % 29.482 M 62.54 % 18.138 M 194.45 % 6.160 M 60.17 % 3.846 M -34.05 % 5.832 M -29.92 % 8.322 M -30.92 % 12.047 M -22.92 % 15.629 M -15.15 % 18.419 M -11.90 % 20.907 M
Total non current liabilities 39.544 M -8.38 % 43.159 M -8.43 % 47.131 M 39.53 % 33.779 M 71.48 % 19.699 M 40.34 % 14.037 M -16.07 % 16.724 M -29.00 % 23.555 M 11.88 % 21.054 M -15.20 % 24.829 M -10.23 % 27.659 M -18.31 % 33.858 M
Other current liabilities 1.702 B 10.41 % 1.542 B -4.63 % 1.616 B 22.41 % 1.320 B -3.76 % 1.372 B 12.00 % 1.225 B 2.59 % 1.194 B 14.57 % 1.042 B -10.82 % 1.169 B 7.49 % 1.087 B -11.67 % 1.231 B 23.63 % 995.732 M
Deferred revenue 0.000 0.000 0.000 0.000 -100.00 % 126.099 M 0.47 % 125.515 M 7.40 % 116.871 M 5.98 % 110.280 M 6.97 % 103.098 M 13.07 % 91.182 M 0.46 % 90.767 M -0.48 % 91.207 M
Short term debt 16.209 M -0.67 % 16.318 M 1.99 % 16.000 M 1.48 % 15.766 M 15.83 % 13.611 M 112.47 % -109.133 M -644.79 % 20.032 M -3.76 % 20.815 M -8.33 % 22.706 M 102.10 % -1.081 B -1 449.04 % -69.778 M 1.16 % -70.595 M
Total current liabilities 1.809 B 7.70 % 1.680 B -2.55 % 1.724 B 24.24 % 1.387 B -12.55 % 1.587 B 8.58 % 1.461 B 3.69 % 1.409 B 16.15 % 1.213 B -10.90 % 1.362 B 5.55 % 1.290 B -8.27 % 1.406 B 23.78 % 1.136 B
Total liabilities 1.849 B 7.30 % 1.723 B -2.71 % 1.771 B 24.60 % 1.421 B -11.52 % 1.606 B 8.88 % 1.475 B 3.46 % 1.426 B 15.29 % 1.237 B -10.55 % 1.383 B 5.16 % 1.315 B -8.30 % 1.434 B 22.57 % 1.170 B
Other non current assets 5.095 M -5.54 % 5.394 M -99.74 % 2.081 B -11.50 % 2.351 B 26 357.36 % 8.886 M -99.61 % 2.282 B 31.84 % 1.731 B 80.08 % 961.327 M 25.20 % 767.803 M 10.48 % 694.981 M 6 659.86 % 10.281 M 21.57 % 8.457 M
Long term investments 864.337 M 16.16 % 744.106 M 156.48 % -1.317 B 17.51 % -1.597 B -329.74 % 695.188 M 144.27 % -1.570 B -35.30 % -1.161 B -129.89 % -504.926 M -58.26 % -319.049 M 21.64 % -407.181 M -267.31 % 243.364 M -5.40 % 257.249 M
Intangible assets 2.267 M -18.66 % 2.787 M -15.75 % 3.308 M -13.61 % 3.829 M 16.24 % 3.294 M -11.71 % 3.731 M 43.50 % 2.600 M -10.87 % 2.917 M -9.77 % 3.233 M 17.56 % 2.750 M 0.000 0.000
GoodWill 3.143 M -11.76 % 3.562 M 1.31 % 3.516 M 3.56 % 3.395 M -2.44 % 3.480 M 1.40 % 3.432 M 4.22 % 3.293 M -4.85 % 3.461 M 3.62 % 3.340 M 2.27 % 3.266 M -0.85 % 3.294 M -3.26 % 3.405 M
Goodwill and intangible assets 5.410 M -14.79 % 6.349 M -6.96 % 6.824 M -5.54 % 7.224 M 6.64 % 6.774 M -5.43 % 7.163 M 21.55 % 5.893 M -7.60 % 6.378 M -2.97 % 6.573 M 9.26 % 6.016 M 82.64 % 3.294 M -3.26 % 3.405 M
Property plant equipment net 51.313 M -8.83 % 56.282 M -5.49 % 59.553 M 21.50 % 49.015 M 37.01 % 35.774 M -9.34 % 39.459 M -12.90 % 45.302 M -10.58 % 50.660 M -13.49 % 58.560 M -7.07 % 63.012 M -8.81 % 69.099 M 3.53 % 66.740 M
Total non current assets 933.517 M 14.64 % 814.270 M -2.18 % 832.430 M 2.68 % 810.713 M 8.22 % 749.124 M -1.52 % 760.724 M 21.66 % 625.286 M 20.84 % 517.431 M 0.46 % 515.068 M 41.82 % 363.176 M 9.60 % 331.357 M -1.34 % 335.852 M
Other current assets 28.765 M -96.71 % 873.958 M 3 815.06 % 22.323 M -21.20 % 28.330 M -97.68 % 1.220 B 262.59 % 336.560 M -67.89 % 1.048 B 13.66 % 922.063 M -4.62 % 966.763 M 7.24 % 901.500 M -15.55 % 1.068 B 19.15 % 895.972 M
Short term investments 1.308 B 342.77 % 295.400 M -85.74 % 2.072 B -11.55 % 2.343 B 65.14 % 1.419 B -37.40 % 2.266 B 31.41 % 1.725 B 80.66 % 954.641 M 25.43 % 761.106 M 10.67 % 687.739 M 6 512.88 % 10.400 M -41.90 % 17.900 M
cash and cash equivalents 2.053 B -13.32 % 2.368 B 45.20 % 1.631 B 74.59 % 934.089 M -19.08 % 1.154 B 26.33 % 913.827 M -39.09 % 1.500 B -30.42 % 2.156 B -12.19 % 2.456 B -1.42 % 2.491 B 0.98 % 2.467 B 6.61 % 2.314 B
Cash and short term investments 3.360 B 26.17 % 2.663 B -28.07 % 3.703 B 13.01 % 3.277 B 28.42 % 2.552 B -19.76 % 3.180 B -1.39 % 3.225 B 3.67 % 3.111 B -3.29 % 3.217 B 1.19 % 3.179 B 28.31 % 2.477 B 6.24 % 2.332 B
Total current assets 3.764 B -3.59 % 3.905 B -6.87 % 4.193 B 13.34 % 3.699 B -3.91 % 3.850 B 7.61 % 3.578 B -1.02 % 3.614 B 3.08 % 3.506 B 0.52 % 3.488 B 0.88 % 3.458 B -4.28 % 3.612 B 10.37 % 3.273 B
Inventory 0.000 0.000 0.000 0.000 100.00 % -297.576 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Net receivables 375.089 M 2.16 % 367.150 M -21.47 % 467.499 M 18.57 % 394.285 M 5.00 % 375.519 M -0.16 % 376.120 M 0.93 % 372.658 M 553.88 % 56.992 M -11.93 % 64.713 M 1.12 % 63.995 M -16.47 % 76.617 M 40.74 % 54.438 M
Tax assets 7.362 M 244.18 % 2.139 M -21.56 % 2.727 M 373.44 % 576.000 K -76.98 % 2.502 M 14.56 % 2.184 M -40.41 % 3.665 M -8.19 % 3.992 M 238.02 % 1.181 M -81.40 % 6.348 M 19.35 % 5.319 M 531 800.00 % 1.000 K
Other assets 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Account payables 0.000 0.000 0.000 0.000 -100.00 % 1.161 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Tax payables 90.814 M -25.41 % 121.756 M 33.32 % 91.329 M 78.35 % 51.209 M -30.45 % 73.633 M -21.83 % 94.197 M 20.68 % 78.056 M 96.14 % 39.796 M -40.63 % 67.034 M -25.59 % 90.089 M 41.81 % 63.530 M 122.86 % 28.507 M
Deferred revenue non current 17.959 M -1.05 % 18.150 M 7.10 % 16.946 M 12.15 % 15.110 M 43.45 % 10.533 M 38.32 % 7.615 M -26.64 % 10.381 M -0.10 % 10.391 M 15.37 % 9.007 M -2.10 % 9.200 M -0.43 % 9.240 M -10.62 % 10.338 M
Minority interest 6.380 M -7.58 % 6.903 M 4.56 % 6.602 M 14.32 % 5.775 M -5.82 % 6.132 M -10.51 % 6.852 M 4.13 % 6.580 M -7.60 % 7.121 M 6.84 % 6.665 M 0.00 % 6.665 M 7.05 % 6.226 M -2.75 % 6.402 M
Capital lease obligations 37.794 M -7.97 % 41.065 M -9.71 % 45.482 M 34.15 % 33.904 M 76.34 % 19.226 M -4.95 % 20.228 M -21.72 % 25.842 M -11.24 % 29.115 M -15.98 % 34.653 M -6.51 % 37.066 M -5.94 % 39.408 M -5.08 % 41.519 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 0.000
Other total stockholders equity 773.682 M -19.73 % 963.904 M -16.79 % 1.158 B 0.72 % 1.150 B -0.62 % 1.157 B 4.64 % 1.106 B 3.88 % 1.065 B -7.14 % 1.147 B 28.21 % 894.270 M 0.04 % 893.900 M 0.68 % 887.901 M -18.60 % 1.091 B
Deferred tax liabilities non current 0.000 -100.00 % 262.000 K -62.73 % 703.000 K 32.39 % 531.000 K -82.34 % 3.006 M 16.69 % 2.576 M 0.000 -100.00 % 4.017 M 0.000 0.000 0.000 -100.00 % 2.613 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 0.000
Total assets 4.698 B -0.44 % 4.719 B -6.10 % 5.025 B 11.42 % 4.510 B -1.93 % 4.599 B 6.01 % 4.338 B 2.33 % 4.240 B 5.36 % 4.024 B 0.51 % 4.003 B 4.78 % 3.821 B -3.11 % 3.943 B 9.28 % 3.609 B
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30
Deferred income tax 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Stock based compensation 0.000 0.000 0.000 -100.00 % 53.000 K -66.03 % 156.000 K 0.00 % 156.000 K -0.64 % 157.000 K -32.03 % 231.000 K -37.57 % 370.000 K 0.82 % 367.000 K 0.000 0.000
Change in working capital -28.765 M -991.65 % -2.635 M 65.44 % -7.625 M -1 108.40 % -631.000 K 88.42 % -5.451 M 93.43 % -82.964 M -428.91 % 25.224 M 56.44 % 16.124 M -37.39 % 25.754 M 159.45 % -43.320 M -192.25 % 46.960 M 71.59 % 27.368 M
Accounts receivables -6.654 M -106.97 % 95.413 M 226.27 % -75.561 M -276.17 % -20.087 M -574.31 % 4.235 M -39.10 % 6.954 M -22.93 % 9.023 M 107.26 % -124.248 M -3 913.31 % 3.258 M -96.69 % 98.293 M 199.40 % -98.889 M -187.23 % 113.365 M
Inventory 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Accounts payables 0.000 0.000 0.000 0.000 -100.00 % 92.310 M 419 690.19 % -22.000 K -100.01 % 175.126 M 410.75 % -56.356 M -198.39 % 57.279 M 132.52 % -176.157 M 0.000 100.00 % -157.808 M
Other working capital -22.111 M 77.45 % -98.048 M -244.32 % 67.936 M 249.18 % 19.456 M 119.08 % -101.996 M -13.46 % -89.896 M 43.23 % -158.365 M -180.48 % 196.781 M 664.28 % -34.873 M -200.95 % 34.544 M 106.82 % -506.438 M -805.23 % 71.811 M
Other non cash items -69.674 M -1 613.34 % 4.604 M -76.61 % 19.682 M 145.18 % -43.566 M -217.63 % -13.716 M 34.53 % -20.949 M 19.29 % -25.955 M -7.41 % -24.164 M 13.67 % -27.989 M -19.98 % -23.329 M -115.15 % 153.973 M 177.75 % 55.436 M
Net cash provided by operating activities 38.796 M -77.86 % 175.238 M -20.09 % 219.300 M 132.87 % 94.171 M -13.25 % 108.555 M 91.65 % 56.641 M -68.15 % 177.840 M 39.25 % 127.711 M 0.29 % 127.339 M 74.75 % 72.868 M -65.56 % 211.589 M 94.68 % 108.683 M
Investments in property plant and equipment -486.000 K 88.38 % -4.184 M -91.40 % -2.186 M -5.25 % -2.077 M -254.69 % -585.590 K 87.43 % -4.657 M -274.06 % -1.245 M -7.98 % -1.153 M 55.50 % -2.591 M -464.49 % -459.000 K 96.02 % -11.531 M -371.02 % -2.448 M
Acquisitions net 0.000 0.000 0.000 0.000 0.000 0.000 0.000 -100.00 % 584.479 294.43 % 148.181 -99.49 % 29.000 K 17 408.40 % 165.635 -98.27 % 9.598 K
Purchases of investments -213.002 M 16.14 % -253.992 M -138.01 % -106.717 M 62.49 % -284.466 M 77.66 % -1.274 B -25.83 % -1.012 B -27.74 % -792.351 M -114.15 % -370.006 M -107.22 % -178.561 M -434.21 % -33.425 M -144.54 % 75.043 M 132.14 % -233.493 M
Sales maturities of investments 21.848 M -97.87 % 1.027 B 79.76 % 571.173 M 443.97 % 105.000 M -92.42 % 1.386 B 295.88 % 350.000 M 2 816.67 % 12.000 M 0.000 0.000 0.000 100.00 % -54.402 M -104.31 % 1.261 B
Other investing activites 299.000 K -90.77 % 3.241 M 1 082.12 % -330.000 K -817.39 % 46.000 K -99.36 % 7.178 M 1 553.91 % 434.000 K 183.66 % 153.000 K 1 290.91 % 11.000 K -97.98 % 545.000 K 1 297.44 % 39.000 K -96.75 % 1.200 M 185.81 % -1.398 M
Net cash used for investing activites -191.341 M -124.79 % 771.832 M 67.08 % 461.940 M 354.52 % -181.497 M -253.06 % 118.583 M 117.80 % -666.347 M 14.73 % -781.437 M -110.92 % -370.490 M -108.95 % -177.313 M -424.35 % -33.816 M -428.01 % 10.309 M -98.99 % 1.024 B
Debt repayment 0.000 100.00 % -4.871 M 18.00 % -5.940 M 0.05 % -5.943 M 0.000 100.00 % -5.946 M 3.91 % -6.188 M 0.000 0.000 0.000 100.00 % -6.203 M 3.93 % -6.457 M
Common stock issued 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Common stock repurchased -121.568 M 41.35 % -207.292 M 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 100.00 % -2.778 M 97.12 % -96.478 M
Dividends paid 0.000 0.000 -100.00 % 455.786 K 100.41 % -112.174 M 0.000 0.000 100.00 % -270.112 K 99.68 % -84.743 M 0.000 0.000 100.00 % -479.322 K 99.21 % -60.404 M
Other financing activites -5.025 M 0.000 100.00 % -455.786 K 0.000 100.00 % -6.026 M -1 079.26 % -511.000 K -62.74 % -314.000 K 93.94 % -5.183 M 7.71 % -5.616 M -0.38 % -5.595 M -271.75 % 3.258 M 0.000
Net cash used provided by financing activities -126.593 M 40.33 % -212.163 M -3 471.77 % -5.940 M 94.97 % -118.117 M -1 860.12 % -6.026 M 6.67 % -6.457 M 0.69 % -6.502 M 92.60 % -87.838 M -1 464.07 % -5.616 M -0.38 % -5.595 M 43.54 % -9.910 M 94.25 % -172.463 M
Effect of forex changes on cash -36.384 M -1 699.30 % 2.275 M -89.40 % 21.468 M 244.33 % -14.874 M -225.17 % 11.883 M -59.83 % 29.585 M 164.70 % -45.728 M -246.44 % 31.227 M 54.57 % 20.203 M 314.97 % -9.398 M 0.000 0.000
Net change in cash -315.522 M -142.80 % 737.182 M 5.80 % 696.768 M 416.26 % -220.317 M -191.58 % 240.579 M 141.01 % -586.578 M 10.56 % -655.827 M -119.05 % -299.390 M -746.05 % -35.387 M -247.08 % 24.059 M -84.28 % 153.061 M -84.41 % 981.625 M
Cash at beginning of period 2.368 B 45.20 % 1.631 B 74.59 % 934.089 M -19.08 % 1.154 B 26.33 % 913.827 M -39.09 % 1.500 B -30.42 % 2.156 B -12.19 % 2.456 B -1.42 % 2.491 B 0.98 % 2.467 B 6.61 % 2.314 B 73.68 % 1.332 B
Cash at end of period 2.053 B -13.32 % 2.368 B 45.20 % 1.631 B 74.59 % 934.089 M -19.08 % 1.154 B 26.33 % 913.827 M -39.09 % 1.500 B -30.42 % 2.156 B -12.19 % 2.456 B -1.42 % 2.491 B 0.98 % 2.467 B 6.61 % 2.314 B
Operating cash flow 38.796 M -77.86 % 175.238 M -20.09 % 219.300 M 132.87 % 94.171 M -15.07 % 110.874 M 95.75 % 56.641 M -68.15 % 177.840 M 39.25 % 127.711 M 0.29 % 127.339 M 74.75 % 72.868 M -65.56 % 211.589 M 94.68 % 108.683 M
Capital expenditure -486.000 K 88.38 % -4.184 M -91.40 % -2.186 M 28.98 % -3.078 M -425.62 % -585.590 K 87.43 % -4.657 M -274.06 % -1.245 M -7.98 % -1.153 M 55.50 % -2.591 M -464.49 % -459.000 K 96.02 % -11.531 M -371.02 % -2.448 M
Free CashFlow 38.310 M -77.60 % 171.054 M -21.21 % 217.114 M 138.34 % 91.093 M -17.41 % 110.289 M 112.16 % 51.984 M -70.56 % 176.595 M 39.54 % 126.558 M 1.45 % 124.748 M 72.28 % 72.409 M -63.81 % 200.058 M 88.32 % 106.235 M
2025 2025 2024 2024 2024 2024 2023 2023 2023 2023 2022 2022
Date Form 10K
2024
2023
2022
2021
2020
2019