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Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17
Total cash and short-term investments + 2,696.00 4,058.00 1,430.97 812.93 2,670.04 3,868.28 1,859.11 1,299.55 0.00
Accounts receivable, net 2,040.00 633.02 579.22 10.80 517.96 22.17 282.75 229.03
Inventories 1,241.98 0.49 1.13 1.62 271.52
Other current assets 151.94 91.66 -1,252.77 169.01 -653.65 14,561.17 6,568.94
Total current assets 4,736.00 2,057.82 1,779.34 722.29 2,818.00 1,993.26 1,633.72 8,123.38
Total non-current assets + 13,095.00 22,452.25 17,452.40 2,437.27 29,956.89 3,517.43 3,575.71 3,430.07
Total assets 60,685.00 24,510.06 19,231.74 20,082.21 32,774.90 37,534.60 20,077.33 11,553.45
Total current liabilities + 285.00 9,075.06 4,805.32 572.56 11,751.30 626.96 322.30 257.68
Total non-current liabilities + 37,502.00 6,391.63 6,124.71 11,034.10 11,264.06 21,579.85 5,484.69 7,947.29
Total liabilities 37,787.00 15,466.68 10,930.03 11,606.66 23,015.36 29,652.45 16,574.41 8,772.55
Total stockholders' equity + 22,898.00 9,043.38 8,301.71 8,475.55 9,759.53 7,882.16 3,502.92 2,780.90
Common shares outstanding 2,474 199 198 197 199 199 108 108 111
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19
Total cash and short-term investments + 2,687.00 2,696.00 5,836.10 5,090.63 4,167.43 4,058.00 3,511.25 1,479.88 2,463.06 1,241.34 2,338.38 2,359.34 2,519.97 2,364.69 2,297.75 2,292.11 3,801.47 4,049.21 4,540.34 4,744.91 7,835.51 7,667.69 9,039.61 5,220.16 1,760.59 2,147.01 0.00 0.00 1,299.55
Accounts receivable, net 1,623.00 2,040.00 17.43 15.28 14.80 633.02 15.23 14.33 18.57 579.22 10.76 71.79 8.07 439.57 11.18 9.80 441.57 517.96 465.01 439.18 353.41 406.05 245.99 235.71 207.91 288.89
Inventories 1,002.68 989.58 957.69 1,241.98 891.64 0.58 0.49 0.56 0.63 341.51 631.48 418.58 2,589.70 1,979.41 511.83
Other current assets 151.94 151.94 -1,351.58 -911.96 91.66 -1,002.68 -989.58 -965.76 192.88 -902.82 -9.80 299.28 168.87 338.91 278.60 215.08 179.41 174.40 143.78 187.70 114.70
Total current assets 4,310.00 4,736.00 5,853.54 5,105.91 1,423.60 2,057.82 1,243.46 1,323.82 879.98 1,779.34 2,349.14 2,431.14 2,528.04 2,997.14 2,308.93 2,301.91 4,542.32 4,736.03 5,344.26 5,462.69 8,404.00 8,253.15 9,459.99 5,599.64 2,156.20 2,550.60 1,299.55
Total non-current assets + 55,129.00 13,095.00 27,722.59 25,254.31 23,827.27 22,452.25 23,874.67 22,324.90 21,339.19 17,452.40 18,299.60 18,424.54 18,674.24 17,085.07 20,291.67 22,774.97 20,705.70 28,038.86 30,464.77 30,156.67 26,328.28 29,281.45 28,292.84 23,256.82 18,000.77 17,572.24 -1,299.55
Total assets 59,439.00 60,685.00 33,576.13 30,360.22 25,250.88 24,510.06 25,118.13 23,648.71 22,219.18 19,231.74 20,648.74 20,855.68 21,202.28 20,082.21 22,600.60 25,076.88 25,248.02 32,774.90 35,809.03 35,619.35 34,732.28 37,534.60 37,752.83 28,856.46 20,156.96 20,077.33
Total current liabilities + 285.00 13,160.67 11,051.32 9,734.54 9,075.06 9,037.29 7,920.92 6,442.29 4,805.32 4,728.71 5,360.24 4,785.03 5,191.32 5,430.15 5,854.74 5,916.31 11,751.30 14,097.67 16,300.84 15,907.20 20,582.54 18,768.31 15,712.68 9,996.14 10,601.49
Total non-current liabilities + 36,209.00 37,502.00 11,564.00 11,859.97 6,932.70 6,391.63 7,728.46 6,913.88 7,167.43 6,124.71 7,413.66 7,130.58 8,307.91 6,415.34 8,259.19 10,449.94 10,630.41 11,264.06 12,525.54 11,132.71 10,519.25 9,069.91 12,623.78 7,607.61 10,389.80 6,005.80 -2,780.90
Total liabilities 36,209.00 37,787.00 24,724.67 22,911.29 16,667.24 15,466.68 16,765.75 14,834.79 13,609.72 10,930.03 12,142.37 12,490.82 13,092.93 11,606.66 13,689.34 16,304.67 16,546.72 23,015.36 26,623.21 27,433.55 26,426.45 29,652.45 31,392.09 23,320.28 20,385.93 16,574.41 -2,780.90
Total stockholders' equity + 23,230.00 22,898.00 8,851.46 7,448.93 583.97 702.50 652.40 658.67 651.40 624.90 611.86 590.74 575.70 576.70 558.53 534.60 547.29 665.66 704.60 625.72 555.53 490.50 330.68 5,533.10 -233.23 3,497.91 2,780.90
Common shares outstanding 2,847 2,843 2,106 2,055 2,055 2,055 2,003 1,998 1,992 1,987 1,984 1,979 1,975 1,971 1,971 1,972 1,975 1,985 1,991 1,991 122 119 106 150 150 126 101 101 101
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