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BANK OF AMERICA CORP /DE/

Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 191.57 192.43 98.58 94.95 89.11 74.21 85.58 87.74 83.73 80.10 79.80 83.62 83.95 73.57 86.09 104.96 109.63 72.24 62.26 69.39
Cost of revenue 84.15 96.37 4.39 2.54 4.59 19.55 25.94 0.23 16.31 13.56 13.71 13.21 16.31 24.91 35.03 23.39 22.35 12.78 9.67 8.74
Gross profit 107.42 96.07 94.19 92.41 84.52 74.21 85.58 87.51 83.73 80.10 79.80 83.62 83.95 73.57 86.09 81.57 87.28 59.47 52.59 60.66
Total operating expenses + 69.73 66.81 65.85 61.44 59.73 55.21 52.83 53.15 54.52 55.08 57.62 75.66 69.21 70.49 64.77 58.26 26.57 16.74 13.20 12.15
Operating income 37.70 29.25 28.34 30.97 33.98 19.00 32.75 34.58 29.21 25.02 22.19 8.90 15.82 2.74 -0.23 -1.32 4.36 4.43 20.92 31.97
Non-operating income (net) 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -0.94 -1.09 0.34 0.00 0.00 0.00 0.00 0.00 0.00
Income before tax 37.70 29.25 28.34 30.97 33.98 19.00 32.75 34.58 29.21 25.02 22.19 7.96 14.73 3.07 -0.23 -1.32 4.36 4.43 20.92 31.97
Income tax expense 7.19 2.12 1.83 3.44 2.00 1.10 5.32 6.44 10.98 7.20 6.28 2.44 4.19 1.12 -1.68 0.92 -1.92 0.42 5.94 10.84
Net income 30.51 27.13 26.52 27.53 31.98 17.89 27.43 28.15 18.23 17.91 15.89 4.83 11.43 2.76 1.45 -2.24 6.28 4.01 14.98 21.13
Show Quarterly Income Statement
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 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 30.27 49.69 48.22 46.67 46.99 46.97 25.35 25.38 25.82 20.86 25.17 25.20 25.33 23.44 23.60 22.17 23.20 22.55 23.39 23.09 24.68 20.05 18.95 17.21 18.01 21.41 19.96 22.23 21.99 21.77 22.01 22.45 22.24 19.44 21.01 22.10 21.41 19.22 20.79 20.31 19.79 18.77 20.19 20.70 20.15 18.51 20.57 21.34 21.56 21.15 21.23 21.52 21.48 14.86 20.20 21.61 21.55 21.66 27.09 12.07 25.49 20.89 26.47 29.15 31.97 23.05 25.99 26.83 35.76 16.47 19.62 20.32 17.00 12.67 15.93 19.56 18.16 15.30 18.18 18.22 17.69
Cost of revenue 1.34 19.82 21.43 21.80 21.10 23.07 12.62 12.51 13.58 22.79 12.24 12.40 12.66 11.49 11.84 11.83 12.00 0.66 11.26 11.39 12.34 1.26 11.38 10.46 10.68 5.73 12.48 10.47 10.60 -0.06 3.52 3.58 3.70 4.61 3.62 3.98 3.76 3.35 3.78 3.79 3.92 2.15 3.71 3.86 3.98 2.74 9.75 7.84 10.05 3.26 5.42 4.89 7.03 6.87 6.40 5.52 6.13 13.93 5.67 8.18 7.25 6.88 5.46 5.39 5.67 5.82 5.60 5.88 5.05 4.29 3.68 2.70 2.11 2.88 2.33 2.35 2.10 2.23 2.17 2.18 2.15
Gross profit 28.94 29.87 26.79 24.87 25.89 23.90 12.73 12.86 12.24 20.86 12.93 12.80 12.67 23.44 11.77 10.33 11.20 22.55 12.13 11.70 12.34 20.05 7.57 6.75 7.33 21.41 7.47 11.76 11.40 21.83 18.49 18.87 18.54 14.83 17.38 18.13 17.66 15.87 17.01 16.52 15.87 16.62 16.47 16.84 16.17 15.77 10.83 13.50 11.51 17.89 15.81 16.62 14.45 7.99 13.80 16.09 15.42 7.74 21.42 3.89 18.24 14.01 21.01 23.77 26.30 17.23 20.39 20.96 30.71 12.18 15.94 17.62 14.90 5.73 13.60 17.21 16.06 13.06 16.01 16.04 15.54
Total operating expenses + 18.53 17.44 17.34 17.18 17.77 16.79 14.76 5.94 17.24 17.73 17.07 14.80 16.24 15.54 15.30 15.27 15.32 14.73 14.44 15.05 15.52 13.93 14.40 13.41 13.48 13.24 13.10 13.27 13.22 13.07 13.01 13.95 13.84 13.27 13.39 13.98 14.09 13.29 13.48 13.49 14.82 14.01 13.94 13.96 15.83 14.20 20.14 18.54 22.24 17.31 16.39 16.02 19.50 16.76 7.75 6.89 7.38 14.04 7.16 9.51 8.46 4.66 6.60 6.53 6.67 4.21 6.64 6.92 5.97 3.96 4.71 3.63 3.03 3.53 3.14 3.17 2.88 3.41 3.02 2.97 2.94
Operating income 10.40 12.44 9.46 7.69 8.12 7.11 10.58 19.44 7.26 3.12 8.10 26.23 9.09 7.90 8.30 6.89 7.88 7.82 8.95 8.04 9.17 6.12 4.55 3.80 4.53 8.17 6.86 8.96 8.77 9.17 8.99 9.23 8.39 6.33 7.75 8.31 7.59 5.37 7.49 7.27 5.55 6.16 6.45 6.95 4.54 4.94 6.67 7.03 5.56 6.41 6.22 6.24 4.46 -2.30 6.23 7.10 8.08 7.62 8.69 7.54 9.46 9.35 11.61 12.61 13.21 13.01 11.89 12.67 16.18 8.22 17.49 16.40 18.83 2.20 10.45 14.04 13.17 9.65 15.64 15.26 14.73
Non-operating income (net) 0.00 0.00 0.00 0.00 0.00 0.00 -3.26 -11.88 0.00 0.00 0.00 -18.20 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -0.47 0.00 -0.73 0.00 -0.17 -0.14 -0.19 -0.27 0.55 -0.18 -0.46 -0.58 -1.40 -0.21 -0.21 -0.21 -0.63 -6.23 -4.24 -6.24 -2.57 -1.37 -0.75 -2.48 0.39 -5.12 -3.96 -7.36 -5.19 -1.26 -20.42 -6.68 -12.94 -17.52 -8.81 -8.82 -14.43 -13.86 -10.29 -10.81 -12.02 -15.98 -11.47 -17.03 -3.11 -5.10 -5.38 -5.35 -1.83 -7.48 -6.77 -7.24
Income before tax 10.40 12.44 9.46 7.69 8.12 7.11 7.32 7.56 7.26 3.12 8.10 8.03 9.09 7.90 8.30 6.89 7.88 7.82 8.95 8.04 9.17 6.12 4.55 3.80 4.53 8.17 6.86 8.96 8.77 8.70 8.99 8.50 8.39 6.16 7.61 8.12 7.32 5.92 7.30 6.82 4.98 4.76 6.25 6.74 4.32 4.31 0.43 2.80 -0.68 3.85 4.85 5.50 1.98 -1.90 1.11 3.15 0.72 2.43 7.43 -12.88 2.78 -3.60 -5.91 3.80 4.39 -1.42 -1.98 2.38 5.38 -3.80 1.51 4.92 1.80 -0.92 5.36 8.66 7.82 7.82 8.16 8.50 7.50
Income tax expense 1.82 4.91 0.99 0.57 0.72 0.44 0.43 0.66 0.59 0.02 0.29 0.63 0.93 0.77 1.22 0.65 0.81 0.81 1.26 1.18 1.12 0.65 0.34 0.27 0.52 1.18 1.08 1.61 1.46 1.42 1.83 1.71 1.48 3.80 2.19 3.02 1.98 1.31 2.35 2.03 1.51 1.48 1.63 1.90 1.23 1.26 0.66 0.50 0.41 0.41 2.35 1.49 0.50 2.64 0.77 0.68 0.07 0.44 1.20 -4.05 0.73 -2.35 1.39 0.67 1.21 -1.23 -0.98 -0.85 1.13 -2.01 0.33 1.51 0.59 -1.18 1.66 2.90 2.57 2.57 2.74 3.02 2.51
Net income 8.58 7.53 8.47 7.12 7.40 6.67 6.90 6.90 6.67 3.14 7.80 7.41 8.16 7.13 7.08 6.25 7.07 7.01 7.69 9.22 8.05 5.47 4.88 3.53 4.01 6.99 5.78 7.35 7.31 7.28 7.17 6.78 6.92 2.37 5.59 5.27 4.86 4.70 4.96 4.23 2.68 3.34 4.51 5.32 3.36 3.05 -0.47 2.29 -0.51 3.44 2.50 4.01 1.11 0.37 0.34 2.46 0.65 1.99 6.23 -8.83 2.05 -1.24 -7.30 3.12 3.18 -0.19 -1.00 3.22 4.25 -1.79 1.18 3.41 1.21 0.27 3.70 5.76 5.26 5.26 5.42 5.48 4.99
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Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 963.73 642.92 608.07 458.25 654.54 621.50 414.31 414.26 483.70 471.26 489.48 466.79 411.66 416.35 422.26 472.49 447.14 319.33 267.63 243.19
Accounts receivable, net 103.35 97.92 96.70 67.43 72.72 64.22 55.94 88.19 83.58 81.00 85.52 86.56 84.53 95.23 66.91 107.52 103.90 59.79 22.36 21.65
Inventories -68.81 0.17 0.13 0.16 0.29 -726.44 -652.55 -605.84 0.46 13.53 11.99 20.31 16.37 37.03 46.08 33.28 0.35 0.07
Other current assets 968.17 981.38 133.78 1,221.80 1,244.83 1,253.53 726.44 652.55 605.84 899.69 890.97 990.20 1,030.41 1,038.02 1,038.91 1,044.99 922.64 947.22 761.62
Total current assets 1,067.08 740.84 704.77 539.27 742.02 702.66 489.96 502.46 554.80 532.54 575.00 553.35 496.19 511.58 489.16 580.01 551.05 379.12 290.00 264.83
Total non-current assets + 2,343.31 2,520.68 2,475.39 1,238.90 1,309.56 963.66 781.54 615.60 623.71 588.66 669.63 660.21 615.88 667.98 579.87 645.99 1,679.19 1,438.83 1,425.75 1,194.90
Total assets 3,410.39 3,261.52 3,180.15 3,050.71 3,169.95 2,819.63 2,434.08 2,354.51 2,281.23 2,187.70 2,144.32 2,104.53 2,102.27 2,209.97 2,129.05 2,264.91 2,230.23 1,817.94 1,715.75 1,459.74
Total current liabilities + 2,559.61 2,433.16 2,335.34 26.93 23.75 19.32 24.20 20.19 42.54 34.59 42.17 44.48 65.45 64.99 84.75 130.98 1,509.61 1,341.89 1,349.01 1,162.13
Total non-current liabilities + 547.55 532.80 553.16 2,497.62 280.12 262.93 240.86 229.34 1,971.55 1,886.27 1,845.94 1,816.58 1,804.14 1,908.03 1,814.19 1,905.69 489.18 299.00 219.93 162.34
Total liabilities 3,107.15 2,965.96 2,888.51 2,777.51 2,899.88 2,546.70 2,169.27 2,089.18 2,014.09 1,920.86 1,888.11 1,861.06 1,869.59 1,973.02 1,898.95 2,036.66 1,998.79 1,640.89 1,568.94 1,324.47
Total stockholders' equity + 303.24 295.56 291.65 273.20 270.07 272.92 264.81 265.33 267.15 266.84 256.21 243.47 232.69 236.96 230.10 228.25 231.44 177.05 146.80 135.27
Common shares outstanding 7,547 7,844 8,081 8,168 8,558 8,797 9,443 10,237 10,778 11,047 11,236 10,585 11,491 10,841 10,255 9,790 7,729 7,328 7,328 7,328
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 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 249.87 963.73 957.70 653.42 657.11 642.92 619.46 620.30 634.34 608.07 525.33 513.50 550.27 458.25 438.76 471.10 568.87 654.54 561.73 545.57 604.57 621.50 539.79 485.85 468.89 414.31 409.52 416.07 412.72 414.26 431.77 454.67 515.61 483.70 498.74 484.37 492.00 471.26 474.45 488.44 469.62 489.48 501.99 503.82 494.14 466.79 444.47 454.41 450.01 411.66 402.03 393.23 418.85 416.35 333.46 350.79 359.05 422.26 277.59 336.76 330.01 472.49 357.76 369.13 371.07 447.14 568.00 550.23 553.77 319.33 312.95 321.68 335.30 267.63 358.30 362.71 356.45 243.19 320.05 320.55 297.99
Accounts receivable, net 96.08 103.35 116.10 109.67 95.99 97.92 106.22 95.82 100.85 96.70 88.21 86.88 93.30 81.02 89.12 93.45 97.58 87.02 89.97 83.65 82.66 81.16 78.99 73.50 88.33 75.66 72.51 73.54 74.54 88.19 78.36 79.05 79.73 83.58 77.12 81.02 81.27 81.00 75.28 79.21 77.66 85.52 88.96 89.69 88.03 86.56 91.59 90.04 88.78 84.53 84.65 91.44 94.75 95.23 66.34 71.46 74.36 66.91 89.30 86.55 97.32 107.52 78.60 86.47 83.64 103.90 59.79 22.36 21.65
Inventories -411.05 -414.25 -68.81 0.16 0.15 0.12 0.17 0.08 0.16 0.12 0.13 0.09 0.09 0.14 0.16 0.14 0.17 0.28 0.29 0.19 0.21 0.24 0.24 0.27 0.26 9.54 11.72 13.54 6.21 26.14 20.11 10.97 9.28 6.62 7.90 9.38 7.73 10.63 13.53 8.60 9.82 12.94 11.99 15.66 15.19 20.10 20.31 17.66 14.83 15.29 16.37 25.70 22.57 27.06 37.03 35.54 40.55 37.69 46.08 42.04 52.80 41.94 33.28 29.25 0.59 0.49 0.35 0.19 0.11 0.09 0.07 0.08 0.07 0.10
Other current assets 1,193.13 -16.24 -13.26 -106.22 1,054.31 1,041.63 981.00 7.59 1,043.27 158.62 133.78 7.63 6.65 -631.03 1,221.80 1,217.24 1,203.13 1,173.65 1,244.83 1,310.62 1,505.15 1,395.83 1,253.53 1,287.58 1,251.65 1,252.96 1,236.45 1,195.04 1,154.06 1,150.32 1,102.72 975.70 955.95 953.67 1,066.51 1,062.47 1,070.40 1,082.15 899.69 904.05 886.86 903.13 890.97 942.08 986.85 984.11 990.20 1,026.26 1,018.31 990.49 1,030.41 1,331.08 1,307.54 1,318.30 1,038.02 1,400.82 1,400.28 1,403.29 1,038.91 1,467.58 1,466.91 1,435.49 1,044.99 1,482.11 1,487.59 1,528.20 922.64 1,221.54 1,231.17 1,196.03 947.22 1,088.07 1,042.42 1,015.14 761.62 980.73 936.44 886.81
Total current assets 1,539.08 1,067.08 1,057.56 763.10 753.10 740.84 725.68 716.11 735.19 704.77 613.54 600.38 643.57 539.27 527.88 564.55 666.45 741.56 35.21 37.68 41.42 42.98 38.01 39.99 42.34 37.26 34.50 38.10 36.56 36.56 510.13 520.58 582.40 554.80 575.86 565.38 573.28 532.54 528.60 171.21 179.61 575.00 170.43 163.51 582.17 553.35 136.00 150.96 538.80 496.19 486.69 484.66 513.60 511.58 188.71 217.53 223.63 489.16 190.50 226.37 218.57 580.01 228.66 258.22 248.69 551.05 175.40 166.08 197.41 379.12 51.05 46.78 49.32 290.00 43.79 48.65 43.59 264.83 44.25 49.20 43.73
Total non-current assets + 1,957.11 2,343.31 2,345.65 2,678.05 2,596.33 2,520.68 2,598.61 2,541.89 2,538.62 2,475.39 1,166.12 1,148.27 1,192.71 1,238.90 1,141.18 1,194.98 1,258.64 1,206.13 79.71 79.77 79.75 79.95 79.85 79.74 79.74 79.51 79.44 79.38 78.86 78.86 743.86 617.03 595.76 623.71 732.33 733.87 720.75 588.66 604.24 568.95 556.06 669.63 658.00 668.67 658.24 660.21 645.48 639.26 626.94 615.88 613.71 620.35 671.03 667.98 651.62 635.79 639.52 579.87 628.31 634.68 652.68 645.99 643.42 441.37 448.51 1,679.19 2,075.64 2,088.32 2,124.56 1,438.83 1,780.13 1,670.10 1,687.18 1,425.75 1,534.98 1,485.71 1,458.57 1,194.90 1,404.97 1,396.00 1,331.35
Total assets 3,496.19 3,410.39 3,403.22 3,441.14 3,349.42 3,261.52 3,324.29 3,258.00 3,273.80 3,180.15 3,153.09 3,122.63 3,194.66 3,050.71 3,073.38 3,111.61 3,238.22 3,169.50 3,085.45 3,029.89 2,969.99 2,819.63 2,738.45 2,741.69 2,619.95 2,434.08 2,426.33 2,395.89 2,377.16 2,354.51 2,338.83 2,291.67 2,328.48 2,281.23 2,283.90 2,254.53 2,247.70 2,187.70 2,195.31 2,186.61 2,185.50 2,144.32 2,153.01 2,149.03 2,143.55 2,104.53 2,123.61 2,170.56 2,149.85 2,102.27 2,126.65 2,123.32 2,174.61 2,209.97 2,166.16 2,160.85 2,181.45 2,129.05 2,219.63 2,261.32 2,274.53 2,264.91 2,327.81 2,363.88 2,333.20 2,230.23 2,251.04 2,254.39 2,321.96 1,817.94 1,831.18 1,716.88 1,736.50 1,715.75 1,578.76 1,534.36 1,502.16 1,459.74 1,449.21 1,445.19 1,375.08
Total current liabilities + 2,869.55 2,559.61 2,555.98 2,566.39 2,512.57 2,433.16 2,465.07 2,419.37 2,429.38 2,335.34 40.20 41.02 56.56 26.93 21.04 27.89 24.79 23.75 24.11 26.77 27.01 26.37 23.60 24.86 36.91 32.92 39.24 34.64 31.13 31.13 40.06 50.49 48.12 42.54 42.14 46.26 56.11 34.59 38.10 33.05 30.88 42.17 34.52 39.90 47.21 44.48 38.87 48.72 69.75 65.45 65.25 72.42 73.61 64.99 73.35 77.48 83.52 84.75 90.23 115.38 123.52 130.98 64.82 73.36 85.41 1,509.61 1,484.45 1,500.76 1,565.08 1,341.89 1,245.59 1,200.64 1,207.66 1,349.01 1,099.67 1,080.02 1,161.35 1,162.13 1,059.05 1,072.86 1,018.76
Total non-current liabilities + 325.96 547.55 543.09 575.15 541.27 532.80 562.72 544.73 550.88 553.16 290.36 286.07 56.56 2,497.62 21.04 27.89 24.79 23.75 2,788.87 2,726.00 2,668.98 2,520.33 2,446.00 2,451.19 2,318.13 2,136.35 2,118.70 2,089.85 2,058.05 2,058.05 2,036.62 1,976.97 2,014.13 1,971.55 1,969.30 1,937.28 1,923.44 1,886.27 1,887.13 1,886.49 1,891.84 1,845.94 1,862.58 1,857.47 1,846.15 1,816.58 1,859.21 1,885.04 1,848.22 1,804.14 1,829.12 1,819.87 1,863.92 1,908.03 1,854.21 1,847.40 1,865.43 1,814.19 1,899.15 1,923.77 1,920.14 1,905.69 2,044.35 2,057.35 2,023.47 489.18 508.91 498.49 517.33 299.00 424.55 353.54 372.53 219.93 340.58 318.59 205.95 162.34 256.56 244.49 226.90
Total liabilities 3,195.52 3,107.15 3,099.06 3,141.54 3,053.84 2,965.96 3,027.78 2,964.10 2,980.25 2,888.51 2,866.03 2,839.31 2,914.46 2,777.51 2,803.86 2,842.49 2,971.61 2,899.43 2,812.98 2,752.78 2,695.99 2,546.70 2,469.60 2,476.05 2,355.04 2,169.27 2,157.94 2,124.48 2,110.15 2,089.18 2,076.68 2,027.45 2,062.25 2,014.09 2,011.44 1,983.54 1,979.55 1,920.86 1,925.23 1,919.54 1,922.72 1,888.11 1,897.10 1,897.38 1,893.36 1,861.06 1,884.53 1,933.15 1,917.96 1,869.59 1,894.37 1,892.29 1,936.18 1,973.02 1,927.56 1,924.88 1,948.95 1,898.95 1,989.38 2,039.14 2,043.66 2,036.66 2,097.32 2,130.70 2,103.38 1,998.79 1,993.36 1,999.24 2,082.41 1,640.89 1,670.14 1,554.18 1,580.19 1,568.94 1,440.25 1,398.61 1,367.30 1,324.47 1,315.61 1,317.35 1,245.65
Total stockholders' equity + 300.67 303.24 304.15 299.60 295.58 295.56 296.51 293.89 293.55 291.65 287.06 283.32 280.20 273.20 269.52 269.12 266.62 270.07 272.46 277.12 274.00 272.92 268.85 265.64 264.92 264.81 268.39 271.41 267.01 265.33 262.16 264.22 266.22 267.15 272.46 270.99 268.15 266.84 270.08 267.07 262.78 256.21 255.91 251.66 250.19 243.47 239.08 237.41 231.89 232.69 232.28 231.03 238.43 236.96 238.61 235.98 232.50 230.10 230.25 222.18 230.88 228.25 230.50 233.17 229.82 231.44 257.68 255.15 239.55 177.05 161.04 162.69 156.31 146.80 138.51 135.75 134.86 135.27 133.60 127.84 129.43
Common shares outstanding 7,418 7,547 7,627 7,652 7,771 7,844 7,902 7,961 8,031 8,063 8,076 8,081 8,182 8,156 8,161 8,163 8,202 8,305 8,493 8,736 8,756 8,785 8,778 8,768 8,863 9,080 9,353 9,560 9,787 9,996 10,171 10,309 10,473 10,622 10,747 10,835 10,920 10,959 11,000 11,059 11,100 11,153 11,197 11,238 11,267 11,274 10,516 11,265 10,561 11,404 11,482 11,525 11,155 10,885 10,776 11,556 10,762 11,125 10,464 10,095 10,181 10,037 9,976 10,030 10,005 8,635 8,634 7,270 6,393 7,328 7,328 7,328 7,328 7,328 7,328 7,328 7,328 7,328 7,328 7,328 7,328
about 1 hour ago
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Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 12.61 -8.81 44.98 -6.33 -7.19 37.99 61.78 39.52 9.86 17.28 28.40 30.80 92.82 -16.06 64.49 82.59 129.73 4.03 11.04 14.51
Cash flow from investing + -145.16 -90.69 -35.39 -2.53 -313.29 -177.67 -80.63 -71.47 -51.54 -62.29 -55.57 -8.26 25.06 -34.98 52.43 -30.35 157.93 -2.93 -108.48 -68.30
Cash flow from financing + 69.95 60.37 93.35 -106.04 291.65 355.82 3.38 53.12 49.20 32.98 48.59 -12.20 -95.44 42.42 -104.65 -65.33 -199.57 -10.70 103.41 53.13
Change in cash -62.60 -39.13 102.94 -114.90 -28.83 216.15 -15.48 19.97 9.62 -11.79 20.81 7.27 20.57 -9.35 11.72 -12.86 88.48 -9.59 5.97 -0.66
Change in exchange rate -1.20 2.11 0.24 -0.60 -3.07 -1.86 -0.73 -0.55 0.23 0.39
Show Quarterly Cash Flow
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 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Operating cash flow + 41.77 -22.95 46.87 -9.13 -2.18 25.91 -37.28 18.10 -15.54 32.72 11.77 11.79 -11.30 31.00 13.15 -5.05 -45.43 44.65 9.80 -9.31 -52.33 54.59 -32.64 -3.01 19.04 59.10 -5.70 -6.73 15.10 -13.92 19.61 -6.52 40.35 -7.05 20.47 9.65 -12.99 -8.36 0.53 15.29 10.84 5.69 25.80 -3.33 0.25 -0.31 2.95 4.78 22.72 11.99 8.23 46.13 26.47 -25.91 8.82 16.87 -15.60 24.65 -11.36 51.78 -0.58 5.21 38.03 15.48 23.88 32.05 22.91 19.97 54.80 -27.24 20.08 15.03 -3.83 12.23 1.53 16.91 -19.63 11.67 -7.19 1.53 8.50
Cash flow from investing + -66.45 -1.17 1.94 -56.92 -89.01 9.41 -27.26 -1.52 -71.32 -64.18 28.80 88.73 30.85 14.38 34.76 16.74 -68.41 -58.91 -32.70 -108.61 -113.08 -53.88 54.98 -88.35 -90.41 -43.28 -30.13 -2.45 -4.77 -24.32 -26.28 1.98 -22.85 -11.97 -15.70 -9.98 -13.94 -0.14 -32.51 -9.12 -21.37 -22.82 -4.77 -14.47 -13.51 27.74 8.47 -14.39 -29.42 17.75 9.60 -3.96 1.67 -15.58 -17.48 9.25 -11.41 74.03 -6.19 -1.44 -13.97 26.61 -36.88 -25.88 5.81 -49.90 33.91 -2.70 176.61 -15.48 30.47 -19.73 1.80 -36.98 -23.01 -23.90 -24.60 -7.58 6.10 -54.69 -12.13
Cash flow from financing + 35.92 10.05 -67.99 55.06 72.83 -36.77 36.78 -8.30 68.66 11.29 27.63 -71.70 126.12 -24.39 -37.89 -84.65 40.89 83.04 43.66 51.32 113.63 77.94 -12.40 129.13 161.15 -11.87 22.83 7.92 -15.51 30.56 21.05 -27.09 28.60 3.84 8.66 -9.64 46.34 15.16 3.86 -15.42 29.38 6.18 -13.94 17.83 38.51 -15.71 -34.18 10.68 27.02 -19.45 4.14 -43.58 -36.55 47.00 -9.35 -30.37 35.14 -61.15 -18.60 -28.50 3.56 -54.60 -21.26 16.70 -6.23 -13.50 -44.93 -50.42 -90.73 36.19 -50.25 3.34 0.02 32.30 20.87 10.88 39.36 1.11 -2.25 55.07 -0.79
Change in cash 11.23 -14.07 -19.17 -10.99 -18.36 -1.44 -27.76 8.27 -18.20 -20.17 68.20 28.82 145.67 20.99 10.03 -72.96 -72.95 68.78 20.76 -66.60 -51.78 78.65 9.94 37.78 89.78 3.96 -13.01 -1.25 -5.17 -7.45 13.66 -33.04 46.81 -14.95 13.84 -9.32 20.22 4.30 -27.77 -8.40 20.26 -11.02 6.91 0.97 23.95 9.93 -24.24 1.25 20.32 10.09 22.41 -2.15 -9.77 4.34 -17.30 -5.08 8.69 37.24 -36.66 21.99 -10.89 -22.69 -19.92 6.24 23.46 -31.34 11.89 -33.14 140.68 -6.53 0.30 -1.36 -2.01 7.55 -0.60 3.89 -4.87 5.19 -3.34 1.92 -4.43
Change in exchange rate 0.23 -0.71 -1.42 0.70 0.23 0.41 0.65 0.81 -2.35 0.35 0.84 1.41 -0.07 -0.18 0.95 -1.29 -1.78 -1.47 0.19 0.00 -0.20 0.43 -0.74 -1.36 -1.17 0.71 -0.83 0.56 -0.28 -0.51 0.14 0.10 0.09 0.19 -0.05 0.01
about 1 hour ago
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