Sign in

TAKEDA PHARMACEUTICAL CO LTD

Mar-26 Mar-25 Mar-24 Mar-23 Mar-22 Mar-21 Mar-20 Mar-19 Mar-18 Mar-17 Mar-16 Mar-15 Mar-14 Mar-13 Mar-12 Mar-11 Mar-10 Mar-09 Mar-08 Mar-07
Total revenue 4,777.45 4,581.55 4,263.76 4,027.48 3,569.01 3,197.81 3,291.19 2,097.22 1,770.53 1,732.05 1,807.38 1,777.82 1,691.69 1,557.27 1,508.93 1,419.39 1,465.97 1,538.34 1,374.80 1,305.17
Cost of revenue 2,338.12 1,580.22 1,431.51 1,244.07 1,106.85 994.31 1,089.76 659.69 495.92 558.76 535.41 520.99 490.26 447.63 433.19 317.58 285.06 289.54 278.63 279.66
Gross profit 2,439.33 3,001.33 2,832.26 2,783.41 2,462.16 2,203.50 2,201.42 1,437.53 1,274.61 1,173.30 1,271.97 1,256.83 1,201.42 1,109.64 1,075.74 1,101.80 1,180.90 1,248.79 1,096.17 1,025.51
Total operating expenses + 1,866.29 2,658.75 2,618.18 2,292.90 2,001.32 1,694.24 2,101.02 1,277.17 1,032.82 1,017.43 1,141.15 1,386.09 1,062.15 987.13 810.71 734.72 760.69 942.33 673.05 567.01
Operating income 573.04 342.59 214.08 490.51 460.84 509.27 100.41 204.97 241.79 155.87 130.83 -129.25 139.27 122.51 265.03 367.08 420.21 306.47 423.12 458.50
Non-operating income (net) -297.16 -167.50 -161.28 -115.42 -158.27 -143.03 -161.16 -110.07 -24.58 -12.52 -10.29 -16.18 19.58 7.20 -12.55 4.49 -4.38 92.08 153.72 166.88
Income before tax 275.88 175.08 52.79 375.09 302.57 366.24 -60.75 94.90 217.21 143.35 120.54 -145.44 158.85 129.71 252.48 371.57 415.83 398.55 576.84 625.38
Income tax expense 72.27 66.94 -91.41 58.05 72.41 -9.94 -105.04 -14.12 30.50 27.83 37.06 -2.40 49.29 -3.88 125.21 121.33 115.67 161.35 218.77 285.84
Net income 203.33 107.93 144.07 317.02 230.06 376.01 44.24 109.13 186.89 114.94 80.17 -145.78 106.66 131.24 124.16 247.87 297.74 234.39 355.45 335.81
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
Total revenue 1,114.65 1,213.21 1,112.80 1,106.69 1,053.40 1,144.12 1,176.04 1,207.99 1,050.87 1,111.19 1,043.09 1,058.62 956.16 1,096.55 1,002.31 972.47 873.29 901.29 844.82 949.60 770.27 836.75 788.94 801.85 771.70 859.32 811.05 849.12 717.21 499.40 430.78 449.83 400.96 488.15 433.18 448.24 416.21 465.05 416.80 434.01 414.12 489.21 457.75 446.30 437.84 488.63 440.20 411.15 404.81 458.82 417.74 410.30 368.16 402.17 388.64 398.29 381.32 425.11 345.28 357.22 338.26 367.11 359.33 354.70 338.02 372.49 376.48 378.98 335.58 395.62 410.26
Cost of revenue 570.84 552.87 380.06 384.68 382.10 416.87 394.31 386.95 387.33 379.48 343.58 321.11 309.77 335.97 305.45 292.88 308.38 281.40 275.80 241.26 253.45 253.14 249.64 238.08 248.18 279.58 271.71 300.59 289.84 138.51 110.75 120.59 110.89 142.29 121.87 120.87 134.41 147.49 141.46 135.40 132.97 145.03 136.29 121.12 134.58 139.42 128.95 118.04 130.94 131.54 120.14 115.09 111.07 120.50 112.75 103.31 128.18 145.45 80.67 78.90 82.89 84.11 77.48 73.10 70.44 74.25 69.05 71.34 68.27 70.56 72.08
Gross profit 543.81 660.35 732.74 722.01 671.30 727.25 781.73 821.04 663.54 731.71 699.51 737.50 646.38 760.58 696.86 679.58 564.91 619.89 569.02 708.34 516.83 583.61 539.29 563.77 523.52 579.74 539.34 548.53 427.38 360.89 320.03 329.24 290.07 345.86 311.30 327.37 281.80 317.56 275.33 298.61 281.16 344.18 321.46 325.17 303.26 349.21 311.26 293.11 273.87 327.28 297.60 295.21 257.09 281.68 275.90 294.98 253.15 279.65 264.62 278.32 255.37 282.99 281.85 281.60 267.58 298.25 307.43 307.64 267.30 325.06 338.18
Total operating expenses + 496.27 466.28 663.74 537.44 746.20 660.31 597.48 654.71 673.61 626.79 748.85 568.93 557.82 613.59 592.43 529.07 566.53 503.41 471.60 459.79 366.29 440.47 490.99 396.49 585.66 526.23 498.89 538.66 551.43 248.42 246.94 230.37 370.57 257.93 271.93 132.40 343.36 262.20 266.19 145.68 317.81 287.15 260.57 275.62 631.56 266.86 258.25 229.42 303.95 260.50 244.90 247.51 285.25 547.20 75.80 78.88 620.97 70.74 61.29 57.72 544.72 65.81 62.08 62.11 551.41 73.70 70.71 64.87 564.73 56.53 86.24
Operating income 47.54 194.06 69.00 184.57 -74.90 66.94 184.25 166.33 -10.07 104.91 -49.34 168.57 88.56 146.99 104.44 150.52 -1.62 116.48 97.43 248.55 150.54 143.14 48.30 167.29 -62.14 53.51 40.44 9.87 -79.45 112.46 73.09 98.87 -80.50 87.94 39.37 194.98 -61.56 55.35 9.14 152.93 -36.65 57.03 60.89 49.56 -328.31 82.36 53.01 63.69 -30.08 66.79 52.70 47.71 -28.17 -265.53 200.10 216.10 -367.82 208.92 203.33 220.60 -289.35 217.19 219.76 219.48 -283.83 224.55 236.72 242.77 -297.42 268.53 251.94
Non-operating income (net) -100.98 -57.78 -40.82 -33.94 -32.40 -40.54 -64.88 -29.73 -37.45 -43.65 -46.64 -33.12 -40.65 -39.84 -39.02 5.46 -52.43 -44.29 -35.98 -25.57 -19.66 -33.35 -53.03 -36.99 -54.63 -28.67 -42.82 -35.05 -34.03 -64.87 -6.17 -5.01 9.81 -33.04 -4.63 3.27 -3.91 -1.55 -3.80 -3.26 2.58 -4.46 -7.57 -0.84 -4.70 -7.93 0.14 -3.70 8.67 12.00 11.69 2.48 -8.09 301.17 -145.51 -140.37 337.59 -135.75 -113.02 -101.37 324.44 -106.18 -98.13 -115.65 330.40 -110.19 -119.41 -105.18 368.41 -117.23 -143.47
Income before tax -53.44 136.28 28.17 150.63 -107.30 26.41 119.37 136.60 -47.52 61.26 -95.98 135.45 47.92 107.15 65.42 155.97 -54.05 72.19 61.45 222.98 130.88 109.80 -4.73 130.29 -116.76 24.84 -2.37 -25.19 -113.48 47.60 66.92 93.86 -70.69 54.90 34.75 198.24 -65.47 53.80 5.34 149.68 -34.07 52.57 53.32 48.72 -333.00 74.43 53.15 59.99 -21.42 78.79 64.39 50.19 -36.26 35.64 54.59 75.73 -30.24 73.17 90.32 119.24 35.09 111.00 121.64 103.83 46.57 114.36 117.31 137.59 70.98 151.30 108.47
Income tax expense -28.74 30.67 39.90 26.35 -4.20 2.57 27.27 41.30 -44.53 -44.50 -48.01 45.63 16.78 -12.00 2.82 50.45 -42.67 14.37 15.45 85.25 -66.27 17.36 -8.80 47.77 -118.32 56.95 -56.29 -4.55 -58.14 9.74 18.51 15.78 -16.71 -13.12 7.07 53.25 -12.95 11.37 -19.92 49.33 -1.18 -7.81 22.76 23.29 -107.63 55.24 24.30 25.68 -16.52 22.52 20.45 20.48 -29.42 16.46 21.70 -12.62 5.68 47.43 29.49 42.62 2.62 38.90 40.83 38.99 7.54 44.11 39.68 24.35 4.89 53.73 38.50
Net income -24.77 105.51 -11.80 124.24 -103.20 23.79 92.05 95.25 -3.02 105.72 -48.03 89.40 31.13 119.13 61.74 105.01 -11.36 57.77 45.96 137.68 197.10 92.36 4.04 82.51 1.72 -32.22 53.84 -20.66 -55.31 37.77 48.43 78.24 -54.02 68.09 28.03 144.79 -50.73 41.37 24.77 99.53 -33.48 59.26 29.80 24.58 -225.52 18.31 28.04 33.40 -4.34 54.53 42.80 29.08 -7.67 19.12 32.23 87.56 -36.45 24.95 60.08 75.58 32.38 71.28 80.10 64.11 38.60 69.52 77.04 112.59 65.81 96.79 69.29
about 6 hours ago
Ask a follow up
Mar-26 Mar-25 Mar-24 Mar-23 Mar-22 Mar-21 Mar-20 Mar-19 Mar-18 Mar-17 Mar-16 Mar-15 Mar-14 Mar-13 Mar-12 Mar-11 Mar-10 Mar-09 Mar-08 Mar-07
Total cash and short-term investments + 597.63 405.59 472.89 553.70 875.00 1,002.82 653.44 725.37 375.17 376.14 560.03 713.42 851.03 305.85 460.52 219.41 883.22 758.78 3,058.71 1,799.94
Accounts receivable, net 880.15 725.25 697.61 681.69 724.38 812.71 784.92 749.12 428.79 444.78 430.57 466.83 442.66 387.02 361.87 283.59 279.70 301.45 388.25 400.66
Inventories 1,402.68 1,217.35 1,209.87 986.46 853.17 753.88 759.60 986.74 212.94 226.29 254.01 262.35 254.33 229.53 195.01 137.13 137.70 131.66 116.13 105.31
Other current assets 223.45 173.00 178.21 176.10 141.10 143.48 271.48 598.88 61.90 213.45 129.18 77.47 44.51 53.31 43.28 574.91 551.96 585.15 442.67 452.47
Total current assets 3,103.91 2,521.19 2,558.58 2,397.96 2,593.64 2,712.89 2,469.43 3,050.66 1,078.81 1,260.66 1,373.79 1,520.07 1,592.54 1,455.08 1,279.00 1,586.25 1,572.87 1,475.58 2,243.79 2,357.71
Total non-current assets + 12,416.23 11,727.15 12,550.21 11,559.79 10,584.38 10,199.40 10,351.66 10,799.74 3,027.66 3,086.38 2,450.30 2,776.12 2,976.61 2,821.15 2,544.57 1,200.15 1,250.40 1,284.60 605.49 714.79
Total assets 15,520.14 14,248.34 15,108.79 13,957.75 13,178.02 12,912.29 12,821.09 13,872.32 4,106.46 4,355.78 3,824.09 4,296.19 4,569.14 3,955.60 3,577.03 2,786.40 2,823.27 2,760.19 2,849.28 3,072.50
Total current liabilities + 2,440.07 2,506.52 2,313.10 2,481.94 2,145.73 1,773.18 2,175.90 2,510.93 737.51 1,366.09 857.21 1,016.82 802.75 613.63 751.73 436.60 428.48 472.11 428.71 442.41
Total non-current liabilities + 5,271.55 4,805.84 5,521.68 5,121.14 5,348.77 5,961.94 5,917.71 6,197.80 1,351.55 1,040.73 955.67 1,073.19 1,225.76 1,118.61 753.43 213.15 230.05 234.24 98.04 168.98
Total liabilities 7,711.62 7,312.37 7,834.79 7,603.08 7,494.50 7,735.12 8,093.61 8,708.73 2,089.05 2,406.82 1,812.88 2,090.02 2,028.51 1,732.24 1,505.16 649.75 658.53 706.35 526.75 611.39
Total stockholders' equity + 7,807.31 6,935.08 7,273.26 6,354.12 5,683.02 5,173.04 4,723.48 5,159.58 1,997.42 1,894.26 1,948.69 2,137.05 2,470.74 2,159.94 2,012.35 2,091.92 2,121.34 2,011.45 2,280.78 2,420.25
Common shares outstanding 3,206 3,211 3,161 3,140 3,154 3,147 3,132 1,934 1,573 1,572 1,576 1,573 1,581 1,579 1,579 1,579 1,579 1,618 1,697 1,740
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
Total cash and short-term investments + 597.63 762.39 739.68 419.18 405.59 526.75 906.22 857.66 472.89 317.40 333.81 368.61 553.70 726.61 830.07 664.53 875.00 751.90 633.62 684.85 1,002.82 654.30 646.18 600.93 653.44 588.42 557.43 615.09 725.37 1,864.20 337.36 250.63 375.17 466.48 460.67 490.28 376.14 738.45 739.18 732.77 560.03 660.51 667.59 637.92 713.42 856.50 841.36 762.74 851.03 732.65 719.14 384.88 305.85 422.09 412.02 381.33 460.52 384.44 405.94 820.34 219.41 762.38 805.57 771.18 883.22 807.40 808.31 0.00 758.78 606.60 0.00
Accounts receivable, net 880.15 758.44 702.24 679.53 725.25 735.06 721.06 772.37 697.61 743.08 788.07 825.48 681.69 779.87 800.54 794.09 724.38 756.12 887.30 858.96 812.71 828.94 769.81 815.27 784.92 852.13 805.74 788.63 749.12 515.79 468.92 459.72 428.79 518.69 470.86 471.16 444.78 496.86 446.20 440.42 430.57 493.73 478.37 479.83 466.83 500.22 461.78 442.09 442.66 423.63 382.12 363.65 387.02 377.10 546.59 547.44 361.87 600.29 577.05 519.68 523.90 534.67 521.39 517.74 516.89 520.17 524.89 520.55 508.48
Inventories 1,402.68 1,408.15 1,299.49 1,240.68 1,217.35 1,246.43 1,206.43 1,276.74 1,209.87 1,169.64 1,155.87 1,083.37 986.46 927.29 953.45 927.51 853.17 811.32 783.48 779.15 753.88 739.35 743.48 759.38 759.60 801.34 840.84 902.52 986.74 223.40 233.30 221.42 212.94 225.10 234.30 234.68 226.29 222.91 237.92 242.20 254.01 268.74 275.00 277.63 262.35 282.66 277.42 267.58 254.33 251.90 238.53 237.52 229.53 224.49 208.44 203.52 195.01 209.52 241.31 139.86 137.13 135.99 135.43 135.65 137.70 138.76 135.92 131.66 127.17
Other current assets 223.45 190.03 179.22 173.74 173.00 246.05 220.31 200.77 178.21 198.71 184.33 194.55 176.10 162.18 161.56 163.38 141.10 158.56 151.96 153.50 143.48 394.01 425.67 299.19 271.48 278.43 170.43 625.92 598.88 66.68 68.36 111.78 61.90 55.71 56.17 74.70 213.45 198.04 61.00 58.14 129.18 126.73 59.27 76.10 77.47 64.41 53.09 58.95 44.51 799.75 755.28 759.88 53.31 684.67 621.31 612.34 43.28 646.96 627.25 583.25 574.91 583.89 560.06 559.35 551.96 550.72 561.80 585.15 573.82
Total current assets 3,103.91 3,118.57 2,920.62 2,513.12 2,521.19 2,754.29 3,054.01 3,107.53 2,558.58 2,428.83 2,462.07 2,472.02 2,397.96 2,595.95 2,745.62 2,549.52 2,593.64 2,477.89 2,456.35 2,476.46 2,712.89 2,616.60 2,585.14 2,474.76 2,469.43 2,520.33 2,374.44 2,932.16 3,050.66 2,670.07 1,107.94 1,043.55 1,078.81 1,265.98 1,222.00 1,270.82 1,260.66 1,656.26 1,484.30 1,473.53 1,373.79 1,549.71 1,480.22 1,471.48 1,520.07 1,703.79 1,633.65 1,531.36 1,592.54 1,784.30 1,712.95 1,382.29 1,455.08 1,331.25 1,241.77 1,197.19 1,279.00 1,240.92 1,274.50 1,543.46 1,586.25 1,482.26 1,501.06 1,466.18 1,572.87 1,496.89 1,506.03 1,475.58 1,307.59
Total non-current assets + 12,416.23 12,300.73 11,549.68 11,491.42 11,727.15 12,352.56 11,518.99 13,120.15 12,550.21 11,794.12 12,409.82 12,320.72 11,559.79 10,908.76 11,843.23 11,515.91 10,584.38 10,220.63 10,103.92 10,180.78 10,199.40 9,669.54 9,829.61 10,139.09 10,351.66 10,511.17 10,505.70 10,618.27 10,799.74 3,097.15 3,166.90 3,116.03 3,027.66 3,144.58 3,153.96 3,075.11 3,086.38 2,485.77 2,317.52 2,343.48 2,450.30 2,640.17 2,733.61 2,849.37 2,776.12 2,949.58 2,938.16 2,905.97 2,976.61 2,641.49 2,540.27 2,551.42 2,821.15 2,452.48 2,240.40 2,270.76 2,544.57 2,180.46 2,224.78 1,170.11 1,200.15 1,197.81 1,207.61 1,218.17 1,250.40 1,256.43 1,233.90 1,284.60 1,247.06
Total assets 15,520.14 15,419.29 14,470.30 14,004.54 14,248.34 15,106.84 14,573.00 16,227.68 15,108.79 14,222.95 14,871.89 14,792.74 13,957.75 13,504.71 14,588.85 14,065.43 13,178.02 12,698.52 12,560.27 12,657.23 12,912.29 12,286.14 12,414.75 12,613.85 12,821.09 13,031.49 12,880.14 13,550.42 13,872.32 5,767.22 4,274.84 4,159.58 4,106.46 4,410.56 4,375.96 4,345.92 4,355.78 4,142.03 3,801.82 3,817.01 3,824.09 4,189.88 4,213.83 4,320.85 4,296.19 4,653.37 4,571.81 4,437.33 4,569.14 4,425.79 4,253.22 3,933.71 3,955.60 3,783.73 3,482.16 3,467.95 3,577.03 3,421.38 3,499.28 2,713.57 2,786.40 2,680.07 2,708.67 2,684.35 2,823.27 2,753.32 2,739.93 2,760.19 2,760.19 2,554.65 2,554.65
Total current liabilities + 2,440.07 2,611.96 2,139.66 2,169.59 2,506.52 2,097.96 2,387.24 2,465.20 2,313.10 2,282.17 2,367.62 2,501.74 2,481.94 2,236.81 2,391.72 2,166.94 2,145.73 1,809.25 1,918.75 1,706.78 1,773.18 1,804.96 1,709.66 2,031.54 2,175.90 2,127.37 1,634.63 2,006.62 2,510.93 871.71 844.19 733.44 737.51 878.17 838.77 939.62 1,366.09 957.95 808.84 822.76 857.21 1,011.25 985.98 1,010.95 1,016.82 837.92 779.16 740.64 802.75 581.08 546.99 543.62 613.63 572.79 488.28 726.44 751.73 1,027.03 1,017.20 389.44 436.60 375.07 375.45 368.00 428.48 426.45 429.92 472.11 409.77
Total non-current liabilities + 5,271.55 5,158.02 5,198.96 4,968.77 4,805.84 5,589.69 5,264.17 5,963.25 5,521.68 5,198.17 5,433.25 5,369.33 5,121.14 5,091.40 5,483.64 5,581.10 5,348.77 5,557.44 5,317.16 5,711.81 5,961.94 5,841.75 6,038.59 5,891.54 5,917.71 6,027.91 6,375.82 6,669.35 6,197.80 2,852.94 1,258.49 1,359.56 1,351.55 1,398.31 1,431.49 1,369.52 1,040.73 1,139.68 1,113.94 1,124.97 955.67 1,016.26 1,045.54 1,078.28 1,073.19 1,242.59 1,261.71 1,242.69 1,225.76 1,391.46 1,359.06 1,113.58 1,118.61 1,088.52 1,022.68 791.32 753.43 419.48 437.03 207.72 213.15 212.47 219.73 231.37 230.05 220.13 221.19 234.24 226.05
Total liabilities 7,711.62 7,769.98 7,338.61 7,138.36 7,312.37 7,687.65 7,651.40 8,428.45 7,834.79 7,480.34 7,800.86 7,871.07 7,603.08 7,328.21 7,875.36 7,748.04 7,494.50 7,366.70 7,235.91 7,418.59 7,735.12 7,646.71 7,748.25 7,923.09 8,093.61 8,155.28 8,010.46 8,675.97 8,708.73 3,724.65 2,102.68 2,093.00 2,089.05 2,276.48 2,270.26 2,309.14 2,406.82 2,097.62 1,922.77 1,947.73 1,812.88 2,027.51 2,031.52 2,089.23 2,090.02 2,080.51 2,040.88 1,983.33 2,028.51 1,972.54 1,906.05 1,657.20 1,732.24 1,661.31 1,510.97 1,517.75 1,505.16 1,446.50 1,454.23 597.16 649.75 587.54 595.18 599.37 658.53 646.57 651.11 706.35 635.82
Total stockholders' equity + 7,807.31 7,648.16 7,130.70 6,865.26 6,935.08 7,418.27 6,920.75 7,798.42 7,273.26 6,741.93 7,070.35 6,921.05 6,354.12 6,175.98 6,712.93 6,316.83 5,683.02 5,331.33 5,323.94 5,238.26 5,173.04 4,635.35 4,662.40 4,686.76 4,723.48 4,872.07 4,865.71 4,870.37 5,159.58 2,038.68 2,168.36 2,043.50 1,997.42 2,113.89 2,085.73 2,014.57 1,894.26 1,981.58 1,819.16 1,808.68 1,948.69 2,098.86 2,119.44 2,165.24 2,137.05 2,503.48 2,463.88 2,388.58 2,470.74 2,382.90 2,282.37 2,212.07 2,159.94 2,062.16 1,912.73 1,891.61 2,012.35 1,917.17 1,987.71 2,071.31 2,091.92 2,048.16 2,068.81 2,040.80 2,121.34 2,063.66 2,045.72 2,011.45 1,876.91
Common shares outstanding 3,125 3,205 3,155 3,176 3,163 3,170 3,220 3,178 3,137 3,170 3,131 3,130 3,228 3,141 3,127 3,109 3,152 3,150 3,161 3,109 3,147 3,151 3,146 3,132 3,115 3,115 3,124 3,122 3,137 1,577 1,575 1,573 1,563 1,573 1,572 1,570 1,562 1,569 1,568 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137 3,137
about 6 hours ago
Ask a follow up
Mar-26 Mar-25 Mar-24 Mar-23 Mar-22 Mar-21 Mar-20 Mar-19 Mar-18 Mar-17 Mar-16 Mar-15 Mar-14 Mar-13 Mar-12 Mar-11 Mar-10 Mar-09 Mar-08 Mar-07
Operating cash flow + 995.32 1,057.18 716.34 977.16 1,123.11 1,010.93 669.75 328.48 377.85 261.36 25.49 182.52 148.34 307.71 336.57 326.94 381.17 326.27 292.50 209.28
Cash flow from investing + -411.19 -367.06 -463.86 -607.10 -198.13 393.53 292.12 -2,835.70 -93.34 -655.69 -71.21 91.35 -158.61 -111.38 -1,093.96 -99.26 -117.52 -767.26 101.75 116.39
Cash flow from financing + -398.08 -751.43 -354.42 -709.15 -1,070.27 -1,088.35 -1,005.21 2,946.24 -326.23 289.90 -124.84 -301.00 101.44 -150.56 393.79 -146.54 -148.05 -425.84 -262.08 -315.94
Change in cash 186.05 -61.30 -101.93 -339.09 -145.29 316.11 -43.34 439.02 -41.71 -104.43 -170.56 -27.13 91.17 45.77 -363.61 81.14 115.60 -866.82 132.16 9.73
Change in exchange rate 0.00 0.00 0.00 0.00
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 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08
Operating cash flow + 19.66 360.04 378.23 215.42 222.16 383.76 280.96 170.30 278.59 146.45 198.91 92.40 293.69 378.23 220.99 84.24 375.58 347.51 233.15 166.86 400.96 217.96 246.15 145.86 185.44 143.23 220.30 120.79 117.48 93.16 77.36 40.47 125.75 85.08 92.47 74.56 124.46 25.13 61.00 50.77 -145.08 75.60 76.33 18.64 32.98 64.88 72.62 12.04 105.45 49.99 82.26 -89.37 118.68 59.20 110.16 38.90 112.39 79.34 112.93 76.51 144.46 52.66
Cash flow from investing + -58.42 -247.98 -48.13 -33.19 -19.68 -115.56 -75.13 -156.69 -61.48 -75.27 -327.11 -266.53 -607.10 -168.61 -27.21 -94.71 -25.64 -69.14 -32.90 -70.45 293.33 71.98 27.56 0.66 36.25 -74.54 372.02 -41.60 -1,221.66 -1,611.89 14.95 -17.09 -107.52 -9.01 -76.14 99.33 -615.65 -28.97 -5.45 -5.61 28.06 -58.35 -20.56 -20.36 -12.09 77.96 -4.03 29.50 -15.29 -131.99 4.80 -16.13 -5.79 -30.88 -41.39 -21.20 -57.66 -20.81 -16.61 -22.45 6.27 9.17
Cash flow from financing + -31.72 -169.51 -11.98 -214.90 -301.79 -655.97 -110.05 316.38 -58.22 -97.76 -140.66 -57.78 -6.60 -434.96 -51.88 -215.72 -243.80 -168.06 -247.37 -411.04 -370.07 -300.07 -225.45 -192.77 -143.93 -49.61 -633.97 -177.70 1,534.26 1,509.15 -15.01 -82.16 -149.96 -68.13 -20.30 -87.83 258.45 -66.64 -14.35 112.44 38.03 -64.57 -11.72 -86.57 -131.83 -63.05 -26.86 -79.26 -7.90 -66.75 240.03 -63.93 -9.65 -63.83 -9.34 -63.73 -11.12 -62.87 -8.81 -65.25 -7.89 -187.01
Change in cash -70.49 -57.45 318.11 -32.67 -99.31 -387.77 95.79 329.99 158.88 -26.58 -268.86 -231.91 -320.01 -225.34 141.91 -226.19 106.15 110.31 -47.12 -314.63 324.22 -10.14 48.27 -46.24 77.75 19.08 -41.66 -98.51 430.08 -9.58 77.30 -58.78 -131.74 7.93 -3.98 86.07 -232.74 -70.48 41.20 157.59 -78.99 -47.33 44.04 -88.28 -110.94 79.79 41.73 -37.72 82.26 -148.75 327.08 -169.43 0.00 0.00 0.00 103.24 -35.51 59.43 -46.03 43.61 -4.34 87.52 -11.19 142.84 -125.18
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00 0.00
about 6 hours ago
Ask a follow up