WOORI FINANCIAL GROUP INC.
|
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 |
| Total revenue |
4,115.60 |
25,749.84 |
23,699.22 |
17,386.13 |
12,506.68 |
11,249.81 |
12,426.64 |
11,491.26 |
10,572.07 |
9,747.31 |
11,072.14 |
4,561.68 |
3,291.90 |
4,553.26 |
| Cost of revenue |
14,438.51 |
14,837.72 |
13,771.84 |
6,840.92 |
3,440.29 |
4,309.12 |
5,055.43 |
4,363.74 |
4,115.63 |
4,326.84 |
0.00 |
0.02 |
|
|
| Gross profit |
4,115.60 |
10,912.12 |
9,927.38 |
10,545.22 |
9,066.39 |
6,940.69 |
7,371.21 |
7,127.52 |
6,456.44 |
5,420.46 |
11,072.14 |
4,561.68 |
3,291.90 |
4,553.26 |
| Selling, general and administrative |
3,454.48 |
4,023.22 |
3,833.56 |
3,897.78 |
3,568.01 |
3,333.33 |
3,193.44 |
3,491.17 |
3,127.65 |
3,003.41 |
2,620.42 |
2,469.56 |
2,431.09 |
2,680.94 |
| Research and development |
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
| Other operating expenses |
3,654.63 |
2,666.05 |
2,576.37 |
2,099.87 |
1,811.33 |
1,606.11 |
1,454.72 |
831.48 |
1,379.28 |
863.66 |
-246.80 |
1,257.72 |
573.14 |
234.40 |
| Operating income |
4,115.60 |
4,222.85 |
3,517.45 |
4,547.57 |
3,687.05 |
2,001.25 |
2,723.05 |
2,804.87 |
1,949.51 |
1,553.39 |
1,277.46 |
928.49 |
263.91 |
1,748.87 |
| Non-operating income (net) |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
188.30 |
-94.10 |
23.76 |
-110.95 |
| Income before tax |
4,115.60 |
4,222.85 |
3,517.45 |
4,547.57 |
3,687.05 |
2,001.25 |
2,723.05 |
2,804.87 |
1,949.51 |
1,553.39 |
1,465.76 |
834.40 |
287.67 |
1,637.92 |
| Income tax expense |
871.18 |
1,051.38 |
890.56 |
1,178.50 |
924.77 |
486.00 |
685.45 |
753.22 |
419.42 |
275.86 |
376.55 |
288.20 |
35.10 |
356.84 |
| Net income |
3,244.43 |
3,086.00 |
2,506.30 |
3,186.77 |
2,542.84 |
1,307.27 |
1,872.21 |
2,033.18 |
1,512.15 |
1,261.27 |
875.84 |
385.16 |
132.61 |
1,137.10 |
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 |
Sep-13 |
Jun-13 |
Mar-13 |
Sep-12 |
Jun-05 |
| Total revenue |
847.95 |
535.47 |
6,495.16 |
6,251.19 |
6,225.37 |
6,327.39 |
6,581.66 |
6,508.46 |
6,332.32 |
6,294.69 |
5,976.51 |
5,745.10 |
5,682.92 |
5,316.98 |
4,348.00 |
4,038.13 |
3,683.03 |
3,354.12 |
3,149.76 |
3,026.97 |
2,973.24 |
2,751.97 |
2,707.92 |
2,760.91 |
3,029.61 |
3,007.30 |
3,132.94 |
3,213.11 |
1,807.12 |
2,641.86 |
2,903.08 |
1,774.04 |
1,768.22 |
3.92 |
1,537.65 |
1,471.55 |
1,529.77 |
1,356.14 |
1,176.76 |
1,401.29 |
1,576.81 |
1,313.21 |
1,350.14 |
1,105.97 |
957.52 |
1,144.86 |
1,186.72 |
1,146.23 |
1,271.21 |
1,175.34 |
1,004.10 |
-608.70 |
1,682.44 |
|
| Cost of revenue |
3,648.50 |
3,648.50 |
3,722.22 |
3,360.97 |
3,488.04 |
3,784.53 |
3,787.59 |
3,627.00 |
3,638.60 |
4,095.44 |
3,311.88 |
3,392.92 |
2,971.60 |
2,530.94 |
1,703.64 |
1,488.18 |
1,118.16 |
1,024.05 |
823.02 |
747.94 |
842.68 |
963.61 |
925.04 |
1,270.09 |
1,151.75 |
1,181.45 |
1,392.93 |
1,274.04 |
60.01 |
1,384.21 |
1,128.11 |
-150.67 |
122.24 |
0.02 |
0.00 |
0.00 |
5.91 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Gross profit |
847.95 |
535.47 |
2,772.95 |
2,890.22 |
2,737.33 |
2,542.86 |
2,794.08 |
2,881.46 |
2,693.73 |
2,199.25 |
2,664.64 |
2,352.18 |
2,711.32 |
2,786.04 |
2,644.36 |
2,549.94 |
2,564.87 |
2,330.07 |
2,326.74 |
2,279.03 |
2,130.55 |
1,788.36 |
1,782.88 |
1,490.82 |
1,877.86 |
1,825.85 |
1,740.02 |
1,939.07 |
1,747.11 |
1,257.65 |
1,774.96 |
1,924.71 |
1,645.99 |
3.90 |
1,537.65 |
1,471.55 |
1,529.77 |
1,356.14 |
1,176.76 |
1,401.29 |
1,576.81 |
1,313.21 |
1,350.14 |
1,105.97 |
957.52 |
1,144.86 |
1,186.72 |
1,146.23 |
1,271.21 |
1,175.34 |
1,004.10 |
-608.70 |
1,682.44 |
|
| Selling, general and administrative |
987.21 |
987.21 |
1,094.66 |
1,057.21 |
1,046.19 |
1,187.15 |
954.85 |
957.61 |
947.91 |
1,082.65 |
906.76 |
908.94 |
935.22 |
1,282.13 |
874.69 |
853.85 |
887.11 |
1,011.31 |
850.13 |
839.29 |
823.52 |
1,138.99 |
809.09 |
794.67 |
792.50 |
919.02 |
762.57 |
759.37 |
831.45 |
889.86 |
790.23 |
827.65 |
739.68 |
2.17 |
976.23 |
635.41 |
920.09 |
620.35 |
635.63 |
722.21 |
718.57 |
42.67 |
622.85 |
673.19 |
676.60 |
605.81 |
587.35 |
102.39 |
565.75 |
951.82 |
114.58 |
154.64 |
925.12 |
|
| Research and development |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other operating expenses |
1,920.83 |
1,920.83 |
149.23 |
646.52 |
826.55 |
724.43 |
638.52 |
676.95 |
601.86 |
994.46 |
511.10 |
565.03 |
505.78 |
712.46 |
481.46 |
393.26 |
512.69 |
784.44 |
341.63 |
363.75 |
365.27 |
357.95 |
297.81 |
414.92 |
332.75 |
582.14 |
307.18 |
277.43 |
89.85 |
190.23 |
158.95 |
101.56 |
100.27 |
0.01 |
189.78 |
234.82 |
415.69 |
-92.84 |
92.86 |
333.32 |
496.17 |
705.18 |
324.99 |
138.74 |
417.77 |
145.52 |
277.58 |
735.04 |
364.80 |
87.39 |
748.31 |
-86.94 |
-10.65 |
-0.04 |
| Operating income |
847.95 |
535.47 |
1,529.05 |
1,186.49 |
864.60 |
631.28 |
1,200.71 |
1,246.90 |
1,143.96 |
122.14 |
1,246.78 |
878.21 |
1,270.32 |
791.45 |
1,288.21 |
1,302.83 |
1,165.08 |
534.32 |
1,134.98 |
1,075.99 |
941.76 |
291.42 |
675.98 |
281.24 |
752.61 |
324.70 |
670.27 |
902.27 |
825.81 |
177.55 |
825.79 |
995.50 |
806.04 |
1.74 |
302.28 |
610.13 |
204.45 |
880.32 |
440.62 |
373.76 |
382.90 |
556.33 |
404.09 |
333.57 |
-67.55 |
296.77 |
303.77 |
265.13 |
428.59 |
105.08 |
331.33 |
-379.04 |
728.36 |
-0.04 |
| 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 |
0.00 |
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 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
-0.26 |
69.36 |
-8.81 |
-10.45 |
-51.69 |
7.65 |
-28.00 |
-20.83 |
9.04 |
-1.79 |
-39.53 |
-69.30 |
96.76 |
18.02 |
43.66 |
-87.93 |
31.05 |
-190.13 |
-161.96 |
39.62 |
464.87 |
| Income before tax |
847.95 |
535.47 |
1,529.05 |
1,186.49 |
864.60 |
631.28 |
1,200.71 |
1,246.90 |
1,143.96 |
122.14 |
1,246.78 |
878.21 |
1,270.32 |
791.45 |
1,288.21 |
1,302.83 |
1,165.08 |
534.32 |
1,134.98 |
1,075.99 |
941.76 |
291.42 |
675.98 |
281.24 |
752.61 |
324.70 |
670.27 |
902.27 |
825.81 |
177.55 |
825.79 |
995.50 |
806.04 |
1.48 |
371.64 |
601.32 |
193.99 |
828.63 |
448.28 |
345.76 |
362.07 |
565.36 |
402.30 |
294.04 |
-136.85 |
393.53 |
321.79 |
308.80 |
340.66 |
136.13 |
141.20 |
-541.00 |
767.98 |
464.83 |
| Income tax expense |
209.03 |
176.85 |
237.55 |
246.74 |
210.04 |
177.21 |
283.73 |
285.39 |
305.05 |
27.18 |
328.66 |
211.02 |
323.70 |
215.07 |
354.82 |
316.00 |
292.61 |
133.68 |
310.59 |
257.60 |
222.90 |
71.92 |
154.27 |
64.97 |
194.84 |
93.17 |
136.16 |
244.84 |
211.28 |
46.76 |
221.25 |
273.70 |
211.52 |
0.31 |
88.21 |
135.03 |
33.64 |
185.90 |
88.88 |
34.48 |
140.57 |
118.86 |
77.23 |
65.17 |
15.09 |
93.58 |
109.29 |
84.01 |
79.80 |
55.53 |
21.58 |
148.71 |
188.20 |
|
| Net income |
638.92 |
358.62 |
1,243.92 |
935.33 |
616.69 |
426.13 |
904.37 |
931.50 |
824.00 |
68.11 |
899.31 |
625.19 |
913.69 |
525.03 |
899.81 |
922.75 |
839.19 |
344.91 |
778.24 |
752.60 |
667.10 |
166.50 |
480.20 |
142.35 |
518.22 |
206.51 |
486.01 |
611.00 |
568.69 |
129.78 |
597.53 |
716.14 |
589.74 |
1.16 |
241.05 |
419.33 |
98.34 |
588.21 |
306.38 |
257.22 |
170.20 |
392.81 |
270.47 |
184.19 |
-191.13 |
250.97 |
173.67 |
187.17 |
215.45 |
42.14 |
127.59 |
-336.39 |
518.18 |
464.83 |
|
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 |
| Cash and cash equivalents |
26,357.24 |
27,281.12 |
30,556.62 |
34,219.15 |
7,565.82 |
9,990.98 |
6,392.57 |
6,747.89 |
6,908.29 |
-15,954.58 |
6,644.06 |
5,962.86 |
5.78 |
5.78 |
6.42 |
13.56 |
| Short-term investments |
20,372.80 |
43,797.75 |
37,891.50 |
33,085.08 |
39,119.79 |
30,028.93 |
27,730.53 |
18,063.42 |
15,352.95 |
0.00 |
0.00 |
6.95 |
|
|
|
|
| Accounts receivable, net |
12,468.23 |
13,912.96 |
17,312.19 |
8,627.00 |
9,098.35 |
5,335.91 |
11,773.36 |
14,299.83 |
14,189.06 |
9,503.05 |
0.00 |
14.52 |
|
|
|
|
| Inventories |
|
|
13,244.43 |
-54,721.64 |
-37,802.09 |
-34,539.35 |
-32,271.16 |
-28,978.60 |
-27,178.81 |
6.19 |
0.00 |
0.00 |
|
|
|
|
| Other current assets |
-12,468.23 |
554.52 |
440.23 |
54,721.64 |
37,802.09 |
34,539.35 |
213.32 |
179.60 |
148.61 |
34,487.19 |
0.00 |
1.81 |
|
|
|
|
| Total current assets |
46,730.04 |
85,546.35 |
86,200.53 |
75,931.23 |
55,783.95 |
45,355.82 |
46,109.77 |
39,290.74 |
36,598.91 |
34,487.19 |
6,644.06 |
5,962.86 |
5.78 |
5.78 |
6.42 |
13.56 |
| Property, plant and equipment, net |
3,780.82 |
3,370.59 |
3,176.76 |
3,530.64 |
3,174.72 |
3,287.20 |
3,364.72 |
2,450.49 |
2,477.55 |
2,458.03 |
2,822.70 |
2.29 |
|
|
|
|
| Goodwill |
386.99 |
482.71 |
445.09 |
397.53 |
345.45 |
334.29 |
350.68 |
153.60 |
108.71 |
124.80 |
103.53 |
107.54 |
|
|
|
0.14 |
| Intangible assets |
669.65 |
1,387.68 |
1,345.26 |
1,253.12 |
1,310.64 |
1,394.67 |
1,442.55 |
1,430.75 |
1,394.51 |
220.24 |
264.92 |
132.85 |
|
|
|
|
| Long-term investments |
139,020.14 |
90,754.14 |
86,020.41 |
83,459.90 |
71,484.98 |
62,806.00 |
57,125.57 |
47,670.06 |
38,497.37 |
0.00 |
0.00 |
25.76 |
|
|
|
|
| Other non-current assets |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total assets |
601,457.29 |
525,753.32 |
498,004.94 |
480,474.40 |
447,183.87 |
399,081.02 |
361,980.72 |
340,447.18 |
316,295.46 |
310,682.73 |
291,859.07 |
270,157.22 |
327.10 |
325.71 |
312.79 |
271.15 |
|
| Accounts payable |
8,059.20 |
7,250.63 |
10,188.19 |
6,001.86 |
6,969.17 |
4,028.64 |
6,131.34 |
5,409.27 |
4,692.32 |
8,480.77 |
0.00 |
172.33 |
|
|
|
|
| Short-term debt |
50,111.62 |
1,713.25 |
1,275.76 |
2,890.21 |
1,318.22 |
3,779.95 |
702.52 |
1,018.27 |
638.23 |
3,935.82 |
2,741.23 |
41.29 |
|
|
|
|
| Current portion of long-term debt |
|
|
|
|
|
|
133.52 |
975.36 |
635.06 |
0.00 |
0.00 |
41.29 |
|
|
|
|
| Deferred revenue |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other current liabilities |
-8,059.20 |
372,010.54 |
362,059.48 |
-344,995.42 |
-1,609.37 |
-4,028.64 |
269,977.42 |
253,038.88 |
239,940.25 |
21,122.04 |
0.00 |
0.29 |
|
|
|
|
| Long-term debt |
81,073.22 |
81,580.82 |
74,748.35 |
69,907.67 |
68,621.91 |
58,224.82 |
49,145.09 |
43,891.33 |
41,979.34 |
38,376.39 |
39,184.60 |
39.00 |
|
|
|
|
| Capital lease obligations |
541.57 |
527.09 |
334.46 |
319.16 |
343.21 |
407.43 |
419.05 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
| Other non-current liabilities |
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
| Total liabilities |
567,308.54 |
489,858.05 |
464,607.45 |
448,847.05 |
418,333.68 |
372,355.17 |
336,488.39 |
318,494.14 |
295,730.56 |
293,711.67 |
272,549.16 |
252,063.79 |
304.07 |
302.70 |
290.72 |
44.47 |
|
| Common stock and paid-in capital |
6,749.79 |
7,146.33 |
6,680.41 |
7,877.19 |
7,457.63 |
7,457.58 |
2,985.86 |
4,615.27 |
4,745.89 |
14,364.24 |
5,583.79 |
3,928.07 |
9.15 |
9.23 |
9.65 |
226.68 |
| Retained earnings |
25,557.05 |
26,950.51 |
24,986.47 |
23,750.15 |
21,392.56 |
19,268.27 |
18,524.52 |
17,124.66 |
15,620.01 |
2,606.81 |
13,726.12 |
14,165.36 |
13.88 |
13.78 |
12.42 |
|
| Common shares outstanding |
253 |
247 |
245 |
728 |
724 |
722 |
228 |
227 |
227 |
227 |
673 |
718 |
676 |
676 |
|
|
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 |
Sep-13 |
Jun-13 |
Mar-13 |
Sep-12 |
Mar-12 |
Mar-11 |
Jun-05 |
Sep-04 |
| Cash and cash equivalents |
34,874.39 |
26,357.24 |
29,408.11 |
30,125.46 |
25,607.51 |
27,281.12 |
33,485.92 |
25,471.63 |
31,934.28 |
-30,556.62 |
25,891.83 |
21,690.36 |
34,219.15 |
30,987.08 |
9,276.91 |
10,015.74 |
13,058.42 |
20,613.07 |
11,076.08 |
10,411.35 |
11,149.09 |
9,990.98 |
8,814.24 |
9,437.62 |
6,392.57 |
6,392.57 |
8,388.84 |
6,838.58 |
4,997.02 |
6,747.89 |
8.39 |
5,920.57 |
6,908.29 |
5,738.00 |
6,812.49 |
7,377.12 |
7,591.32 |
7,984.00 |
8,262.00 |
5,373.09 |
6,644.06 |
6,823.00 |
7,207.64 |
4,958.56 |
5,962.86 |
7,121.49 |
|
5,099.01 |
5.78 |
6,683.41 |
5,630.30 |
5.78 |
6,239.23 |
6.42 |
13.56 |
56.10 |
|
| Short-term investments |
81,749.39 |
20,372.80 |
74,230.51 |
39,370.40 |
43,011.64 |
43,797.75 |
36,699.05 |
38,875.63 |
35,987.20 |
37,891.50 |
36,547.90 |
34,904.11 |
33,085.08 |
33,747.13 |
34,635.99 |
36,300.07 |
40,393.42 |
39,119.79 |
32,918.39 |
30,284.89 |
30,805.64 |
30,028.93 |
29,644.35 |
29,612.41 |
27,730.53 |
27,730.53 |
27,495.19 |
25,629.99 |
19,810.71 |
18,063.42 |
4.27 |
6.26 |
6.23 |
15.81 |
7.29 |
9.69 |
9,140.14 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Accounts receivable, net |
22,918.87 |
12,468.23 |
19,940.07 |
24,379.51 |
22,333.25 |
13,912.96 |
22,583.89 |
18,747.87 |
19,370.69 |
9,061.94 |
50.61 |
15,505.87 |
8,627.00 |
14,043.05 |
15,709.30 |
13,135.84 |
16,571.04 |
14,673.70 |
14,968.27 |
13,370.23 |
16,734.59 |
11,232.98 |
15,348.43 |
16,202.41 |
8,041.59 |
11,773.36 |
12,380.20 |
14.35 |
10.04 |
14,299.83 |
7.35 |
11.08 |
12.96 |
6.87 |
12.30 |
13.38 |
11,675.12 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Inventories |
|
|
|
|
|
|
|
|
-87,292.18 |
-55,577.44 |
-50,196.38 |
-35,146.16 |
-54,721.64 |
-57,732.05 |
-70,529.79 |
-64,244.84 |
-49,951.68 |
-28,726.34 |
-36,566.90 |
-40,831.62 |
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other current assets |
-120,581.06 |
-32,841.03 |
456.66 |
583.72 |
613.09 |
554.52 |
607.42 |
431.60 |
468.19 |
20.35 |
50,196.38 |
35,146.16 |
54,721.64 |
57,732.05 |
70,529.79 |
64,244.84 |
408.79 |
250.85 |
349.78 |
283.11 |
296.28 |
199.08 |
249.73 |
189.45 |
275,646.05 |
213.32 |
260,325.50 |
269,704.69 |
268,874.69 |
179.60 |
15.43 |
14.86 |
18.64 |
7.80 |
11.53 |
8.80 |
11,789.91 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total current assets |
18,961.59 |
26,357.24 |
124,035.35 |
94,459.08 |
91,565.49 |
85,546.35 |
93,376.28 |
83,526.73 |
87,760.37 |
20.35 |
62,490.33 |
72,100.33 |
75,931.23 |
78,777.26 |
59,622.20 |
59,451.64 |
70,431.67 |
74,657.41 |
59,312.52 |
54,349.57 |
58,985.61 |
51,451.97 |
54,056.75 |
55,441.88 |
6.91 |
46,109.77 |
48,264.22 |
32,482.92 |
24,817.77 |
39,290.74 |
72.16 |
5,920.57 |
6,908.29 |
5,738.00 |
6,812.49 |
7,377.12 |
7,591.32 |
7,984.00 |
8,262.00 |
5,373.09 |
6,644.06 |
6,823.00 |
7,207.64 |
4,958.56 |
5,962.86 |
7,121.49 |
|
5,099.01 |
5.78 |
6,683.41 |
5,630.30 |
5.78 |
6,239.23 |
6.42 |
13.56 |
56.10 |
|
| Property, plant and equipment, net |
|
3,780.82 |
3,699.91 |
3,294.86 |
3,358.17 |
3,370.59 |
3,385.92 |
|
|
|
6,039.36 |
3,133.22 |
3,149.09 |
3,530.64 |
5,655.89 |
5,507.84 |
3,146.72 |
3,174.72 |
4,721.67 |
4,499.66 |
4,419.09 |
3,287.20 |
3,278.63 |
3,311.01 |
3,379.45 |
3,364.72 |
3,635.10 |
3,475.24 |
3,385.26 |
0.00 |
2.19 |
2.19 |
2.32 |
2.32 |
2.17 |
2.15 |
2,442.31 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Goodwill |
386.99 |
386.99 |
|
|
482.71 |
482.71 |
468.41 |
451.77 |
450.36 |
445.09 |
453.43 |
453.57 |
397.53 |
451.43 |
429.23 |
354.90 |
348.11 |
345.45 |
345.21 |
336.98 |
337.22 |
334.29 |
340.07 |
354.40 |
350.68 |
350.68 |
213.29 |
14.35 |
10.04 |
153.60 |
0.13 |
154.64 |
108.71 |
106.49 |
116.54 |
117.43 |
124.80 |
115.14 |
|
107.71 |
103.53 |
|
99.24 |
102.50 |
107.54 |
102.84 |
|
|
|
125.73 |
125.73 |
131.38 |
132.41 |
|
0.14 |
|
|
| Intangible assets |
1,046.83 |
669.65 |
1,883.59 |
1,818.57 |
1,859.49 |
1,387.68 |
1,380.61 |
1,368.48 |
1,385.05 |
996.84 |
531.30 |
1,326.94 |
1,253.12 |
1,296.82 |
1,255.45 |
1,250.28 |
1,296.98 |
1,310.64 |
1,310.13 |
1,324.54 |
1,359.73 |
1,394.67 |
1,403.04 |
1,408.46 |
493.43 |
1,442.55 |
1,422.66 |
480.89 |
1,430.75 |
1,430.75 |
0.20 |
234.69 |
179.44 |
164.92 |
193.51 |
202.23 |
220.24 |
202.31 |
419.00 |
255.03 |
264.92 |
412.00 |
268.90 |
280.83 |
132.85 |
295.27 |
|
119.97 |
134.92 |
218.93 |
214.95 |
217.70 |
239.31 |
|
|
|
|
| Long-term investments |
130,765.40 |
139,020.14 |
122,584.24 |
76,973.51 |
88,624.37 |
90,754.14 |
80,531.23 |
87,042.62 |
84,937.33 |
86,020.41 |
86,065.03 |
84,291.00 |
84,371.30 |
83,459.90 |
91,914.55 |
78,032.91 |
76,185.36 |
71,484.98 |
68,242.72 |
61,825.54 |
61,339.77 |
62,806.00 |
59,840.68 |
59,723.57 |
60,426.02 |
57,125.57 |
57,233.33 |
53,445.24 |
47,947.94 |
0.00 |
0.31 |
28.07 |
33.17 |
28.86 |
29.33 |
28.70 |
29,725.42 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other non-current assets |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total assets |
603,630.40 |
601,457.29 |
586,956.41 |
534,112.78 |
532,696.26 |
525,753.32 |
543,705.20 |
508,781.17 |
504,767.40 |
498,015.95 |
485,917.00 |
482,911.62 |
480,474.40 |
478,079.26 |
502,068.93 |
484,945.69 |
465,704.31 |
447,183.87 |
438,184.91 |
421,270.61 |
416,104.38 |
399,081.02 |
380,838.91 |
380,077.38 |
361,980.72 |
361,980.72 |
370,584.20 |
359,401.66 |
345,148.96 |
340,447.18 |
296.12 |
326,561.33 |
316,295.46 |
325,795.90 |
317,875.16 |
316,065.26 |
310,682.73 |
310,910.01 |
312,832.00 |
308,818.35 |
291,859.07 |
308,892.00 |
297,114.54 |
286,854.48 |
270,157.22 |
279,436.07 |
|
258,660.72 |
327.10 |
332,803.11 |
336,665.68 |
325.71 |
323,389.73 |
312.79 |
271.15 |
9,748.04 |
54.78 |
|
| Accounts payable |
20,318.81 |
8,059.20 |
17,667.83 |
19,499.91 |
17,078.99 |
7,250.63 |
15,349.67 |
11,552.92 |
12,760.47 |
11,347.96 |
7,929.59 |
12,984.67 |
6,001.86 |
11,861.54 |
13,036.45 |
11,230.39 |
9,100.53 |
7,031.37 |
6,248.08 |
6,597.64 |
9,792.33 |
4,028.64 |
8,059.62 |
10,107.25 |
6,131.34 |
6,131.34 |
11,524.06 |
0.00 |
5,409.27 |
5,409.27 |
213.14 |
212.62 |
224.68 |
220.04 |
197.40 |
197.48 |
222,386.24 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Short-term debt |
49,385.53 |
50,111.62 |
3,269.11 |
4,958.88 |
2,022.33 |
1,713.25 |
1,622.93 |
1,131.61 |
1,411.65 |
49,432.17 |
2,881.34 |
2,432.35 |
2,890.21 |
2,588.06 |
49,502.40 |
48,465.26 |
917.91 |
991.15 |
860.59 |
856.54 |
744.95 |
657.82 |
3,471.53 |
1,780.13 |
133.52 |
702.52 |
798.04 |
0.00 |
975.36 |
1,018.27 |
0.00 |
0.00 |
41.73 |
43.24 |
40.41 |
38.27 |
44,047.81 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Current portion of long-term debt |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
2,567.95 |
1,159.17 |
|
133.52 |
798.04 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
41.73 |
43.24 |
40.41 |
38.27 |
44,047.81 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Deferred revenue |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other current liabilities |
-20,318.81 |
-8,059.20 |
376,841.70 |
374,281.03 |
373,516.38 |
372,010.54 |
388,268.05 |
364,124.38 |
359,722.94 |
103.95 |
-8,436.11 |
-2,788.11 |
-320,790.08 |
-2,941.41 |
-49,843.60 |
-48,791.14 |
324,898.36 |
319,451.04 |
318,733.10 |
307,682.77 |
304,582.54 |
299,969.78 |
284,124.00 |
282,800.83 |
-6,264.86 |
269,977.42 |
-11,751.38 |
259,165.09 |
252,445.20 |
253,038.88 |
0.37 |
0.16 |
0.19 |
0.24 |
0.24 |
0.21 |
372.78 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Long-term debt |
88,140.08 |
81,073.22 |
82,718.63 |
80,033.42 |
79,418.91 |
81,580.82 |
80,448.75 |
74,890.55 |
75,545.11 |
74,748.35 |
73,489.51 |
69,395.40 |
68,736.55 |
69,907.67 |
80,230.74 |
78,200.92 |
72,042.92 |
68,621.91 |
67,033.67 |
62,513.17 |
59,115.54 |
58,224.82 |
49,245.44 |
50,502.38 |
52,732.06 |
49,145.09 |
51,566.83 |
48,601.55 |
43,867.80 |
0.00 |
38.75 |
38.12 |
38.89 |
40.08 |
38.33 |
36.16 |
40,930.64 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Capital lease obligations |
557.65 |
541.57 |
556.36 |
520.73 |
528.41 |
527.09 |
526.30 |
496.06 |
357.98 |
334.46 |
|
316.51 |
317.21 |
319.16 |
341.55 |
332.28 |
343.27 |
343.21 |
363.61 |
341.42 |
389.48 |
407.43 |
404.68 |
425.93 |
|
419.05 |
415.51 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other non-current liabilities |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total liabilities |
567,963.66 |
567,308.54 |
549,804.90 |
498,397.26 |
497,173.26 |
489,858.05 |
507,502.79 |
473,633.55 |
470,843.06 |
468,219.34 |
73,932.63 |
450,220.36 |
448,847.05 |
445,475.64 |
470,940.52 |
455,439.64 |
436,403.00 |
418,378.77 |
409,870.14 |
393,110.43 |
388,926.05 |
372,355.17 |
354,630.16 |
354,325.69 |
336,488.39 |
336,488.39 |
346,302.88 |
336,563.44 |
322,947.11 |
318,494.14 |
276.44 |
305,564.72 |
295,730.56 |
305,255.92 |
297,258.19 |
295,644.79 |
290,136.77 |
290,343.06 |
40,413.00 |
288,977.42 |
272,549.16 |
40,641.00 |
277,946.97 |
267,831.71 |
252,063.79 |
261,420.15 |
|
240,854.50 |
304.07 |
309,017.27 |
312,797.88 |
302.70 |
300,378.38 |
290.72 |
44.47 |
|
|
|
| Common stock and paid-in capital |
8,993.79 |
6,749.79 |
6,710.60 |
6,441.46 |
6,745.26 |
7,146.33 |
7,114.09 |
7,550.55 |
7,066.51 |
3,069.17 |
6,397.41 |
5,792.55 |
5,011.75 |
5,800.00 |
4,954.29 |
4,485.78 |
4,643.77 |
4,449.46 |
4,296.90 |
4,160.80 |
3,885.46 |
3,785.34 |
3,637.13 |
3,648.99 |
2,985.86 |
2,985.86 |
2,522.60 |
1,603.78 |
1,581.76 |
4,615.27 |
4.19 |
4,316.74 |
4,745.89 |
4,537.90 |
4,927.05 |
4,906.55 |
5,774.59 |
5,478.73 |
5,943.00 |
5,500.75 |
5,462.35 |
5,520.00 |
5,492.91 |
5,448.82 |
3,818.14 |
4,627.27 |
0.00 |
1,684.84 |
9.15 |
4,736.58 |
4,833.79 |
9.23 |
5,037.67 |
9.65 |
12.26 |
5,119.20 |
9.97 |
| Retained earnings |
24,802.38 |
25,557.05 |
28,645.00 |
27,734.03 |
26,982.52 |
26,950.51 |
26,638.86 |
25,916.02 |
25,157.27 |
24,996.83 |
25,187.79 |
24,452.12 |
23,750.15 |
23,859.67 |
23,298.28 |
22,540.31 |
21,639.49 |
21,347.47 |
21,019.04 |
20,398.36 |
19,627.44 |
19,268.27 |
19,116.04 |
18,652.20 |
18,524.52 |
18,524.52 |
18,322.07 |
17,839.35 |
17,228.57 |
17,124.66 |
15.29 |
16,473.45 |
15,620.01 |
15,802.21 |
15,523.52 |
15,349.80 |
14,611.57 |
14,930.47 |
14,514.00 |
14,207.84 |
13,726.12 |
13,951.00 |
13,559.40 |
13,457.24 |
14,165.36 |
13,273.06 |
|
14,182.83 |
13.88 |
14,065.61 |
14,023.47 |
13.78 |
13,640.55 |
12.42 |
|
2,328.85 |
6.96 |
| Common shares outstanding |
259 |
254 |
244 |
245 |
263 |
247 |
247 |
249 |
249 |
246 |
246 |
728 |
728 |
728 |
243 |
243 |
243 |
242 |
242 |
241 |
241 |
241 |
241 |
241 |
245 |
227 |
227 |
227 |
222 |
227 |
227 |
227 |
227 |
224 |
673 |
673 |
673 |
673 |
673 |
673 |
673 |
673 |
673 |
673 |
673 |
673 |
676 |
719 |
677 |
676 |
676 |
676 |
676 |
|
|
227 |
|
|
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 |
| Net income |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Depreciation, depletion and amortization |
1,250.61 |
1,163.80 |
993.18 |
929.31 |
791.90 |
535.55 |
505.72 |
272.55 |
235.80 |
252.03 |
-150.67 |
209.13 |
255.81 |
253.09 |
|
| Stock-based compensation |
|
27.63 |
12.95 |
9.63 |
6,324.00 |
6,377.20 |
5,733.40 |
5,365.75 |
5,675.52 |
5,595.88 |
|
|
|
|
|
| Change in inventory |
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
| Other working capital changes |
12,391.79 |
-7,320.73 |
615.82 |
17,685.18 |
-8,916.86 |
-3,306.78 |
-4,368.77 |
3,521.77 |
-7,890.32 |
-942.63 |
2,613.14 |
-13,980.39 |
-12,958.99 |
-6,768.16 |
306.59 |
| Capital expenditures |
-506.43 |
-411.98 |
-393.20 |
-347.63 |
-258.14 |
-264.20 |
-555.89 |
-294.74 |
-358.17 |
-322.17 |
-227.35 |
-140.64 |
-166.70 |
-252.47 |
0.00 |
| Others incl. marketable securities changes |
-9,374.17 |
377.68 |
-1,860.94 |
-6,621.07 |
-10,408.72 |
-1,192.23 |
-8,032.25 |
-10,776.43 |
2,241.88 |
-3,903.44 |
-22,144.93 |
139.60 |
166.70 |
252.47 |
0.00 |
| Dividend payout |
-927.30 |
-878.33 |
-978.38 |
-655.00 |
-368.36 |
-505.59 |
-437.63 |
-336.64 |
-336.64 |
-168.32 |
-504.95 |
-853.73 |
-230.90 |
-228.13 |
-201.50 |
| Common stock repurchases |
-150.00 |
-136.70 |
-158.17 |
-643.00 |
-3.76 |
45.75 |
-184.16 |
-255.00 |
-1,323.40 |
-310.00 |
0.00 |
-37.58 |
|
|
|
| Net Debt Issuance |
8,762.63 |
2,260.37 |
-1,723.64 |
3,217.78 |
9,447.82 |
2,827.08 |
6,792.80 |
2,108.41 |
1,598.94 |
811.38 |
20,823.58 |
15,255.24 |
14,116.12 |
3,922.73 |
305.29 |
|
| Change in cash |
11,447.12 |
-4,918.26 |
-3,492.38 |
13,575.22 |
-3,392.13 |
4,516.79 |
-546.79 |
-394.33 |
-156.39 |
1,012.73 |
408.82 |
591.63 |
1,182.03 |
-2,820.48 |
410.38 |
| Change in exchange rate |
|
|
|
|
|
|
0.00 |
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 |
Sep-13 |
Jun-13 |
Mar-13 |
Sep-12 |
Jun-05 |
| Net income |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Depreciation, depletion and amortization |
318.03 |
316.95 |
314.92 |
309.30 |
309.43 |
305.63 |
294.01 |
288.16 |
275.99 |
263.90 |
223.95 |
223.81 |
245.98 |
246.97 |
232.41 |
231.03 |
218.91 |
207.90 |
198.99 |
246.02 |
138.99 |
136.84 |
131.88 |
128.23 |
138.61 |
141.59 |
137.50 |
104.34 |
73.37 |
73.37 |
53.98 |
51.71 |
47.46 |
51.35 |
47.77 |
48.67 |
51.15 |
53.12 |
51.41 |
50.61 |
50.42 |
64.41 |
49.99 |
49.61 |
46.52 |
54.69 |
46.52 |
52.77 |
63.32 |
63.50 |
72.67 |
34.96 |
72.51 |
|
| Stock-based compensation |
|
|
22.81 |
|
6.12 |
6.12 |
9.23 |
3.53 |
8.76 |
8.76 |
3.63 |
3.83 |
3.83 |
6.05 |
-2.82 |
-0.53 |
1,639.00 |
1,639.00 |
1,550.31 |
1,293.78 |
1,707.23 |
1,532.26 |
1,649.30 |
1,669.80 |
1,453.93 |
1,172.44 |
1,681.68 |
1.58 |
1,471.47 |
1,471.47 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Change in inventory |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Other working capital changes |
13,239.86 |
11,457.16 |
4,037.20 |
-2,405.98 |
-725.52 |
1,470.87 |
-3,248.39 |
-5,037.72 |
-505.49 |
6,054.84 |
4,825.91 |
-15,657.05 |
-3,701.33 |
24,145.42 |
-810.45 |
-11,124.30 |
8,142.87 |
-2,077.69 |
1,699.65 |
-7,682.90 |
-722.25 |
419.95 |
-2,776.60 |
1,732.53 |
-2,610.74 |
-1,497.63 |
-2,323.40 |
-2,102.14 |
4,683.24 |
4,683.24 |
1,552.00 |
366.99 |
-8,931.25 |
-1,808.06 |
-2,982.45 |
-4,251.70 |
-485.17 |
354.52 |
2,207.30 |
-2,909.38 |
-3,786.26 |
-6,003.68 |
-6,921.45 |
-6,478.71 |
-6,020.25 |
-4,022.49 |
-2,371.52 |
-10,355.72 |
4,767.10 |
-700.49 |
-3,095.33 |
869.11 |
751.75 |
-25.16 |
| Capital expenditures |
-45.35 |
-270.84 |
-43.87 |
-114.37 |
-77.36 |
-92.29 |
-120.76 |
-121.38 |
-77.55 |
-161.76 |
-31.43 |
-31.46 |
-59.25 |
-113.72 |
-77.23 |
-104.06 |
-52.62 |
-74.62 |
-81.61 |
-47.43 |
-54.48 |
-85.45 |
-64.84 |
-55.83 |
-58.08 |
-262.30 |
-130.38 |
-62.97 |
-67.32 |
-67.32 |
-24.76 |
-21.47 |
-28.52 |
-21.23 |
-65.13 |
-43.12 |
-48.28 |
-25.48 |
-35.25 |
-30.30 |
-39.86 |
-17.18 |
-4.87 |
-40.84 |
-44.75 |
-43.89 |
-37.28 |
-27.29 |
-31.32 |
-43.86 |
-32.50 |
-57.18 |
-59.95 |
0.00 |
| Others incl. marketable securities changes |
-8,545.26 |
-10,779.42 |
-2,704.67 |
3,641.03 |
468.89 |
-5,695.32 |
4,905.08 |
-1,383.93 |
2,551.86 |
-649.19 |
-1,459.48 |
79.19 |
451.46 |
-3,766.77 |
-3,148.66 |
3,201.20 |
-2,906.84 |
-5,911.57 |
-5,121.40 |
1,547.30 |
-923.05 |
-408.00 |
-96.79 |
-523.52 |
-163.92 |
-866.45 |
-944.44 |
-6,318.38 |
-40.31 |
-6,010.02 |
22.04 |
20.33 |
27.86 |
23.00 |
64.94 |
43.30 |
494.25 |
25.48 |
35.25 |
30.30 |
39.86 |
17.18 |
4.87 |
40.84 |
44.75 |
43.89 |
37.28 |
27.29 |
31.32 |
43.86 |
32.50 |
57.18 |
59.95 |
0.00 |
| Dividend payout |
-146.20 |
-146.20 |
-146.20 |
-634.90 |
-39.51 |
-133.11 |
-133.11 |
-612.11 |
-35.26 |
-134.58 |
-137.31 |
-745.85 |
-713.11 |
-205.75 |
-109.21 |
-545.79 |
-34.55 |
-211.17 |
-108.34 |
-260.02 |
-43.91 |
-176.64 |
-505.59 |
-505.59 |
-8.51 |
-437.63 |
-437.63 |
-407.41 |
0.00 |
-30.22 |
-112.79 |
-306.46 |
-46.31 |
-30.18 |
-98.12 |
-336.52 |
-75.38 |
-33.41 |
-25.36 |
-243.54 |
-75.43 |
-25.36 |
-193.68 |
-392.88 |
-38.73 |
-22.72 |
-7.35 |
-800.30 |
-7.35 |
-7.35 |
-208.85 |
-7.35 |
-7.35 |
-10.62 |
| Common stock repurchases |
-106.12 |
1.96 |
-0.14 |
-129.19 |
-20.67 |
0.01 |
2.27 |
0.00 |
-136.71 |
-11.89 |
-522.63 |
-523.65 |
-23.64 |
-129.76 |
|
-643.00 |
|
-3.76 |
49.19 |
-52.95 |
|
45.75 |
-0.01 |
-598.85 |
|
575.89 |
426.18 |
0.00 |
72.25 |
-184.16 |
0.00 |
-255.00 |
0.00 |
0.52 |
0.00 |
-1,133.40 |
-310.00 |
-190.00 |
|
|
|
|
|
|
-37.23 |
|
|
-0.35 |
|
|
|
|
|
|
| Net Debt Issuance |
-9,883.58 |
8,388.96 |
-2,666.20 |
4,709.61 |
-1,632.19 |
-3,544.06 |
6,811.98 |
82.47 |
-1,057.04 |
-472.78 |
1,262.09 |
7,885.12 |
399.93 |
-6,527.55 |
2,434.23 |
5,136.62 |
2,544.54 |
2,924.04 |
1,932.00 |
4,194.32 |
656.29 |
484.62 |
1,224.83 |
-1,955.34 |
4,362.57 |
-1,256.76 |
3,541.50 |
10,460.79 |
512.73 |
799.37 |
1,713.15 |
1,331.14 |
8,003.03 |
1,255.43 |
2,674.54 |
4,848.41 |
2,611.09 |
-114.44 |
20.79 |
2,832.53 |
1,441.59 |
7,426.93 |
8,478.14 |
8,303.77 |
9,648.97 |
2,600.09 |
1,182.02 |
7,274.15 |
-2,849.91 |
1,487.82 |
2,316.24 |
-631.94 |
-1,233.05 |
0.00 |
|
| Change in cash |
-5,168.61 |
8,968.56 |
-1,186.14 |
5,375.51 |
-1,710.80 |
-7,682.15 |
8,520.30 |
-6,780.98 |
1,024.57 |
4,897.28 |
4,164.74 |
-8,766.07 |
-3,396.12 |
13,654.89 |
-1,481.73 |
-3,848.83 |
9,551.31 |
-3,507.86 |
118.79 |
-761.86 |
758.81 |
1,949.32 |
-437.82 |
-108.57 |
3,113.86 |
-2,430.85 |
1,951.01 |
1,675.80 |
6,705.43 |
735.72 |
3,203.62 |
1,187.25 |
-927.73 |
-529.16 |
-358.46 |
-824.37 |
2,237.66 |
69.78 |
2,254.13 |
-269.77 |
-2,369.68 |
1,462.30 |
1,413.01 |
1,481.79 |
3,599.27 |
-1,390.43 |
-1,150.32 |
-3,829.44 |
1,973.16 |
843.48 |
-915.28 |
264.78 |
-416.14 |
-35.78 |
| Change in exchange rate |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|