Income Statement

Metrics20192020202120222023
Revenue & Cost
Total Revenue$3.21B$3.90B$4.43B$4.69B$5.48B
Cost of Revenue$1.19B$1.51B$1.76B$2.00B$2.60B
Gross Profit$2.02B$2.39B$2.67B$2.69B$2.88B
Gross Margin %62.83%61.21%60.23%57.34%52.56%
Operating Expenses
R&D Expenses$0.00$0.00$0.00--
SG&A Expenses$211.10M$351.37M$410.74M$414.78M$449.06M
Other Operating Expenses$1.18B$1.37B$1.49B$1.59B$1.91B
Total Operating Expenses$1.39B$1.72B$1.90B$2.01B$2.32B
Operating Performance
Operating Income$594.22M$557.53M$694.01M$589.97M$524.46M
Operating Margin %18.52%14.28%15.67%12.57%9.58%
EBITDA$1.75B$2.09B$3.57B$2.26B$3.16B
EBITDA Margin %54.66%53.64%80.56%48.14%57.67%
Other Income/Expenses
Interest Expense$353.06M$333.02M$298.20M$299.13M$437.74M
Other Income/Expenses Net$17.00M$-156.75M$1.13B$-178.09M$501.43M
Income Before Tax$611.22M$400.78M$1.82B$411.88M$1.03B
Income Tax Expense$12.00M$38.05M$72.80M$31.55M$75.58M
Net Performance
Net Income$579.76M$356.40M$1.71B$377.68M$948.84M
Net Margin %18.07%9.13%38.60%8.05%17.32%
EPS$0.00$1.01$5.95$1.18$3.10
Diluted EPS$0.00$1.00$5.94$1.11$3.00

Financial Visualization

Balance Sheet

Metrics20192020202120222023
Assets
Current Assets
Cash & Cash Equivalents$89.82M$108.50M$142.70M$141.77M$1.63B
Short Term Investments----$8.54M
Net Receivables$305.50M$603.11M$671.72M$969.29M$1.28B
Inventory---$1.71B$-8.54M
Other Current Assets$229.93M--$-1.71B$478.50M
Total Current Assets$625.25M$711.61M$814.42M$1.11B$3.38B
Non-Current Assets
Property, Plant & Equipment (Net)$628.68M$1.39B$1.41B$1.35B$1.41B
Long Term Investments$1.29B$1.15B$1.81B$1.99B$2.30B
Tax Assets----$-2.28B
Other Non-Current Assets$14.89B$21.33B$21.67B$24.73B$27.56B
Total Non-Current Assets$22.44B$35.36B$35.56B$40.37B$40.73B
Total Assets
Total Assets$23.07B$36.08B$36.37B$41.48B$44.11B
Liabilities
Current Liabilities
Accounts Payable$1.01B$1.19B$1.54B$1.87B$1.31B
Short Term Debt$234.11M$531.91M$398.17M$2.15B$185.70M
Tax Payables-----
Deferred Revenue---$369.65M$401.87M
Other Current Liabilities$238.41M$-207.52M$338.73M$-5.94M$1.95B
Total Current Liabilities$1.48B$1.51B$2.28B$4.38B$4.81B
Non-Current Liabilities
Long Term Debt$9.89B$13.30B$14.56B$15.92B$1.54B
Other Non-Current Liabilities$1.09B$2.12B$383.57M$369.65M$15.61B
Total Non-Current Liabilities$10.98B$16.12B$15.61B$17.48B$18.31B
Total Liabilities
Total Liabilities$12.46B$17.63B$17.89B$21.86B$23.12B
Shareholders Equity
Equity Components
Common Stock$2.07M$2.79M$2.82M$2.89M$3.09M
Retained Earnings$-3.05B$-4.00B$-3.63B$-4.70B$-5.26B
Accumulated Other Comprehensive Income/Loss$-87.92M$135.01M$-173.88M$-595.80M$-6.01B
Total Shareholders Equity$9.88B$17.72B$18.00B$17.58B$19.12B
Key Metrics
Balance Check
Total Liabilities & Equity$22.34B$35.35B$35.90B$41.48B$44.11B
Total Debt$10.12B$13.84B$14.96B$18.07B$18.97B
Net Debt$10.03B$13.73B$14.82B$17.93B$17.34B

Balance Sheet Analysis

Cash Flow Statement

Metrics20192020202120222023
Operating Activities
Core Operations
Net Income$579.76M$356.40M$1.71B$380.33M$950.31M
Depreciation & Amortization$809.47M$1.37B$1.49B$1.58B$1.69B
Stock Based Compensation$34.91M$74.58M$84.08M$92.46M$80.53M
Working Capital Changes
Change in Accounts Receivable--$-425.98M$-272.45M$-155.32M
Change in Inventory---$272.45M-
Change in Accounts Payable--$116.15M$42.11M$-224.43M
Other Working Capital Changes$-90.22M$-83.13M$21.43B$-272.45M$379.75M
Total Working Capital Change$-30.50M$-8.42M$-309.83M$-230.34M$-379.75M
Other Operating
Other Non-Cash Items$120.18M$-82.40M$-1.27B$-160.99M$-1.09B
Net Cash from Operations$1.51B$1.71B$1.70B$1.66B$1.63B
Investing Activities
Capital Investments
Capital Expenditures---$-2.64B$-3.53B
Purchase of Investments$-2.60M--$-296.10M$-336.46M
Sale of Investments-$70.02M-$271.57M$2.86B
Other Investing Activities$-1.57B$-2.65B$-1.06B$194.50M$31.95M
Net Cash from Investing$-274.99M$-2.60B$-1.06B$-4.70B$-1.12B
Financing Activities
Debt & Equity
Debt Repayment$-6.43B$-6.41B$-990.97M$-1.09B$-334.35M
Stock Repurchases$-365.05M$-500.00M---
Dividends Paid$-996.77M$-1.24B$-1.38B$-1.45B$-1.52B
Other Financing Activities$5.98B$7.20B$1.61B$4.58B$-57.49M
Net Cash from Financing$-1.27B$935.69M$-590.63M$2.97B$963.47M
Cash Position
Summary
Net Change in Cash$-37.97M$26.40M$27.83M$-789.00K$1.49B
Cash at Beginning of Period$135.22M$97.25M$123.65M$151.49M$150.70M
Cash at End of Period$97.25M$123.65M$151.49M$150.70M$1.64B
Key Metrics
Operating Cash Flow$1.51B$1.71B$1.70B$1.66B$1.63B
Capital Expenditure---$-2.64B$-3.53B
Free Cash Flow$1.51B$1.71B$1.70B$-983.71M$-1.89B

Cash Flow Analysis