Income Statement

Metrics20192020202120222023
Revenue & Cost
Total Revenue$38.93B$45.27B$56.41B$50.21B$53.61B
Cost of Revenue$0.00$0.00$0.00$0.00-
Gross Profit$0.00$0.00$56.41B$50.21B$53.61B
Gross Margin %0.00%0.00%100.00%100.00%100.00%
Operating Expenses
R&D Expenses$0.00$0.00$0.00--
SG&A Expenses$19.50B$21.29B$25.27B$28.72B$30.06B
Other Operating Expenses$0.00$0.00$0.00$-10.22B-
Total Operating Expenses$0.00$0.00$0.00$39.30B$30.06B
Operating Performance
Operating Income$0.00$0.00$8.51B$10.91B$23.56B
Operating Margin %0.00%0.00%15.09%21.73%43.94%
EBITDA$26.15B$21.85B$25.16B$13.45B$23.56B
EBITDA Margin %67.19%48.27%44.61%26.79%43.94%
Other Income/Expenses
Interest Expense$12.40B$3.85B$1.37B$12.27B$42.05B
Other Income/Expenses Net$0.00$0.00$11.15B$14.09B$-11.74B
Income Before Tax$11.30B$14.42B$19.67B$14.09B$11.81B
Income Tax Expense$2.06B$3.24B$4.55B$2.91B$2.58B
Net Performance
Net Income$9.04B$11.00B$15.03B$11.03B$9.09B
Net Margin %23.23%24.29%26.65%21.97%16.95%
EPS$3.33$4.05$5.53$6.23$5.24
Diluted EPS$3.33$4.05$5.53$6.15$5.18

Financial Visualization

Balance Sheet

Metrics20192020202120222023
Assets
Current Assets
Cash & Cash Equivalents$49.66B$67.45B$91.25B$92.75B$58.66B
Short Term Investments$62.22B$110.38B$41.41B$20.51B$22.81B
Net Receivables$55.65B$97.74B-$78.54B-
Inventory---$-709.87B-
Other Current Assets-$461.32B-$631.33B-
Total Current Assets-$736.90B$132.66B$128.84B$89.23B
Non-Current Assets
Property, Plant & Equipment (Net)-$21.00M-$4.00M$4.37B
Long Term Investments$274.56B$362.33B$41.41B$336.88B$359.22B
Tax Assets---$4.94B-
Other Non-Current Assets--$-41.41B$-301.35B$-363.58B
Total Non-Current Assets-$378.97B$25.19B$64.75B$23.76B
Total Assets
Total Assets$895.43B$1.12T$792.14B$1.18T$1.19T
Liabilities
Current Liabilities
Accounts Payable$197.83B$227.44B-$216.13B$208.15B
Short Term Debt$9.67B$14.14B-$5.14B$8.92B
Tax Payables-----
Deferred Revenue-----
Other Current Liabilities---$-221.27B$-217.07B
Total Current Liabilities$207.50B$241.58B-$221.27B-
Non-Current Liabilities
Long Term Debt$197.66B$218.80B-$241.08B$267.47B
Other Non-Current Liabilities---$-19.81B$826.24B
Total Non-Current Liabilities$197.66B$218.80B-$221.27B$1.09T
Total Liabilities
Total Liabilities$812.73B$1.01T$1.08T$1.08T$1.09T
Shareholders Equity
Equity Components
Common Stock$20.00M$20.00M$-21.46B$20.00M$20.00M
Retained Earnings$70.59B$78.69B$89.43B$94.86B$98.00B
Accumulated Other Comprehensive Income/Loss$-2.79B$-1.96B$-3.10B$-6.25B$-6.42B
Total Shareholders Equity$81.55B$101.78B$106.60B$100.14B$99.04B
Key Metrics
Balance Check
Total Liabilities & Equity$894.28B$1.11T$1.19T$1.18T$1.19T
Total Debt$207.33B$232.94B-$246.22B$276.39B
Net Debt$157.67B$165.49B$-91.25B$153.47B$217.73B

Balance Sheet Analysis

Cash Flow Statement

Metrics20192020202120222023
Operating Activities
Core Operations
Net Income$9.04B$11.00B$15.03B$11.18B$9.23B
Depreciation & Amortization$2.64B$3.77B$4.22B$4.00B$4.26B
Stock Based Compensation$1.15B$1.31B$2.09B$1.88B$1.71B
Working Capital Changes
Change in Accounts Receivable$233.00M$-29.77B-$14.66B$602.00M
Change in Inventory----$3.28B
Change in Accounts Payable$19.94B$10.19B-$-4.90B$-3.63B
Other Working Capital Changes$-7.31B$8.93B$-3.68B$-33.27B$-49.37B
Total Working Capital Change$27.61B$-42.28B$12.69B$-23.50B$-49.11B
Other Operating
Other Non-Cash Items$162.00M$1.22B$-57.00M$898.00M$840.00M
Net Cash from Operations$40.77B$-25.23B$33.97B$-6.40B$-33.54B
Investing Activities
Capital Investments
Capital Expenditures$-1.83B$-1.44B-$-3.08B$-3.41B
Purchase of Investments$-42.59B$-59.78B$-3.77B$-29.83B$-23.08B
Sale of Investments$29.16B$38.27B$61.57B$45.28B$28.39B
Other Investing Activities$-18.31B$-18.75B$-105.05B$-24.00B$-8.39B
Net Cash from Investing$-33.56B$-37.90B$-49.90B$-11.63B$-3.08B
Financing Activities
Debt & Equity
Debt Repayment$-40.55B$-50.48B-$-34.90B$-64.81B
Stock Repurchases$-5.95B$-1.89B$-12.08B$-10.87B$-6.18B
Dividends Paid$-2.63B$-2.74B$-4.17B$-5.40B$-5.76B
Other Financing Activities$37.16B$138.90B$56.52B$72.89B$671.00M
Net Cash from Financing$-11.97B$83.78B$41.55B$22.71B$-2.73B
Cash Position
Summary
Net Change in Cash$-5.03B$23.48B$22.07B$402.00M$-38.90B
Cash at Beginning of Period$87.20B$82.17B$105.65B$127.73B$128.13B
Cash at End of Period$82.17B$105.65B$127.73B$128.13B$89.23B
Key Metrics
Operating Cash Flow$40.77B$-25.23B$33.97B$-6.40B$-33.54B
Capital Expenditure$-1.83B$-1.44B-$-3.08B$-3.41B
Free Cash Flow$38.95B$-26.68B$33.97B$-9.48B$-36.95B

Cash Flow Analysis