Income Statement

Metrics20192020202120222023
Revenue & Cost
Total Revenue$2.85B$2.92B$3.42B$4.18B$4.52B
Cost of Revenue$796.78M$867.46M$920.60M$1.05B$1.16B
Gross Profit$2.05B$2.05B$2.50B$3.13B$3.35B
Gross Margin %72.01%70.24%73.05%74.82%74.26%
Operating Expenses
R&D Expenses$6.85M$10.08M$8.40M$17.54M-
SG&A Expenses$60.05M$65.17M$81.32M$114.74M$80.63M
Other Operating Expenses$518.00M$561.21M$724.96M$870.61M-
Total Operating Expenses$584.90M$636.46M$814.68M$1.00B$80.63M
Operating Performance
Operating Income$1.47B$1.41B$1.68B$2.27B$3.30B
Operating Margin %51.47%48.41%49.20%54.37%73.10%
EBITDA$2.08B$1.97B$2.76B$3.16B$3.34B
EBITDA Margin %73.03%67.47%80.73%75.61%73.98%
Other Income/Expenses
Interest Expense$45.64M$56.28M$90.77M$136.32M$201.13M
Other Income/Expenses Net$60.51M$-49.92M$279.10M$2.09B$-1.13B
Income Before Tax$1.53B$1.36B$1.96B$4.37B$2.17B
Income Tax Expense$0.00$0.00$0.00$-2.21B$10.82M
Net Performance
Net Income$1.52B$1.36B$1.95B$6.58B$2.15B
Net Margin %53.41%46.56%57.18%157.28%47.55%
EPS$8.70$7.76$-0.01$37.53$11.11
Diluted EPS$8.70$7.76$-0.01$37.31$11.06

Financial Visualization

Balance Sheet

Metrics20192020202120222023
Assets
Current Assets
Cash & Cash Equivalents$409.74M$257.56M$734.60M$775.25M$370.00M
Short Term Investments-----
Net Receivables-----
Inventory-----
Other Current Assets---$-775.25M-
Total Current Assets$409.74M$257.56M$734.60M$775.25M$370.00M
Non-Current Assets
Property, Plant & Equipment (Net)$141.93M$188.08M$272.47M$372.99M$345.45M
Long Term Investments$767.82M$773.05M$828.76M$275.75M$390.18M
Tax Assets----$18.04B
Other Non-Current Assets$9.84B$10.39B$15.24B$15.90B$275.05M
Total Non-Current Assets$10.96B$11.56B$16.65B$16.78B$19.44B
Total Assets
Total Assets$11.37B$11.82B$17.38B$17.55B$19.81B
Liabilities
Current Liabilities
Accounts Payable-----
Short Term Debt---$8.27M-
Tax Payables-----
Deferred Revenue-----
Other Current Liabilities$383.28M$394.66M$482.09M$506.41M$598.99M
Total Current Liabilities$383.28M$394.66M$482.09M$514.68M$598.99M
Non-Current Liabilities
Long Term Debt$1.90B$2.54B$7.48B$6.87B$9.10B
Other Non-Current Liabilities-$300.00M---
Total Non-Current Liabilities$1.90B$2.84B$7.48B$6.87B$9.10B
Total Liabilities
Total Liabilities$2.29B$3.24B$7.96B$7.39B$9.70B
Shareholders Equity
Equity Components
Common Stock$17.44M$17.46M$17.51M$17.53M$17.57M
Retained Earnings$-665.58M$-914.79M$-550.42M$-110.23M$-267.91M
Accumulated Other Comprehensive Income/Loss$-64.89M$-43.40M$-53.59M$-80.32M$-67.24M
Total Shareholders Equity$9.06B$8.56B$9.34B$10.07B$10.01B
Key Metrics
Balance Check
Total Liabilities & Equity$11.35B$11.80B$17.29B$17.55B$19.81B
Total Debt$1.90B$2.54B$7.48B$6.87B$9.10B
Net Debt$1.49B$2.29B$6.74B$6.10B$8.73B

Balance Sheet Analysis

Cash Flow Statement

Metrics20192020202120222023
Operating Activities
Core Operations
Net Income$1.52B$1.36B$1.95B$4.37B$2.16B
Depreciation & Amortization$512.92M$553.26M$713.43M$888.15M$970.06M
Stock Based Compensation$25.83M$33.36M$59.82M$56.70M$41.57M
Working Capital Changes
Change in Accounts Receivable-----
Change in Inventory-----
Change in Accounts Payable-----
Other Working Capital Changes$26.46M$-137.10M-$-2.19B$18.90M
Total Working Capital Change$36.50M$-163.55M$-182.95M$-2.19B$18.90M
Other Operating
Other Non-Cash Items$-28.14M$262.62M-$6.16M$20.51M
Net Cash from Operations$2.07B$2.04B$2.54B$3.12B$3.25B
Investing Activities
Capital Investments
Capital Expenditures---$-459.77M$-461.14M
Purchase of Investments---$-1.07B$461.14M
Sale of Investments--$16.30M$508.69M$39.99M
Other Investing Activities$-897.36M$-1.12B$-5.58B$-493.48M$-1.40B
Net Cash from Investing$-897.36M$-1.12B$-5.56B$1.12B$-3.54B
Financing Activities
Debt & Equity
Debt Repayment$-1.92M$-2.02M$-2.22M$-513.50M$-8.26M
Stock Repurchases$-1.05B$-1.22B$-1.18B$-16.83M$-53.13M
Dividends Paid$-1.61B$-1.61B$-1.59B$-3.91B$-2.31B
Other Financing Activities$1.51B$1.74B$6.17B$210.28M$2.20B
Net Cash from Financing$-1.12B$-1.08B$3.50B$-4.19B$-112.93M
Cash Position
Summary
Net Change in Cash$49.54M$-150.95M$478.69M$43.87M$-404.78M
Cash at Beginning of Period$384.02M$433.55M$282.60M$761.29M$805.16M
Cash at End of Period$433.55M$282.60M$761.29M$805.16M$400.38M
Key Metrics
Operating Cash Flow$2.07B$2.04B$2.54B$3.12B$3.25B
Capital Expenditure$-187.31M$-170.00M$-270.24M$-459.77M$-461.14M
Free Cash Flow$1.88B$1.87B$2.27B$2.66B$2.79B

Cash Flow Analysis