OTC : BRTHF

Brother Industries, Ltd.

$21.51 USD

$0 (0.0%)

Volume
200
Average Volume
11
Market Capitalization
$5.35B
P/E Ratio
14.21
Dividend Yield
2.62%
Price Target
Year High
$21.51
Year Low
$18.52
Day High
Day Low
Payout Ratio
$0.38
Current Ratio
$3.22
BRTHF Financial Statements
date 2026-03-31 2025-03-31 2024-03-31 2023-03-31 2022-03-31 2021-03-31 2020-03-31 2019-03-31 2018-03-31 2017-03-31
revenue 899.09B 876.56B 822.93B 815.27B 710.94B 631.81B 637.26B 683.97B 713B 641.18B
costOfRevenue 516.71B 494.97B 467.59B 495.68B 403.61B 345.21B 354.99B 391.89B 412.21B 368.02B
grossProfit 382.38B 381.59B 355.34B 319.59B 307.32B 286.6B 282.27B 292.08B 300.79B 273.17B
researchAndDevelopmentExpenses - - - 45.38B 43.82B 43.08B 42.81B 43.26B 45.65B 42.55B
generalAndAdministrativeExpenses - 233.73B 214.02B 194.14B 171.53B 162.98B 166.29B 173.96B 178.22B 169.87B
sellingAndMarketingExpenses - 45.58B 43.51B 44.96B 32.77B 28.34B 32.19B 33.97B 33.26B 31.11B
sellingGeneralAndAdministrativeExpenses 298.22B 303.91B 257.53B 239.1B 204.31B 191.32B 198.49B 207.93B 211.49B 200.98B
otherExpenses - 7.8B 22.23B -25.31B -26.3B 9.47B -26.36B 49M 8.56B 1.61B
operatingExpenses 298.22B 311.7B 279.76B 259.18B 221.82B 243.87B 214.94B 220.15B 232.12B 214.02B
costAndExpenses 814.93B 806.67B 773.14B 759.89B 625.44B 589.08B 569.93B 612.05B 644.33B 582.03B
netInterestIncome 3.52B 4.33B 2.44B 1.32B 741M -22M -411M 239M 924M 1.95B
interestIncome 5.08B 5.92B 5.88B 6.31B 4.08B 2.21B 2.29B 4.04B 3.52B 3.6B
interestExpense 1.56B 1.6B 3.44B 4.98B 3.34B 2.23B 2.7B 3.8B 2.6B 1.65B
depreciationAndAmortization 323.9M 52.69B 47.54B 42.58B 38.7B 38.25B 40.2B 33.67B 34.14B 33.81B
ebitda 84.16B 122.58B 103.5B 103.33B 123.38B 117.18B 109.94B 109.75B 111.21B 93.36B
ebit 84.16B 69.89B 55.96B 60.75B 84.68B 78.93B 69.75B 76.07B 72.27B 62.9B
nonOperatingIncomeExcludingInterest - 1M 23M -350M -4.27B -2.44B -2.42B -4.15B -3.6B -3.75B
operatingIncome 84.16B 69.89B 75.58B 55.38B 85.5B 42.73B 67.33B 71.92B 68.67B 59.15B
totalOtherIncomeExpensesNet -1.67B 4.81B 2.73B 1.58B 927M 213M -283M 349M 997M 2.1B
incomeBeforeTax 82.49B 74.69B 52.52B 56.95B 86.43B 42.94B 67.05B 72.27B 69.67B 61.26B
incomeTaxExpense 19.49B 19.9B 20.86B 17.87B 24.91B 18.28B 17.35B 18.1B 19.2B 13.82B
netIncomeFromContinuingOperations 63B 54.79B 31.66B 39.09B 61.52B 24.66B 49.7B 54.18B 50.47B 47.44B
netIncomeFromDiscontinuedOperations 5.06B - - - - - - - - -
otherAdjustmentsToNetIncome -1.01M - -1M -1M -1M -1M -1M -1M -2M -
netIncome 68.04B 54.78B 31.64B 39.08B 61.03B 24.52B 49.57B 53.9B 50.02B 47.24B
netIncomeDeductions -9.06M - - - - - - - - -
bottomLineNetIncome 68.05B 54.78B 31.64B 39.08B 61.03B 24.52B 49.57B 53.9B 50.02B 47.24B
eps 270.03 214.27 123.48 152.67 234.89 94.36 190.8 207.54 192.63 181.96
date 2026-03-31 2025-03-31 2024-03-31 2023-03-31 2022-03-31 2021-03-31 2020-03-31 2019-03-31 2018-03-31 2017-03-31
cashAndCashEquivalents 198.92B 172.78B 166.15B 119.04B 167.92B 191B 168.42B 131.15B 121.38B 112.03B
shortTermInvestments - - 7.22B 10.87B 11.42B 8.39B 11.28B 7.97B 9.27B 9.7B
cashAndShortTermInvestments 198.92B 172.78B 173.56B 129.91B 179.33B 199.39B 179.7B 139.12B 130.66B 121.73B
netReceivables 143.18B 134.72B 131.59B 123.26B 102.68B 93.06B 95.07B 101.5B - -
accountsReceivables 143.18B 134.72B 131.59B 123.26B 102.68B 93.06B 95.07B 100.14B 102.95B 94.78B
otherReceivables - - - - - - - - - -
inventory 235.46B 226.84B 207.97B 222.13B 169.58B 120.19B 117.86B 128.52B 116.97B 112.43B
prepaids - - 12.01B 9.82B 7.89B 7.11B 6.46B 6.28B - -
otherCurrentAssets 73.94B 39.74B 16.76B 26.63B 17.25B 9B 9.7B 17.48B 14.21B 14.7B
totalCurrentAssets 651.51B 574.07B 541.9B 511.75B 476.74B 428.75B 408.78B 384.93B 366.63B 345.22B
propertyPlantEquipmentNet 179.71B 178.19B 180.36B 153.5B 138.26B 128.58B 129.93B 116B 120.32B 120.77B
goodwill 60.96B 53.68B 52.96B 70.84B 79.37B 75.84B 91.43B 98.39B 101.01B 95.59B
intangibleAssets 37.44B 42.16B 44.29B 43.38B 42.32B 42.35B 42.98B 47.81B 52.9B 51.42B
goodwillAndIntangibleAssets 98.4B 95.84B 97.24B 114.22B 121.69B 118.2B 134.41B 146.2B 153.91B 147.01B
longTermInvestments 44.92B 2.46B 42.49B 20.64B 53.18B 29.42B 18.19B 46.64B 30.91B 21.44B
taxAssets 27.36B 24.75B 20.66B 20.82B 21.26B 14.84B 14.53B 14.83B 13.49B 16.69B
otherNonCurrentAssets 23.33B 82.09B 13.45B 29.56B 2M 24.1B 25.63B 1M 23.01B 22.96B
totalNonCurrentAssets 373.72B 358.58B 354.21B 338.74B 334.4B 315.14B 322.69B 323.67B 341.64B 328.88B
otherAssets 5M 5M 3M 4M 4M 4M 3M 5M 4M 3M
totalAssets 1.03T 932.65B 896.11B 850.49B 811.15B 743.9B 731.47B 708.6B 708.28B 674.11B
totalPayables 98.81B 88.45B 81.89B 63.28B 63.34B 61.37B 37.99B 48.14B 49.92B 51.39B
accountPayables 89.3B 88.45B 74.29B 57.81B 49.25B 34.01B 34.53B 40.07B 43.82B 44.93B
otherPayables 9.51B 10.53B 7.6B 5.47B 14.08B 6.78B 3.46B 8.07B 6.1B 6.46B
accruedExpenses - - 55.25B 50.35B 49.46B 46.89B 42.92B 44.18B 21.27B 12.38B
shortTermDebt 594.72M - 60.76M 36.82B 20.12B 19.17B 50.36B 19.56B 21.89B 22B
capitalLeaseObligationsCurrent - 9.15B 9.2B 8.48B 7.82B - 16.61B -3.21B -12.8B 1.49B
taxPayables - - 7.6B 5.47B 14.08B 6.78B 3.46B 8.07B 6.1B 6.46B
deferredRevenue 59.28M - 7.01B 25.45B 34.62B 26.32B 19.7B 18.56B 14.28B 15.22B
otherCurrentLiabilities 102.98B 85.74B 13.4B 16.9B 4.15B -2.25B 2.35B 19.41B 49.68B 49.87B
totalCurrentLiabilities 202.45B 183.34B 166.74B 201.28B 179.51B 151.49B 169.92B 149.84B 157.04B 152.36B
longTermDebt 402.52M 600M 600M 600M 20.7B 38.29B 56.65B 77.23B 94.55B 117.08B
capitalLeaseObligationsNonCurrent - 23.51B 27.91B - - - - - - 2.78B
deferredRevenueNonCurrent 2.68B 3.55B 2.56B 2.05B 1.6B 1.51B 1.19B 890M 32.79B 31.96B
deferredTaxLiabilitiesNonCurrent 6.32B 6.74B 7.22B 7.06B 7.21B 6.39B 5.56B 6.46B 8.26B 7.84B
otherNonCurrentLiabilities 41.18B 23.36B 50.86B 42.83B 40.92B 46.51B 52.98B 32.59B 3.14B 379M
totalNonCurrentLiabilities 50.59B 57.84B 61.25B 52.53B 70.43B 92.7B 116.38B 117.17B 138.74B 160.04B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations - 32.66B 37.11B 8.48B 7.82B - 16.61B -3.21B -12.8B 4.27B
totalLiabilities 253.03B 241.18B 227.99B 253.81B 249.94B 244.19B 286.3B 267.01B 295.78B 312.4B
treasuryStock -21.87B -3.39B -3.44B -3.53B -5.43B -2.48B -2.6B -2.69B -2.8B -24.23B
preferredStock - - - 4.96B - - - 71.58B - -
commonStock 19.33B 19.21B 19.21B 19.21B 19.21B 19.21B 19.21B 19.21B 19.21B 19.21B
retainedEarnings 662.22B 612.59B 584.29B 568.06B 554.91B 509.66B 491.8B 462.24B 427.84B 407.84B
additionalPaidInCapital 18.15B 18B 17.92B 17.85B 17.87B 17.65B 17.63B 17.58B 17.52B 17.46B
date 2026-03-31 2025-03-31 2024-03-31 2023-03-31 2022-03-31 2021-03-31 2020-03-31 2019-03-31 2018-03-31 2017-03-31
netIncome 62.98B 54.78B 31.65B 56.95B 86.43B 42.94B 67.05B 72.27B 69.67B 61.26B
depreciationAndAmortization 323.9M 52.69B 47.54B 42.58B 38.7B 38.25B 40.2B 33.67B 34.14B 33.81B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital 1.43B -29.02B 20.4B -58.04B -33.86B 9.98B 1.57B -14.91B -11B 13.19B
accountsReceivables 3.02B -5.63B 3.35B -16.12B -2.95B 7.48B 1.66B 2.13B -8.76B -2.96B
inventory 12.95B -21.82B 34.42B -44.25B -37.96B 3.95B 6.05B -12.18B -4.13B 9.61B
accountsPayables -5.65B - -15.07B 6.17B 12.45B 1.23B -9.37B -6.88B 2.76B 5.75B
otherWorkingCapital -8.88B -1.56B -2.3B -3.84B -5.39B -2.69B 3.23B 2.01B -6.87B 3.58B
otherNonCashItems 47.29B 11.58B 41.45B -27.06B -19.01B 18.09B -21.07B -17.76B -10.99B -9.11B
netCashProvidedByOperatingActivities 111.7B 90.02B 141.03B 14.43B 72.25B 109.26B 87.75B 73.28B 81.82B 99.16B
investmentsInPropertyPlantAndEquipment -44.31B -35.78B -38.02B -42.48B -35.84B -27.51B -26.08B -25.47B -31.87B -28.95B
acquisitionsNet 2.42B - -157M -4.03B -8.22B -5.18B -2.03B -7.41B -85M 2.15B
purchasesOfInvestments -88.36M -5.4B -5.28B -4.31B -10.54B -7.54B -8.37B -5.8B -11.22B -8.55B
salesMaturitiesOfInvestments 81.62M 7.02B 8.16B 7.7B 5.89B 9.25B 8.52B 9.19B 6.34B 12.37B
otherInvestingActivities -1.38B -12.37B -6.78B 10.92B 7.93B 5.91B 5M 6.86B -247M -292M
netCashProvidedByInvestingActivities -43.26B -48.15B -42.07B -32.2B -40.78B -25.08B -27.96B -22.62B -37.09B -23.27B
netDebtIssuance 381.39M -8.97B -35.61B -4.43B -20B -50.15B 9.78B -21.57B -20.3B -18.67B
longTermNetDebtIssuance - -8.97B -20B -20B -20B -20.14B -20.09B -20.53B -20.3B -14.19B
shortTermNetDebtIssuance 381.39M - -15.62B 15.57B - -30.01B 29.87B -1.04B 671M -6.36B
netStockIssuance -20.52B -5M -3M -7B -3B -6M - - - -
netCommonStockIssuance -20.52B -5M -3M -7B -3B -6M - - - -
commonStockIssuance -1.95B - - - - - - - - -
commonStockRepurchased -18.57B -5M -3M -7B -3B -6M - - - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -25.63B -25.62B -17.42B -17.51B -16.4B -14.83B -15.61B -15.6B -12.48B -9.36B
commonDividendsPaid -25.63B -25.62B -17.42B -17.51B -16.4B -14.83B -15.61B -15.6B -12.48B -9.36B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -9.21B -8M -8.55B -7.7B -25.79B -9.05B -9.09B -1.87B -1.77B -2.36B
netCashProvidedByFinancingActivities -54.98B -34.61B -61.58B -36.64B -65.19B -74.04B -14.92B -39.04B -34.55B -30.39B
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-30 2024-12-30 2024-09-29 2024-06-30 2024-03-31 2023-12-31
revenue 233.92B 223.43B 227.92B 213.07B 217.8B 231.53B 212.51B 214.72B 210.16B 213.13B
costOfRevenue 134.22B 131.43B 128.55B 122.04B 129.44B 129.43B 118.17B 117.93B 124.99B 128.08B
grossProfit 99.69B 92B 99.37B 91.03B 88.36B 102.1B 94.34B 96.79B 85.17B 85.05B
researchAndDevelopmentExpenses - - - - - - - - 13.16B 12.24B
generalAndAdministrativeExpenses - - - - 9.64B - - - 77.03B 69.87B
sellingAndMarketingExpenses - - - - 45.58B - - - -18.99B -17.98B
sellingGeneralAndAdministrativeExpenses 79.53B 69.22B 77.09B 72.15B 79.82B 75.94B 74.17B 73.98B 58.04B 51.9B
otherExpenses - - - 2.92B 2.73B 630M -1.01B 1.01B - -
operatingExpenses 79.53B 69.22B 77.09B 75.08B 82.55B 76.56B 73.16B 74.99B 71.2B 64.13B
costAndExpenses 213.76B 200.65B 205.64B 197.12B 211.99B 206B 191.33B 192.92B 196.2B 192.21B
netInterestIncome 1.17B 885.77M 588.29M 869M 687M 978M 1.02B 1.64B 439M 857M
interestIncome 1.65B 1.22B 952.42M 869M 687M 978M 1.02B 2.16B 888M 1.25B
interestExpense 483.02M 331.29M 364.13M 2.66M 2.26M 2.4M 2.26M 520M 449M 393M
depreciationAndAmortization 75.49M 13.19B 13.38B 13.07B 13.13B 13.06B 13.16B 13.34B 12.54B 12.18B
ebitda 20.16B 38.4B 37.43B 29.02B 18.94B 38.59B 29.9B 35.14B 27.01B 33.54B
ebit 20.16B 25.21B 24.05B 15.95B 5.81B 25.54B 16.74B 21.8B 14.47B 21.36B
nonOperatingIncomeExcludingInterest - -2.43B -1.76B -1M 1M 1M 4.44B -1M -506M -435M
operatingIncome 20.16B 22.78B 22.28B 15.95B 5.81B 25.54B 21.18B 21.8B 13.97B -3.9B
totalOtherIncomeExpensesNet -3.61B 2.3B 1.56B 1.02B 778M 1.11B -3.26B 1.74B -24.76B 26.22B
incomeBeforeTax 16.55B 25.07B 23.84B 16.97B 6.59B 26.65B 17.92B 23.54B -10.79B 22.21B
incomeTaxExpense 901.64M 6.28B 7.07B 5.23B 2.21B 4.39B 6.29B 7.01B 4.17B 4.6B
netIncomeFromContinuingOperations 15.64B 18.8B 16.78B 11.74B 4.38B 22.26B 11.63B 16.53B -14.96B 17.71B
netIncomeFromDiscontinuedOperations - 4.87B - - - - - - - -
otherAdjustmentsToNetIncome 163.02M - - - - - - - - -
netIncome 15.81B 23.66B 16.78B 11.73B 4.37B 22.26B 11.63B 16.52B -14.97B 17.71B
netIncomeDeductions 7.04M -18.02M - - - - - - - -
bottomLineNetIncome 15.8B 23.68B 16.78B 11.73B 4.37B 22.26B 11.63B 16.52B -14.97B 17.71B
eps 63.91 93.98 66 45.98 17.1 87.07 45.48 64.62 -58.56 69.3
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-30 2024-12-30 2024-09-29 2024-06-30 2024-03-31 2023-12-31
cashAndCashEquivalents 198.92B 177.47B 159.45B 145.64B 172.78B 174.47B 166.64B 174.08B 166.15B 133.34B
shortTermInvestments - - 9.69B - - - - - 7.22B -
cashAndShortTermInvestments 198.92B 177.47B 169.15B 145.64B 172.78B 174.47B 166.64B 174.08B 173.36B 133.34B
netReceivables 143.18B 141.17B 136.78B 129.17B 134.72B 136.96B 124.97B 134.57B 131.59B 123.13B
accountsReceivables 143.18B 141.17B 136.78B 129.17B 134.72B 136.96B 124.97B 134.57B 131.59B 123.13B
otherReceivables - - - - - - - - - -
inventory 235.46B 236.02B 237.55B 233.05B 226.84B 234.44B 219.25B 224.81B 207.97B 211.59B
prepaids - - - - - - - - 12.01B 7.15B
otherCurrentAssets 73.94B 73.91B 37.54B 38.67B 39.74B 40.2B 34.56B 36.75B 16.96B 28.63B
totalCurrentAssets 651.51B 628.57B 581.01B 546.53B 574.07B 586.07B 545.43B 570.2B 541.9B 503.84B
propertyPlantEquipmentNet 179.71B 173.06B 175.51B 175.61B 178.19B 180.1B 172.91B 184.37B 180.36B 167.76B
goodwill 60.96B - - - - - - - 52.96B -
intangibleAssets 37.44B 95.59B 646.57M 96.14B 95.84B 97.38B 94.82B 100.98B 44.29B 120.46B
goodwillAndIntangibleAssets 98.4B 95.59B 646.57M 96.14B 95.84B 97.38B 94.82B 100.98B 97.24B 120.46B
longTermInvestments 44.92B 39.5B 41.93B 2.45B 2.46B 2.37B 58.04B 41.37B 42.49B 53.33B
taxAssets 27.36B 27B 24.72B 177.58M 24.75B 155.19M 22.71B 22.81B 20.66B 21.32B
otherNonCurrentAssets 23.33B 20.24B 115.31B 84.5B 82.09B 81.01B 22.72B 17.67B 13.46B 2M
totalNonCurrentAssets 373.72B 355.39B 358.12B 358.7B 358.58B 360.85B 348.49B 367.19B 354.21B 362.87B
otherAssets - - 2M - - - - - - -
totalAssets 1.03T 983.97B 939.14B 905.22B 932.65B 946.92B 893.92B 937.39B 896.11B 866.71B
totalPayables 98.81B 91.48B 86.04B 76.59B 88.45B 83.03B 76.97B 78.92B 81.89B 74.09B
accountPayables 89.3B 82.21B 78.16B 76.59B 88.45B 83.03B 76.97B 78.92B 74.29B 65.26B
otherPayables 9.51B 9.27B 7.88B 37.97M - 85.69M 11.69B 54.98M 7.6B 8.83B
accruedExpenses - - - - 56.16B - - - 25.32B -
shortTermDebt 594.72M 355.31M 423M - - - - 8.85B 60.76M 3M
capitalLeaseObligationsCurrent - - - - 9.15B - - - 9.2B -
taxPayables - - 7.88B - - - - 8.85B 7.6B 8.83B
deferredRevenue 59.28M 8.74B 56.05M 54.29M - 44.89M - 7.28B 7.01B 7.09B
otherCurrentLiabilities 102.98B 88.69B 88.41B 85.81B 29.58B 96.2B 89.71B 74.91B 43.33B 71.98B
totalCurrentLiabilities 202.45B 189.26B 174.88B 162.4B 183.34B 179.23B 166.68B 169.96B 166.74B 153.17B
longTermDebt 402.52M 400.35M 400M 600M 600M 600M 600M 600M 600M 600M
capitalLeaseObligationsNonCurrent - - - - 23.51B - - - 27.91B -
deferredRevenueNonCurrent 2.68B 2.72B 2.6B 17.5M 2.51B 15.91M 2.33B 2.62B 3.12B 2.3B
deferredTaxLiabilitiesNonCurrent 6.32B 6.58B 7.14B 46.57M 6.74B 46.45M 7.49B 8.5B 7.22B 7.04B
otherNonCurrentLiabilities 41.18B 40.58B 44.69B 56.68B 33.73B 58.6B 48.35B 51.53B 50.3B 49.51B
totalNonCurrentLiabilities 50.59B 50.28B 54.83B 57.28B 57.84B 59.2B 58.77B 63.25B 61.24B 59.46B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations - - - - 32.66B - - - 37.11B -
totalLiabilities 253.03B 239.54B 229.71B 219.68B 241.18B 238.43B 225.45B 233.21B 227.98B 212.63B
treasuryStock -21.87B -17.38B -11.54B -7.74B -3.39B -3.43B -3.44B -3.4B -3.44B -3.5B
preferredStock - - - - - - - - - -
commonStock 19.33B 19.23B 19.21B 19.21B 19.21B 19.21B 19.21B 19.21B 19.21B 19.21B
retainedEarnings 662.22B 640.88B 628.89B 611.68B 612.59B 609.66B 600.1B 589.19B 584.29B 597.5B
additionalPaidInCapital 18.15B 17.91B 17.91B 17.98B 18B 17.86B 17.87B 17.87B 17.92B 17.82B
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-30 2024-09-29 2024-06-30 2024-03-31 2023-12-31
netIncome 15.64B 18.79B 16.78B 11.73B 4.37B 22.26B 11.63B 16.52B 31.65B 17.71B
depreciationAndAmortization 75.49M 13.19B 13.38B 13.07B 13.13B 13.06B 13.16B 13.34B 12.54B 12.18B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital 12.34B 7.67B -4.31B -1.08B -3.15B -8.88B -15.95B -6.41B 13.82B 15.98B
accountsReceivables 3.81B -850.74M -5.4B 5.38B -2.29B -5.43B -508M 2.59B -3.14B 1.17B
inventory 9.35B 9.46B 59.84M -5.94B -99M -3.19B -11.47B -7.06B 12.48B 13.98B
accountsPayables 513.21M 2.14B -28M -57.16M 44.42M 3.95M 33.46M 3.54B 3.16B 474M
otherWorkingCapital -1.33B -3.08B 1.06B -532M -765M -256M -3.96B -5.48B 1.31B 361M
otherNonCashItems 10.52B -610.53M 804M -23.67B 4.56B -376M 13.57B -813M -21.18B 1.29B
netCashProvidedByOperatingActivities 38.51B 39.05B 26.65B 51.66M 18.91B 26.06B 22.41B 22.64B 36.82B 47.17B
investmentsInPropertyPlantAndEquipment -12.38B -10.44B -10.02B -9.23B -9.37B -9.12B -7.8B -11.47B -13.01B -14.3B
acquisitionsNet 28.18M 2.07B 18.26M 2.05M 539.95K 1.07M -967.02K 210M 506M 100M
purchasesOfInvestments -43.42M -2.04B -2.71B -16.82M -3.35M -15.92M -9.02M -1.09B -901M -1.16B
salesMaturitiesOfInvestments 37.52M 2.41B 3.01B 11.28M 17.88M 11.47M 5.38M 1.76B 4.28B 2.21B
otherInvestingActivities -115.72M -538.47M -281.26M 9.15B -3.26B -4.01B -3.7B -299M -298M -417M
netCashProvidedByInvestingActivities -12.47B -8.54B -9.98B -84.84M -12.64B -13.13B -11.49B -10.89B -9.42B -13.57B
netDebtIssuance 237.48M -79.07M 225.17M -2.25B -2.26B - - -2.35B -3M 3M
longTermNetDebtIssuance - - - -2.25B -2.26B - - -2.35B - -
shortTermNetDebtIssuance 237.48M -79.07M 225.17M - - - - - -3M 3M
netStockIssuance -5.03B -5B -3.44B -7B -2M -2M -1M - -1M -1M
netCommonStockIssuance -5.03B -5B -3.44B -7B -2M -2M -1M - -1M -1M
commonStockIssuance -1.95B - - - - - - - - -
commonStockRepurchased -3.08B -5B -3.44B -7B -2M -2M -1M - -1M -1M
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid - -12.67B - -12.81B - -12.81B - -12.81B - -8.71B
commonDividendsPaid - -12.67B - -12.81B - -12.81B - -12.81B - -8.71B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -2.7B -2.14B -2.11B 21.91B -2M -2.18B -2.18B -1M -2.09B -2.12B
netCashProvidedByFinancingActivities -7.5B -19.89B -5.32B -153.09M -2.27B -15B -2.18B -15.16B -2.09B -10.83B