OTC : CBUMF

China National Building Material Company Limited — Financials

$0.4645 USD

-$0.05 (-10.28%)

Volume
3.37K
Average Volume
7K
Market Capitalization
$3.53B
P/E Ratio
-7.18
Dividend Yield
4.68%
Price Target
Year High
$0.90
Year Low
$0.44
Day High
Day Low
Payout Ratio
-$0.36
Current Ratio
$0.75
CBUMF Financial Statements
date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31
revenue 177.85B 181.3B 210.22B 233.88B 273.68B 254.76B 253.4B 218.96B 127.63B 101.55B
costOfRevenue 144.6B 148.59B 172.77B 191.18B 208.32B 187.95B 176.81B 153.87B 92.38B 74.76B
grossProfit 33.25B 32.71B 37.45B 39.84B 65.73B 66.81B 76.59B 65.09B 35.25B 26.79B
researchAndDevelopmentExpenses - - - - - - - - - -
generalAndAdministrativeExpenses 27.22B 20.62B 21.12B 20.61B 28.61B 30.42B 34B 26.54B 12.07B 10.6B
sellingAndMarketingExpenses 4.14B 3.92B 3.69B 3.63B 4.91B 4.86B 13.14B 11.53B 8.16B 7.24B
sellingGeneralAndAdministrativeExpenses 31.36B 24.54B 24.82B 24.2B 33.44B 35.28B 47.14B 38.07B 20.23B 17.84B
otherExpenses -2.53B -2.04B 1.93M 354.85M -2.74B -2.92B -2.79B 644.32M 592.49M 529.28M
operatingExpenses 28.83B 22.51B 24.82B 24.55B 30.7B 32.36B 44.35B 35.58B 18.23B 15.06B
costAndExpenses 173.43B 171.1B 197.59B 218.59B 239.01B 215.98B 221.16B 189.45B 110.62B 89.82B
netInterestIncome -4.34B -4.66B -5.14B -5.91B -7.25B -7.08B -8.75B -10.74B -10.89B -9.29B
interestIncome 577.25M 578.98M 804.58M 882.62M 884.73M 918.27M 789.32M 725.16M 298.63M 665.25M
interestExpense 4.92B 5.24B 5.95B 6.79B 8.12B 8B 9.54B 11.46B 10.03B 9.96B
depreciationAndAmortization 16.22B 16.07B 13.92B 13.1B 14.83B 14.5B 14.14B 12.99B 7.77B 7.61B
ebitda 22.3B 30.8B 26.54B 28.36B 56.67B 52.56B 51.13B 42.08B 32.06B 16.56B
ebit 6.09B 14.73B 12.63B 15.26B 41.85B 38.06B 36.99B 31.66B 25.64B 14.01B
nonOperatingIncomeExcludingInterest -1.67B -4.53B -3.23B 29.93M - - -780.34M -2.35B -3.46B -5.05B
operatingIncome 4.42B 10.2B 12.63B 15.29B 36.46B 38.86B 36.35B 29.51B 17.01B 8.95B
totalOtherIncomeExpensesNet -3.25B -708.1M -107.69M 2.72B -2.75B -8.8B -8.76B -9.12B -8.13B -4.91B
incomeBeforeTax 1.17B 9.49B 12.52B 18.01B 33.59B 30.04B 27.45B 20.36B 9.56B 4.06B
incomeTaxExpense 2.09B 2.08B 2.12B 2.61B 7.97B 8.39B 9.02B 6.3B 3.22B 1.24B
netIncomeFromContinuingOperations -920.86M 7.41B 10.4B 15.4B 25.71B 21.66B 18.43B 13.89B 9.79B 2.81B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome -3.35B 2.9B 4.41B 8.82B 17.09B 13.55B 18.43B 9.05B 3.88B 1.59B
netIncomeDeductions - - - - - - - -980.88M -1.96B -527.1M
bottomLineNetIncome -3.75B 2.39B 3.86B 8.13B 16.3B 12.56B 10.97B 7.93B 4.94B 1.05B
eps -0.48 0.28 0.39 0.96 1.93 1.49 2.18 1.07 0.59 0.29
date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31
cashAndCashEquivalents 23.84B 23.53B 27.43B 26.03B 27.26B 29.72B 24.08B 20.9B 9.36B 10.25B
shortTermInvestments 6.5B 9.42B 9.93B 7.64B 8.26B 6.16B 6.52B 7.19B 2.93B 2.74B
cashAndShortTermInvestments 30.34B 32.96B 37.37B 35.06B 35.52B 35.87B 30.61B 28.09B 12.29B 12.99B
netReceivables 92.84B 90.32B 83.74B 89.04B 88.99B 94.28B 100.06B 99.26B 111.4B 48.68B
accountsReceivables 90.5B 87.59B 83.74B 89.04B 88.99B 94.28B 100.06B 99.26B 111.4B 36.66B
otherReceivables 2.34B 2.73B - - - - - - - 12.02B
inventory 18.05B 16.95B 21.13B 24.56B 22.13B 20.29B 20.02B 19.68B 16.38B 15.2B
prepaids - - 1.46M -4.41B -88.99B -95.11B -99.92B -99.26B -111.4B 39.82B
otherCurrentAssets 3.24B 3.81B 6.26B 9.88B 92.07B 100.96B 106.39B 109.03B 97.51B 7.97B
totalCurrentAssets 144.48B 144.04B 148.5B 154.11B 149.72B 156.3B 157.16B 156.8B 126.18B 124.67B
propertyPlantEquipmentNet 227.79B 232.79B 225.01B 249.38B 213.81B 200.36B 195.47B 184.01B 139.02B 136.07B
goodwill 31.83B 34.38B 32.24B 32.57B 32.32B 33.29B 37.89B 43.66B 44.68B 42.6B
intangibleAssets 33.24B 31.29B 29.88B 2.03B 22.31B 21.07B 21.41B 20.17B 15.66B 14.94B
goodwillAndIntangibleAssets 65.07B 65.67B 62.12B 34.6B 54.64B 54.36B 59.29B 63.83B 60.34B 57.54B
longTermInvestments 41.92B 27.71B 26.84B 26.33B 21.27B 15.78B 12.03B 8.41B 10.83B 11.07B
taxAssets 9.28B 8.6B 8.44B 7.55B 6.29B 6.57B 5.85B 6.22B 4.73B 4.82B
otherNonCurrentAssets 994.46M 15.2B 26.42B 14.9B 16.82B 23.01B 16.75B 17.37B 6.09B 6.57B
totalNonCurrentAssets 345.06B 349.97B 340.39B 332.77B 312.82B 300.08B 289.39B 279.85B 221.01B 216.08B
otherAssets - - - - - - - - - -
totalAssets 489.54B 494.01B 488.9B 482.47B 462.54B 456.38B 446.55B 436.65B 347.19B 340.75B
totalPayables 90.38B 88.31B 64.42B 68.74B 111.96B 108.35B 99.21B 87.47B 97.01B 89.65B
accountPayables 60.79B 59.54B 62.03B 67.03B 101.67B 98.33B 89.46B 79.23B 84.43B 80.93B
otherPayables 29.58B 28.77B 2.39B 1.7B 10.28B 10.03B 9.75B 8.23B 12.58B 8.72B
accruedExpenses - - 28.53M 67.11M - - - - - -
shortTermDebt 90.63B 82.13B 73.98B 77.69B 73.98B 89.54B 97.74B 121.53B 148.18B 162.06B
capitalLeaseObligationsCurrent 396.98M 418.14M 291.31M 382M 446.26M 633.25M 1.51B 4.96B 9.15B 4.94B
taxPayables 1.35B 1.38B 1.54B 2.11B 3.98B 4.77B 4.31B 4.32B 2.59B 1.89B
deferredRevenue - - - - - - - 4.32B 25.69B 24.25B
otherCurrentLiabilities 11.19B 10.6B 38.08B 39.28B -3.5B -462.33M -93.43M -246.45M -50.67B -53.24B
totalCurrentLiabilities 192.59B 181.46B 176.8B 186.16B 182.88B 198.06B 198.37B 213.72B 203.67B 203.4B
longTermDebt 102.42B 109.78B 110.93B 96.55B 93.19B 85.71B 88.5B 77.53B 61.11B 44.49B
capitalLeaseObligationsNonCurrent 1.93B 2.15B 1.83B 1.83B 2.57B 2.72B 2.71B 4.36B 9.02B 14.14B
deferredRevenueNonCurrent 2.35B 2.28B 2.23B 2.36B 2.24B - 3.2B 1.91B 922.31M 968.63M
deferredTaxLiabilitiesNonCurrent 3.52B 3.48B 3.29B 2.98B 2.95B - 2.27B 2.44B 2.27B 2.18B
otherNonCurrentLiabilities 321.85M 329.19M 303.8M 428.7M 70.33M 4.7B - 187.92M -16.86B -
totalNonCurrentLiabilities 110.54B 118.02B 118.59B 103.97B 101.04B 93.14B 96.93B 86.51B 58.15B 61.78B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 2.33B 2.57B 2.12B 2.21B 3.01B 3.36B 4.22B 9.32B 18.16B 19.08B
totalLiabilities 303.13B 299.48B 295.38B 290.13B 283.92B 291.2B 295.29B 300.22B 261.81B 265.19B
treasuryStock - - - - - - - - - -
preferredStock - - - - - - - - - -
commonStock 7.59B 8.43B 8.43B 8.43B 8.43B 8.43B 8.43B 8.43B 5.4B 5.4B
retainedEarnings 63.72B 86.26B 85.76B 84.33B 80.92B 68.12B 58.5B 49.23B 41.46B 28.12B
additionalPaidInCapital -581.52M 1.79B 1.79B 1.79B 280.58M - - - 5.4B 4.82B
date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31
netIncome 1.17B 9.49B 12.52B 17.43B 33.59B 30.04B 27.45B 20.36B 9.56B 4.06B
depreciationAndAmortization 16.22B 16.07B 16.23B 15.6B 14.81B 14.5B 14.14B 12.99B 7.77B 7.61B
deferredIncomeTax - - - - - 1.12B 2B 4.27B - -
stockBasedCompensation 9.28M 44.53M 67.6M 42.68M - 5.52M 10.97M 12.4M 410K -
changeInWorkingCapital -4.17B -3.17B -1.47B -2.61B 1.15B 12.98B 11.13B 333.25M -3.36B -5.14B
accountsReceivables -2.95B -2.88B 1.67B -904.16M -9.14B 5.23B 3.05B 4.91B -10.69B -6.08B
inventory -943.83M 4.36B 2.42B -2.98B -2.04B -629.88M -199.8M 1.9B -806.12M -60.17M
accountsPayables - - -1.98B 904.16M 9.14B -5.23B -3.05B - - -
otherWorkingCapital -282.25M -4.64B -3.58B 372.86M 3.19B 13.61B 11.33B -1.57B -2.56B -5.08B
otherNonCashItems 9.3B 752.08M 1.68B -4.12B 536.61M 5.59B 8.62B 10.56B 8.3B 8.85B
netCashProvidedByOperatingActivities 22.52B 23.2B 29.02B 26.35B 50.09B 64.23B 63.35B 48.53B 22.27B 15.39B
investmentsInPropertyPlantAndEquipment -12.03B -18.18B -22.04B -31.07B -36.93B -27.85B -27.35B -18.09B -9.27B -11.49B
acquisitionsNet -2.52B -3.06B -3.83B -3.3B -744.88M -1.61B -2.56B -623.94M -257.94M 553.63M
purchasesOfInvestments -21.25B -25.17B -26.79B -19.93B -12.5B -16.38B -7.52B -2.01B -452.65M -2.67B
salesMaturitiesOfInvestments 24.3B 25.69B 23.99B 17.68B 10.17B 16.59B 8.71B 176.2M 78.91M 2.86B
otherInvestingActivities 2.13B 445.01M 1.34B 10.94B 4.4B -93.93M 2.13B 4.26B 3.18B -1.61B
netCashProvidedByInvestingActivities -9.37B -20.28B -27.34B -25.68B -35.61B -29.34B -26.58B -16.29B -6.72B -12.36B
netDebtIssuance 902.66M 6.7B 11.07B 7.91B 4.77B -13.21B -20.6B -18.88B -10.02B 6.82B
longTermNetDebtIssuance 902.66M 6.7B 11.07B 7.91B 5.59B -11.23B -13.29B -10.04B -8.82B 11.09B
shortTermNetDebtIssuance - - - - -819.95M -1.97B -7.31B -8.84B -1.21B -4.27B
netStockIssuance -3.21B -2.5B -4.6B -8.5B -5.81B -8.2B -5.01B - - -
netCommonStockIssuance -3.21B -2.5B -4.6B -8.5B 41.13M -8.2B -1.51B 5.37B 4.66B 2B
commonStockIssuance - - - 8.5B 41.13M 8.2B 3.5B 5.37B 4.66B 2B
commonStockRepurchased -3.21B -2.5B -4.6B -8.5B -5.81B -8.2B -5.01B - - -
netPreferredStockIssuance - - - - -5.85B - -3.5B - - -
netDividendsPaid -1.2B -1.93B -3.19B -6.52B -4.8B -3.95B -1.52B -843.48M -232.16M -199.76M
commonDividendsPaid -1.2B -1.93B -3.19B -6.52B -4.8B -3.95B -1.52B -843.48M -339.3M -199.76M
preferredDividendsPaid - - - - - - -1.14B -847.63M -602.7M -516.5M
otherFinancingActivities -9.31B -8.83B -4.36B 4.93B -10.88B -3.52B -6.38B -14.29B -5.5B -9.54B
netCashProvidedByFinancingActivities -12.82B -6.57B -1.08B -2.18B -16.72B -28.88B -33.51B -34.83B -16.47B -3.44B
date 2025-12-31 2025-06-30 2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30
revenue 84.56B 93.29B 97.83B 83.47B 57.21B 44.19B 64.4B 55.94B 153.75B 121.87B
costOfRevenue 69.42B 75.18B 78.37B 70.22B 44.5B 37.24B 51.95B 45.12B 118.36B 91.53B
grossProfit 15.15B 18.11B 19.46B 13.25B 12.7B 6.95B 12.45B 10.82B 35.39B 30.34B
researchAndDevelopmentExpenses -2.04B 2.04B 8.76B 2.13B 4.58B 1.06B 3.91B - - -
generalAndAdministrativeExpenses 15.73B 11.5B 10.55B 9.91B 410.81M 3.24B 375.94M 4.57B 13.37B 10.12B
sellingAndMarketingExpenses 2.36B 1.78B 2.03B 1.89B 1.04B 912.59M 916.4M 871.36M 2.58B 2.34B
sellingGeneralAndAdministrativeExpenses 17.21B 14.15B 12.85B 12B 1.34B 4.14B 1.12B 5.38B 16.11B 13.16B
otherExpenses -5.39B 2.86B -2.16B -879.1M - - - - - -
operatingExpenses 9.78B 19.06B 19.46B 13.25B 10.27B 5.55B 11.59B 3.35B 19.68B 9.68B
costAndExpenses 79.19B 94.24B 97.83B 83.47B 54.77B 42.79B 63.54B 48.46B 138.04B 101.21B
netInterestIncome -1.57B -2.77B -2.22B - - - - - - -
interestIncome 577.25M 42.24M 27.37M 53.12M 221.98M 1.33B 2.26B 1.49B 616.62M 3.27B
interestExpense 2.15B 2.77B 2.22B - - - - - - -
depreciationAndAmortization 9.3B 6.91B 7B 6.78B 3.27B 3.27B 3.04B 3.04B 6.87B 5.64B
ebitda 8.86B 13.45B 13.6B 8.03B 8.39B 4.57B 9.2B 8.48B 26.15B 22.82B
ebit -444.05M 6.53B 6.6B 1.25B 5.12B 1.3B 6.16B 5.44B 19.28B 17.18B
nonOperatingIncomeExcludingInterest 5.81B -7.48B -6.6B 154.9M 2.38B - - - - -
operatingIncome 5.37B -950.37M 1.05B 174.92M 5.12B 1.3B 6.16B 5.44B 19.28B 17.18B
totalOtherIncomeExpensesNet -13.52B 10.27B 9.17B 327.2M -5.3B -1.04B -3.04B 541.11M -2.96B 207.27M
incomeBeforeTax -8.15B 9.32B 9.17B 327.2M 2.21B 251.1M 3.12B 5.98B 16.32B 17.39B
incomeTaxExpense 493.51M 1.59B 1.46B 619.55M 210.11M 278.48M 486.99M 1.01B 3.79B 4.21B
netIncomeFromContinuingOperations -8.65B 7.73B 7.71B -292.35M 2B -27.38M 2.64B 4.98B 12.53B 13.18B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - 264.37M - 345.43M -172.71M -389.74M -404.96M
netIncome -7.53B 4.19B 4.65B -1.75B 949.14M -526.15M 1.59B 2.8B 8.38B 7.92B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome -7.5B 3.75B 4.4B -2.02B 949.14M -526.15M 1.59B 2.8B 8.38B 7.92B
eps -0.98 0.5 0.52 -0.24 0.11 -0.06 0.19 0.33 1 0.94
date 2025-12-31 2025-06-30 2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30
cashAndCashEquivalents 23.84B 26.3B 23.53B 24.81B 27.43B 32.52B 26.03B 37.77B 27.26B 26.96B
shortTermInvestments 6.5B 4.39B 9.42B 6.51B 9.93B 966.46M 7.64B 6.28B 8.26B 4.87B
cashAndShortTermInvestments 30.34B 30.69B 32.96B 31.32B 37.37B 32.52B 33.66B 44.05B 35.52B 31.84B
netReceivables 92.84B 97.59B 90.32B 92.49B 83.74B 94.17B 89.04B 92.39B 88.99B 107.23B
accountsReceivables 90.5B 95.27B 87.59B 92.49B 83.74B 94.17B 89.04B 92.39B 88.99B 107.23B
otherReceivables 2.34B 2.32B 2.73B - - - - - - -
inventory 18.05B 21.57B 16.95B 22.36B 21.13B 24.49B 23.95B 25.95B 21.2B 24.43B
prepaids - - - - - - -4.41B - -88.99B -
otherCurrentAssets 3.24B 3.56B 3.81B 4.72B 6.27B 5.42B 5.44B 4.9B 93B 7.42B
totalCurrentAssets 144.48B 153.41B 144.04B 150.89B 148.5B 32.52B 149.7B 167.29B 149.72B 170.92B
propertyPlantEquipmentNet 227.79B 232.65B 232.79B 230.2B 225.99B 227.53B 249.38B 218.32B 213.81B 211.55B
goodwill 31.83B 35.13B 34.38B 34.5B 32.24B 32.69B 32.57B 32.34B 32.32B 35.26B
intangibleAssets 33.24B 31.79B 31.29B 30.8B 30.57B 31.51B 2.03B 27.19B 22.31B 23.65B
goodwillAndIntangibleAssets 65.07B 66.93B 65.67B 65.3B 62.81B 64.2B 34.6B 59.53B 54.64B 58.91B
longTermInvestments 41.92B 38.89B 27.71B 36.38B 26.84B 26.93B 26.33B 24.06B 21.27B 18.76B
taxAssets 9.28B 8.71B 8.6B 8.79B 8.44B 7.78B 7.55B 6.65B 6.29B 6.21B
otherNonCurrentAssets 994.46M 5.15B 15.2B 16.91B 16.32B -262.24B 14.9B 10.01B 16.82B 22.6B
totalNonCurrentAssets 345.06B 352.33B 349.97B 348.79B 340.39B 64.2B 332.77B 318.57B 312.82B 318.03B
otherAssets - - - - - 406.89B - - - -
totalAssets 489.54B 505.74B 494.01B 499.67B 488.9B 503.61B 482.47B 485.86B 462.54B 488.95B
totalPayables 90.38B 87.66B 88.31B 64.67B 64.42B 69.79B 68.74B 64.79B 111.96B 69.45B
accountPayables 60.79B 59.41B 59.54B 64.67B 62.03B 68.11B 67.03B 63.23B 101.67B 68B
otherPayables 29.58B 28.25B 28.77B 28.69B 2.39B 1.68B 1.7B 1.57B 10.28B 1.45B
accruedExpenses - - - 11.7M 28.53M 28.01M 67.11M 22.56M - 1.26M
shortTermDebt 90.63B 102.53B 82.13B 78.7B 73.98B 78.01B 77.69B 100.92B 73.98B 94.52B
capitalLeaseObligationsCurrent 396.98M 385.59M 418.14M 300.93M 291.31M 267.14M 382M 1.24B 446.26M 507.27M
taxPayables 1.35B 1.13B 1.38B 1.01B 1.54B 1.61B 2.11B 2.39B 3.98B 3.69B
deferredRevenue - - - - - - - - - 3.69B
otherCurrentLiabilities 11.19B 11.13B 10.6B 37.84B 38.08B 38.44B 39.28B 38.34B -3.5B 47.1B
totalCurrentLiabilities 192.59B 201.71B 181.46B 181.54B 176.8B 186.54B 186.16B 205.31B 182.88B 211.58B
longTermDebt 102.42B 103.15B 109.78B 120.16B 110.93B 115.78B 96.55B 86.19B 93.19B 92.34B
capitalLeaseObligationsNonCurrent 1.93B 2B 2.15B 2.2B 1.83B 1.75B 1.83B 1.61B 2.57B 2.59B
deferredRevenueNonCurrent 2.35B 2.26B 2.28B 2.2B 2.23B 2.33B 2.36B 2.2B 2.24B 2.2B
deferredTaxLiabilitiesNonCurrent 3.52B 3.51B 3.48B 3.51B 3.29B 2.74B 2.98B 2.88B 2.95B 2.98B
otherNonCurrentLiabilities 321.85M 327.62M 329.19M 6.02B 303.8M 5.5B 428.7M 5.3B 70.33M 5.42B
totalNonCurrentLiabilities 110.54B 111.25B 118.02B 128.38B 118.59B 123.03B 103.97B 93.09B 101.04B 100.34B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 2.33B 2.38B 2.57B 2.5B 2.12B 2.02B 2.21B 2.84B 3.01B 3.1B
totalLiabilities 303.13B 312.96B 299.48B 309.91B 295.38B 309.57B 290.13B 298.41B 283.92B 311.92B
treasuryStock - - - - - - - - - -
preferredStock - - - - - - - - - -
commonStock 7.59B 7.59B 8.43B 8.43B 8.43B 8.43B 8.43B 8.43B 8.43B 8.43B
retainedEarnings 63.72B 69.65B 86.26B 81.81B 85.76B 85.29B 83.16B 80.3B 80.92B 72.08B
additionalPaidInCapital -581.52M -573.81M 1.79B 1.79B 1.79B 1.79B 1.79B 1.79B 280.58M 1.79B
date 2025-12-31 2025-06-30 2024-12-31 2024-06-30 2023-12-31 2023-06-30 2022-12-31 2022-06-30 2021-12-31 2021-06-30
netIncome -3.02B 4.19B 3.59B -397.95M 684.77M -526.15M 1.25B 2.97B 4.39B 4.16B
depreciationAndAmortization 362.09M 15.85B 16.07B 7.61B -7.72B 3.86B -7.26B 3.63B 4.03B 3.43B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation 9.28M - 44.53M - - - - - - -
changeInWorkingCapital -4.17B - 1.22B - - - - - -6.27B -
accountsReceivables -2.95B - -3.01B - - - - - -4.57B -
inventory -943.83M - 4.36B - - - - - -1.07B -
accountsPayables - - - - - - - - - -
otherWorkingCapital -282.25M - -124.44M - - - - - -628.34M -
otherNonCashItems 14.47B -5.18B -5.31B 1.78B 13.16B -3.03B 8.68B -876.27M 14.97B 296.94M
netCashProvidedByOperatingActivities 7.65B 14.87B 15.62B 8.98B 6.12B -3.55B 2.66B 5.73B 17.12B 7.88B
investmentsInPropertyPlantAndEquipment -8.23B -3.8B -5.54B -4.92B -6.47B -5.87B -5.57B -6.25B -7.32B -6.5B
acquisitionsNet -2.3B -214.87M -6.32M -622.83M 568.21M -6.97M -108.73M -71.35M -145.56M -405.38M
purchasesOfInvestments -21.25B - - - - - - - - -
salesMaturitiesOfInvestments 24.3B - - - - - - - - -
otherInvestingActivities -441.23M 3.1B -4.48B -2.08B 4.24B 814.2M 1.8B 161.02M -1.97B -1.47B
netCashProvidedByInvestingActivities -7.93B -913.95M -10.03B -7.63B -1.66B -5.07B -3.88B -6.16B -9.43B -8.38B
netDebtIssuance -3.37B 4.27B -5.57B -1.27B -3.43B 16.1B 4.29B 2.7B -631.15M 1.5B
longTermNetDebtIssuance -3.37B 4.27B -5.57B -1.27B -3.43B 16.1B 4.29B - - -
shortTermNetDebtIssuance - - - - - - - - - -
netStockIssuance 15.16B -18.37B -2.69B -996.94M 318.09M -43.13M -531.52M -753.58M -1.91B -1B
netCommonStockIssuance 15.16B -18.37B -2.69B -996.94M 318.09M -43.13M -531.52M -753.58M -1.91B -1B
commonStockIssuance - - - - - - - - - -
commonStockRepurchased 15.16B -18.37B -2.69B -996.94M -303.97M -1.15B -988.34M -753.58M -1.91B -1B
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -2.14B 944.05M 7.57B -310.27M -9.05B -1.83B -9.36B -2.92B -417.31M -1.98B
commonDividendsPaid -2.14B 944.05M 7.57B -310.27M -9.05B -1.83B -9.36B -2.92B -417.31M -1.98B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -22.7B 4.16B -4.56B -2.74B 6.11B -579.14M 7.68B 9.24B -5.23B 2.16B
netCashProvidedByFinancingActivities -13.06B -9B -5.24B -5.32B -6.37B 13.69B 2.61B 5.57B -7.56B -826.13M