OTC : CHPFF

Charoen Pokphand Foods Public Company Limited — Financials

$0.69 USD

$0 (0.0%)

Volume
4.5K
Average Volume
267
Market Capitalization
$5.86B
P/E Ratio
8.56
Dividend Yield
5.53%
Price Target
Year High
$0.78
Year Low
$0.55
Day High
Day Low
Payout Ratio
$1.63
Current Ratio
$0.72
CHPFF 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 570.67B 580.75B 589.62B 614.2B 512.7B 589.71B 532.57B 541.94B 501.51B 464.46B
costOfRevenue 474.08B 493.34B 524.64B 530.91B 449.2B 482.74B 453.03B 472.25B 441.48B 392.71B
grossProfit 96.59B 87.41B 64.97B 83.28B 63.51B 106.97B 79.54B 69.68B 60.03B 71.75B
researchAndDevelopmentExpenses - 519M - 297M 221M 188M 182M 191M 60M 55M
generalAndAdministrativeExpenses 32.61B 32.75B 32.24B 32.08B 30.64B 33.76B 33.23B 38.41B 38.07B 33.58B
sellingAndMarketingExpenses 17.98B 17.69B 23.64B 22.92B 20.24B 23.9B 21.59B 10.05B 10.25B 8.47B
sellingGeneralAndAdministrativeExpenses 50.55B 50.43B 55.88B 55B 50.88B 57.66B 54.82B 48.46B 48.32B 42.05B
otherExpenses - -519M - - - - - 3.13B 2.23B 2.33B
operatingExpenses 50.55B 50.43B 55.88B 55B 50.88B 57.66B 54.82B 52.05B 51.79B 45.47B
costAndExpenses 524.63B 543.78B 580.52B 585.91B 500.08B 540.4B 507.85B 524.3B 493.27B 438.18B
netInterestIncome -22.4B -22.71B -24.35B -19.52B -15.85B -16.05B -12.75B -10.79B -10.81B -9.81B
interestIncome 1.67B 1.87B 1.16B 842.83M 743.04M 770.49M 1.04B 918.38M 936.92M 790.84M
interestExpense 24.07B 3.15B 25.84B 2.91B 2.7B 2.47B 13.78B 11.7B - -
depreciationAndAmortization 32.56B 25.75B 25.12B 32.21B 28.93B 28.33B 23.04B 22.41B 21.25B 18.51B
ebitda 78.6B 56.87B 26.16B 48.15B 30.16B 79.87B 46.63B 25B 13.62B 36.94B
ebit 46.04B 31.12B 1.04B 23.34B 19.44B 57.56B 29.69B 39.34B 8.24B 26.28B
nonOperatingIncomeExcludingInterest - 5.85B -1.04B 7.16B -574.29M -4.76B -4.97B -21.14B -10.5B -2.59B
operatingIncome 46.04B 36.97B 6.05B 19.34B 7.72B 48.4B 37.69B 8.32B -2.26B 23.69B
totalOtherIncomeExpensesNet -8.79B -9B -1.93B -10.07B -2.13B 2.29B 4.82B 9.44B 20.41B 4.2B
incomeBeforeTax 37.25B 27.97B -1.93B 20.43B 16.73B 55.09B 29.54B 27.64B 18.15B 27.9B
incomeTaxExpense 8.63B 5.67B 600.3M 6B 2.65B 11B 5.45B 6.21B 250.65M 7.21B
netIncomeFromContinuingOperations 28.62B 22.3B -2.53B 14.42B 14.08B 44.09B 24.1B 21.42B 17.9B 20.69B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome 25.18B 19.56B -5.21B 13.97B 13.03B 26.02B 18.46B 15.53B 15.26B 14.7B
netIncomeDeductions 1.08B 133K 629.65M - - - - 470K 320K -
bottomLineNetIncome 24.1B 18.47B -5.84B 13.41B 13.03B 26.02B 17.86B 14.93B 14.75B 14.7B
eps 3.12 2.39 -0.84 1.69 1.56 3.14 2.25 1.9 1.98 1.99
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 23.38B 24.94B 26.14B 32.95B 36.69B 57.04B 32.09B 31.48B 22.97B 34.1B
shortTermInvestments 4.59B 5.56B 951.62M 3.27B 3.59B 961.66M 1.4B 1.56B 3.87B 6.76B
cashAndShortTermInvestments 27.97B 30.5B 27.09B 36.22B 40.28B 58B 33.5B 33.03B 26.84B 40.86B
netReceivables 41.95B 41.89B 42.35B 43.22B 38.65B 29.95B 33.47B 40.97B 36.86B 30.68B
accountsReceivables 41B 40.67B 42.35B 43.06B 38.47B 29.95B 33.12B 40.75B 35.96B 30.5B
otherReceivables 948.66M 1.22B - - 171.57M - - 201.16M 170.63M -
inventory 111.4B 114.58B 127.69B 137.62B 121.39B 91.06B 98.09B 94.31B 85.09B 84.17B
prepaids 2.33B 5.3B 2.65B 2.56B 2.4B 2.36B 1.95B 2.16B 2.11B 2.13B
otherCurrentAssets 7.94B 7.78B 9.34B 8.36B 8.35B 8.87B 6.1B 7.17B 7.62B 5.1B
totalCurrentAssets 191.6B 200.06B 209.12B 233.22B 216.55B 194.67B 178.65B 185.54B 164.45B 166.37B
propertyPlantEquipmentNet 299.14B 291.97B 300.64B 312.55B 265.17B 232.51B 205.95B 203.5B 196.93B 183.91B
goodwill 56.68B 58.03B 60.19B 62.77B 60.82B 54.56B 87.76B 96.46B 99.52B 107.49B
intangibleAssets 12.52B 13.09B 13.24B 13.46B 13.65B 13.14B 14.4B 16.21B 16.48B 18.69B
goodwillAndIntangibleAssets 69.19B 71.12B 71.98B 76.22B 74.47B 67.71B 102.17B 112.67B 116.01B 126.18B
longTermInvestments 280.61B 281.61B 274.59B 272.05B 265.87B 250.28B 130.65B 111.52B 98.66B 87.66B
taxAssets 8.24B 7.14B 5.76B 4.58B 4.96B 2.95B 3.16B 3.38B 4.73B 3.3B
otherNonCurrentAssets 12.31B 24.82B 30.88B 28.36B 15.66B 13.61B 13.48B 11.47B 12.72B 14.76B
totalNonCurrentAssets 669.5B 676.66B 678.1B 693.77B 626.13B 567.05B 455.4B 442.55B 429.05B 415.81B
otherAssets - - - - - - - - - -
totalAssets 861.09B 876.72B 887.22B 926.99B 842.68B 761.72B 634.05B 628.09B 593.5B 582.18B
totalPayables 40.85B 37.61B 36.53B 50.96B 44.37B 32.31B 32.18B 35.46B 34.84B 31.56B
accountPayables 37.95B 1.01B - 50.96B 44.37B 32.31B 32.18B 35.46B 34.84B 31.56B
otherPayables 2.9B 37.61B 36.53B - - - - - - -
accruedExpenses 14.59B 14.99B 11.85B 13.07B 12.23B 9.33B 13B 11.56B 11B 10.58B
shortTermDebt 215.26B 197.61B 193.01B 183.55B 129.48B 140.05B 137.08B 121.19B 129.68B 135.42B
capitalLeaseObligationsCurrent 5.14B 5.38B 5.32B 4.92B 4.44B 4.17B 323.46M 160M 16M 10M
taxPayables - 2.77B 1.62B 2.31B 1.73B 2.95B 1.5B 1.26B 1.63B 1.83B
deferredRevenue 1.74B 47.55M 180K 15.38B 13.96B 12.28B 14.5B 12.81B 12.62B 12.42B
otherCurrentLiabilities 8.14B 7.74B 12.76B 14.47B 13.41B 18.28B 15.12B 13.85B 15.09B 12.92B
totalCurrentLiabilities 285.72B 263.33B 259.46B 266.98B 203.93B 204.15B 197.71B 182.21B 190.62B 190.5B
longTermDebt 291.61B 260.64B 286.74B 301.5B 301.24B 244.2B 194.02B 207.27B 158.98B 177.27B
capitalLeaseObligationsNonCurrent 31.44B 31.27B 30.05B 30.58B 29.46B 27.69B 2.47B 1.68B 37M 25M
deferredRevenueNonCurrent - - - 11.75B 12.36B 14.54B 13.09B 9.18B 7.23B 7B
deferredTaxLiabilitiesNonCurrent 15.16B 15.97B 14.88B 16.34B 8.55B 8.96B 7.88B 9.09B 9.99B 13.68B
otherNonCurrentLiabilities 12.42B 12.29B 11.06B 11.75B 12.36B - - 336K 9.99B 13.68B
totalNonCurrentLiabilities 350.62B 320.17B 342.72B 360.17B 351.62B 295.39B 217.47B 227.22B 176.24B 197.97B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 36.58B 36.65B 35.36B 35.5B 33.9B 31.86B 2.79B 1.84B 53M 35M
totalLiabilities 636.35B 583.5B 602.18B 627.14B 555.54B 499.54B 415.18B 409.43B 366.86B 388.47B
treasuryStock -10.44B -8.29B -8.29B -11.15B -10.33B -9B -2.91B -2.91B -2.91B -1.14B
preferredStock - - - - - - - - - -
commonStock 8.4B 8.41B 8.41B 8.61B 8.61B 8.61B 8.61B 8.61B 8.61B 7.74B
retainedEarnings 132.27B 136.53B 118.69B 136.92B 125.25B 119.89B 103.58B 92.08B 82.12B 74.78B
additionalPaidInCapital 59.6B 59.63B 59.63B 60.85B 60.88B 60.77B 60.77B 60.77B 60.77B 39.93B
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 25.18B 22.3B -2.53B 14.42B 14.08B 44.09B 24.1B 21.42B 17.9B 20.69B
depreciationAndAmortization 25.1B 25.75B 25.12B 24.82B 22.44B 22.31B 16.94B 16.67B 15.88B 13.25B
deferredIncomeTax 8.63B 5.67B 600.3M 6B 2.65B 11B 5.45B 6.21B 250.65M 7.21B
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital -4.42B -1.51B -3.4B -23.65B -34.95B -3.3B -5.22B -19.65B -11.04B -10.8B
accountsReceivables -1.95B -470.28M -1.14B -5.74B -7.13B -260.76M 3.16B -6.05B -5.26B -3.21B
inventory 1.89B -851.52M 11.89B -25.75B -30.44B -7.71B -10.7B -14.94B -8.54B -8.48B
accountsPayables 4.77B -7.35M -2.66B 8.16B 8.12B 4.42B -701.69M 2.53B 5.7B 2.09B
otherWorkingCapital -9.12B -191.2M -11.48B -311.94M -5.5B 250.75M 3.03B -4.71B -2.5B -2.32B
otherNonCashItems 1.77B 12.93B 15.57B 24.84B 23.94B 21.71B 15.2B 12.13B -5.74B 884.34M
netCashProvidedByOperatingActivities 56.26B 65.14B 35.36B 33.54B 6.42B 71.04B 40.61B 15.29B 17.26B 31.23B
investmentsInPropertyPlantAndEquipment -17.52B -15.57B -21.45B -27.64B -24.46B -27.16B -25.97B -28.9B -30.64B -22.57B
acquisitionsNet -36.25B 111.14M -44.94M -296.21M -10.7B -13.94B -577.54M -624.96M -2.15B -40.69B
purchasesOfInvestments -13.35M -5.02B -12.05B -7.91B -9.66B -46.92B -20.92B -15.17B -12.37B -10.16B
salesMaturitiesOfInvestments 141.96M - 8.81B 5.91B 8.69B 3.7B 13.13B 10.38B 18.38B 4.8B
otherInvestingActivities -107.97M 5.98B 5.12B 4.21B 13.43B 8.4B 7.69B 6.44B 4.17B 11.24B
netCashProvidedByInvestingActivities -53.75B -14.49B -19.62B -25.72B -22.71B -75.92B -26.65B -27.88B -22.48B -62.78B
netDebtIssuance 28.01B -23.29B -23.78B 17.63B 25.39B 63.12B 10.88B 48.84B -10.65B 51.28B
longTermNetDebtIssuance 8.88B -10.45B -20.15B 17.63B 40.05B 45.22B 7.97B 58.22B 4.35B 47.26B
shortTermNetDebtIssuance 19.12B -12.83B -3.64B 26.33B -14.65B 17.9B 2.92B -9.38B -4.97B 4.03B
netStockIssuance -1.97B 57.13M -3.19B -15.82B -1.33B -6.09B 399.26M 229.41M - 135.51M
netCommonStockIssuance -1.97B 57.13M -3.19B -741.96M -1.11B -5.84B 399.26M 229.41M 20.17B 135.51M
commonStockIssuance 199.66M 57.13M 31.09M 75.91M 229.78M 251.59M 399.26M 229.41M 20.17B 135.51M
commonStockRepurchased -2.17B - -3.23B -817.87M -1.33B -6.09B - - - -
netPreferredStockIssuance - - - -15.08B -229.78M -251.59M - - - -
netDividendsPaid -13.46B -4.74B -3.57B -5.16B -7.97B -6.5B -4.91B -4.91B -7.41B -7.02B
commonDividendsPaid -13.46B -4.74B -3.57B -6B -7.97B -6.5B -4.91B -4.91B -7.41B -7.02B
preferredDividendsPaid - - - 837.02M - - - - - -
otherFinancingActivities -14.89B -22.32B 11.26B -9.51B -21.83B -21.69B -18.4B -22.13B 15.55B -14.78B
netCashProvidedByFinancingActivities -2.32B -50.29B -19.28B -12.86B -5.74B 28.84B 3.49B 22.03B -2.52B 29.62B
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
revenue 136.83B 140.68B 138.57B 147.6B 144.17B 148.51B 142.7B 150.18B 140.04B 147.32B
costOfRevenue 115.52B 122.6B 116.77B 118.82B 117.47B 125.5B 120.02B 126.48B 123.23B 133.75B
grossProfit 21.82B 18.09B 21.79B 28.78B 26.7B 23.01B 22.68B 23.7B 16.81B 13.57B
researchAndDevelopmentExpenses - - - - - 519M - - - 359M
generalAndAdministrativeExpenses 7.69B 8.85B 7.4B 8.29B 8.07B 8.38B 8B 8.36B 8.01B 8.56B
sellingAndMarketingExpenses 4.18B 4.77B 4.29B 4.75B 4.17B 4.5B 4.62B 4.4B 4.17B 6.58B
sellingGeneralAndAdministrativeExpenses 11.88B 13.6B 11.69B 13.04B 12.24B 12.87B 12.62B 12.76B 12.18B 15.14B
otherExpenses - - - - - -519M 10.06B - - 1.05B
operatingExpenses 11.88B 13.6B 11.69B 13.04B 12.24B 12.87B 22.68B 12.76B 12.18B 15.14B
costAndExpenses 127.4B 136.2B 128.46B 131.86B 129.71B 138.37B 142.7B 139.24B 135.41B 148.89B
netInterestIncome -421.82M -5.47B -236.6M -348.52M -5.75B -5.65B -5.5B -5.77B -5.78B -6.53B
interestIncome 325.49M 400M 493.31M 440.29M 339.42M 439.92M 533.21M 494.01M 399.64M 373.78M
interestExpense 747.31M 5.87B 729.91M 788.81M 780.96M 828.67M 777.88M 5.77B 760.65M 6.9B
depreciationAndAmortization 7.89B 8.23B 2.33B 8.15B 8.18B 6.54B 2.12B 8.84B 8.25B 8.85B
ebitda 17.91B 12.71B 10.78B 23.18B 21.85B 14.04B 12.24B 19.78B 12.88B 7.27B
ebit 9.43B 4.48B 8.46B 15.02B 13.67B 7.5B 10.12B 10.63B 2.86B 2.74B
nonOperatingIncomeExcludingInterest - 1.88B 1.65B 713.35M 798M 2.64B -10.12B -10.63B 2.44B -2.74B
operatingIncome 10.02B 4.48B 10.1B 15.74B 14.46B 10.14B 10.41B 11.68B 4.63B -1.57B
totalOtherIncomeExpensesNet -3.25B -2.05B -2.38B -1.5B -1.58B -3.47B -1.06B -1.09B -4.99B 2.8B
incomeBeforeTax 6.77B 2.43B 7.73B 14.23B 12.89B 6.67B 9.35B 9.85B 309.39M -4.13B
incomeTaxExpense 1.44B 924.97M 1.6B 2.85B 3.26B 2.02B 1.06B 2.05B 550.48M 163.12M
netIncomeFromContinuingOperations 5.34B 1.51B 6.13B 11.38B 9.63B 4.65B 8.29B 7.81B 1.55B 1.75B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - -270M -
netIncome 4.88B 1.08B 5.19B 10.38B 8.55B 4.17B 7.31B 6.92B 882.03M -104.93M
netIncomeDeductions -202K 272K 495K -462K 183K 528K -17000 - - 226M
bottomLineNetIncome 4.61B 812.61M 4.91B 10.11B 8.28B 3.9B 7.04B 6.66B 1.15B -104.93M
eps 0.58 0.11 0.64 1.31 1.07 0.48 0.91 0.83 0.11 -0.01
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
cashAndCashEquivalents 22.93B 23.38B 25.75B 26.81B 35.28B 24.94B 24.41B 27.71B 28.46B 26.29B
shortTermInvestments 3.82B 4.59B 6.9B 6.31B 6.91B 5.56B 4.74B 1.67B 1.6B 951.62M
cashAndShortTermInvestments 26.76B 23.38B 32.65B 33.12B 42.19B 30.5B 29.15B 29.37B 28.46B 26.29B
netReceivables 44.02B 41.95B 41.89B 42.63B 42.44B 41.89B 39.09B 41.31B 42.02B 42.35B
accountsReceivables 43.08B 41B 40.73B 41.41B 41.2B 40.67B 38.01B 41.17B 40.71B 42.35B
otherReceivables 933.64M 948.66M 1.16B 1.22B 1.24B 1.22B 1.08B 134.37M 133.89M -
inventory 111.59B 111.4B 107.84B 107.98B 114B 114.58B 116.36B 126.39B 129.29B 127.69B
prepaids 5.95B 2.33B 5.3B 5.21B 5.96B 5.3B 5.73B 6.01B 7.35B 2.65B
otherCurrentAssets 8.52B 12.53B 8.02B 7.58B 7.36B 7.78B 9.29B 10.43B 9.78B 9.34B
totalCurrentAssets 196.84B 191.6B 195.7B 196.52B 211.95B 200.06B 199.62B 210.06B 212.62B 209.12B
propertyPlantEquipmentNet 290.4B 299.14B 288.81B 292.84B 295.97B 291.97B 287.8B 318.6B 317.23B 312.71B
goodwill 58.26B 56.68B 57.84B 58.66B 60.62B 58.03B 56.07B 64.45B 62.89B 60.19B
intangibleAssets 12.67B 12.52B 12.65B 12.57B 13.1B 13.09B 12.33B 13.63B 13.78B 13.24B
goodwillAndIntangibleAssets 70.94B 69.19B 70.48B 71.23B 73.72B 71.12B 68.39B 78.08B 76.67B 86.5B
longTermInvestments 293.38B 289.74B 281.45B 279.57B 284.2B 281.61B 278.19B 288.53B 288.46B 282.55B
taxAssets 8.48B 8.24B 6.96B 7.07B 6.91B 7.14B 7.31B -20.16B 5.94B 5.76B
otherNonCurrentAssets 23.69B 3.18B 24.21B 24.23B 24.84B 24.82B 22.66B 10.4B 3.84B -9.42B
totalNonCurrentAssets 686.89B 669.5B 671.92B 674.93B 685.65B 676.66B 664.35B 695.62B 692.13B 678.1B
otherAssets - - - - - - - - - -
totalAssets 883.73B 861.09B 867.62B 871.45B 897.6B 876.72B 863.97B 905.67B 904.76B 887.22B
totalPayables 42.81B 40.85B 37.77B 37.27B 39.11B 37.61B 33.92B 36.85B 37.62B 36.53B
accountPayables 39.13B 37.95B 34.48B 33.68B 35.65B 1.01B 31.68B 34.38B 37.62B 36.53B
otherPayables 3.68B 2.9B 3.29B 3.59B 3.45B 37.61B 2.24B 2.46B - -
accruedExpenses 14.4B 14.59B 16.74B 15.88B 14.52B 14.99B 13.71B 13.79B 12.57B 11.85B
shortTermDebt 201.43B 220.22B 221.49B 198.26B 192.63B 197.61B 202.64B 201.79B 216.48B 193.01B
capitalLeaseObligationsCurrent 5.58B 5.14B 5.05B 4.96B 5.26B 5.38B 5.11B 5.23B 5.67B 5.32B
taxPayables 3.68B - 3.29B 3.59B 3.45B 2.77B 2.24B 2.46B 2.27B 1.62B
deferredRevenue 57.84M 1.74B - - - 47.55M 43.28M - 1.73B 1.4B
otherCurrentLiabilities 10.16B 22.91B 6.87B 7.96B 6.75B 7.74B 9.73B 11.35B 11.76B 12.76B
totalCurrentLiabilities 274.38B 285.72B 287.92B 264.33B 258.26B 263.33B 265.11B 269B 284.1B 259.46B
longTermDebt 285.55B 323.05B 264.12B 283.5B 268.94B 260.64B 256.14B 274.17B 296.59B 313.67B
capitalLeaseObligationsNonCurrent 31.7B 31.44B 30.14B 30.56B 30.96B 31.27B 29.09B 30.52B 30.38B 30.05B
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent 15.6B 15.16B 15.12B 15.7B 16.58B 15.97B 15.28B 15.52B 14.46B 14.88B
otherNonCurrentLiabilities 11.61B -19.03B 14.45B 13.86B 13.16B 12.29B 11.29B 26.78B 11.08B 11.06B
totalNonCurrentLiabilities 344.45B 350.62B 323.83B 343.63B 329.65B 320.17B 311.8B 331.48B 352.5B 369.65B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 37.27B 36.58B 35.19B 35.52B 36.21B 36.65B 34.21B 35.75B 36.04B 35.36B
totalLiabilities 618.83B 636.35B 611.76B 607.96B 587.91B 583.5B 576.91B 600.48B 636.6B 629.12B
treasuryStock -11.09B -10.44B -9.01B -8.77B -8.34B -8.29B -8.29B -8.29B -8.29B -8.29B
preferredStock - - - - - - - - - -
commonStock 8.41B 8.4B 8.41B 8.41B 8.41B 8.41B 8.41B 8.41B 8.41B 8.41B
retainedEarnings 152.44B 132.27B 148.2B 151.04B 145.31B 136.53B 132.17B 129.5B 126.99B 123.89B
additionalPaidInCapital 59.65B 59.6B 59.58B 59.58B 59.63B 59.63B 59.63B 59.63B 59.63B 59.63B
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
netIncome 5.34B 812.61M 6.13B 11.38B 9.63B 4.65B 8.29B 6.66B 882.03M -104.93M
depreciationAndAmortization 7.89B 8.23B 2.33B 8.15B 8.18B 6.54B 2.12B 8.84B 8.25B 8.85B
deferredIncomeTax 1.44B 925.73M 1.6B 2.85B 3.26B 2.02B 1.06B 2.05B 550.48M 163.12M
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital -3.32B -2.72B -2.57B 224.41M 654.04M 904.49M -3.3B -202.28M 1.02B 5.66B
accountsReceivables -944.35M -1.06B 652.95M -1.07B -478.44M -2.03B 284.36M -590.82M 1.86B -4.65B
inventory -2.51B -1.95B -4.5B 1.07B 1.63B 346.62M -3.44B 2.57B 793.36M 7.52B
accountsPayables 12.53M 4.1B 29.17M -31.97M 22.39M 74.66M -8.06M -3.58B 1.03B 7.83B
otherWorkingCapital 139.68M -3.81B 1.27B 221.94M -493.82M 2.59B -141.23M 1.4B -2.66B -5.03B
otherNonCashItems 2.06B -103.81M 7.29B 835.19M 1.15B 4.51B 5.89B 661.14M 11.36B 1.52B
netCashProvidedByOperatingActivities 13.4B 6.22B 14.78B 23.45B 22.87B 18.63B 14.06B 18B 8.7B 8.93B
investmentsInPropertyPlantAndEquipment -2.99B -6.24B -3.86B -3.42B -3.3B -4.51B -3.71B -3.83B -3.8B -6.71B
acquisitionsNet -71.72M -102.92M 86.37M -1.13B -71.61M -381.08M -52691 350.21M 1.17B 127.97M
purchasesOfInvestments -7.26B 2.34B -727.43M 355.88M -1.98B -1.34B -3.07B -125.9M -475.81M -1.37B
salesMaturitiesOfInvestments 993.76M 55.66M - - - - - - - -1.35B
otherInvestingActivities 896.21M -124.63M 494.89M 5.47B 482.88M 212.31M 306.31M 4.35B 29.88M 1.14B
netCashProvidedByInvestingActivities -8.42B -4.07B -4.01B 2.4B -4.86B -6.02B -6.48B 747.69M -3.08B -8.16B
netDebtIssuance 269M 324.44M 3.4B 22.21B -2.98B -8.13B 2.24B -12.95B -4.45B 6.03B
longTermNetDebtIssuance -15.24B -2.77B -4.88B 15.81B -4.34B -2.59B 1.04B -18.54B 9.64B 1.3B
shortTermNetDebtIssuance 15.51B 3.09B 8.28B 6.4B 1.36B -5.54B 1.2B 5.59B -14.09B 4.73B
netStockIssuance -45.07M -1.15B -564.97M -215.07M -47.44M - 1.56M 55.56M 1.53M -532.95M
netCommonStockIssuance -45.07M -1.15B -564.97M -215.07M -47.44M - 1.56M 55.56M 1.53M -532.95M
commonStockIssuance 740.48M 146.88M 52.82M - - - 1.56M - 55.56M -
commonStockRepurchased -785.55M -1.29B -617.79M -215.07M -47.44M - - - - -532.95M
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -15.84M -13.46B -21.6B 14000 -14000 -38000 -4.74B 5.98M -86000 -804.08M
commonDividendsPaid -15.84M -13.46B -21.6B 14000 -14000 -38000 -4.74B 5.98M -86000 -804.08M
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -6.08B 11.96B 7.11B -55.35B -6.23B -3.75B -6.58B -5.72B -6.27B -6.34B
netCashProvidedByFinancingActivities -5.88B -2.32B -11.66B -33.35B -9.26B -11.88B -9.09B -18.61B -4.62B 4.18B