OTC : DITTF

Daito Trust Construction Co.,Ltd. — Financials

$18.05 USD

$0 (0.0%)

Volume
100
Average Volume
432
Market Capitalization
$5.88B
P/E Ratio
10.78
Dividend Yield
4.65%
Price Target
Year High
$114.87
Year Low
$14.38
Day High
Day Low
Payout Ratio
$0.52
Current Ratio
$2.19
DITTF 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 2T 1.84T 1.73T 1.66T 1.58T 1.49T 1.59T 1.59T 1.56T 1.5T
costOfRevenue 1.65T 1.53T 1.45T 1.4T 1.32T 1.25T 1.3T 1.3T 1.26T 1.21T
grossProfit 349.24B 315.86B 284.78B 258.45B 260.14B 238.87B 282.46B 296.04B 297.05B 285.59B
researchAndDevelopmentExpenses - - 1.82B 1.71B 1.71B 1.7B 1.54B 1.98B 1.61B 1.42B
generalAndAdministrativeExpenses - - - - - - - - - 146.72B
sellingAndMarketingExpenses - - - - - - - - - 17.37B
sellingGeneralAndAdministrativeExpenses 213.13B 196.98B 179.96B 156.74B 158.84B 150.53B 153.06B 167.11B 169.18B 164.09B
otherExpenses - 1M -1.82B - - - - - - -
operatingExpenses 213.13B 196.98B 179.96B 158.45B 160.55B 152.23B 154.6B 169.09B 170.79B 165.52B
costAndExpenses 1.86T 1.72T 1.63T 1.56T 1.48T 1.4T 1.46T 1.46T 1.43T 1.38T
netInterestIncome -1.74B 231M 334M 47M -120M 63M 226M 280M 200M 126M
interestIncome 1.54B 842M 775M 475M 313M 353M 436M 509M 522M 527M
interestExpense 3.29B 611M 441M 428M 433M 290M 210M 229M 322M 401M
depreciationAndAmortization 20.8B 18.33B 17.94B 17.42B 17.07B 15.8B 15B 12.51B 10.42B 8.04B
ebitda 156.91B 149B 128.99B 117.42B 116.66B 102.44B 148.23B 145.08B 136.68B 128.12B
ebit 136.11B 130.67B 111.05B 100B 99.6B 86.64B 133.22B 132.57B 131.27B 124.4B
nonOperatingIncomeExcludingInterest - -11.79B -6.23B -2.26B -4.06B -4.32B -5.36B -5.62B -5.01B -4.32B
operatingIncome 136.11B 118.88B 104.82B 100B 99.6B 86.64B 127.87B 126.95B 126.26B 120.07B
totalOtherIncomeExpensesNet 3.3B 11.18B 5.79B 1.84B 3.62B 4.03B 5.15B 5.39B 4.69B 3.92B
incomeBeforeTax 139.41B 130.06B 110.61B 101.84B 103.22B 90.77B 133.01B 132.34B 130.94B 124B
incomeTaxExpense 39.8B 36.32B 35.38B 32.05B 33.66B 28.4B 42.3B 41.98B 42.7B 41.46B
netIncomeFromContinuingOperations 99.61B 93.74B 75.22B 69.78B 69.56B 62.37B 90.72B 90.36B 88.24B 82.54B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - -1M 1M 1M -1M -1M -2M - -1M
netIncome 99.65B 93.86B 74.68B 70.36B 69.58B 62.28B 90.38B 89.93B 87.83B 82.17B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 99.65B 93.86B 74.68B 70.36B 69.58B 62.28B 90.38B 89.93B 87.83B 82.17B
eps 300.39 1428.29 1110.59 1031.06 1021.43 909.31 261.34 242.44 233.06 214.53
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 276.78B 235.89B 245.76B 257.81B 271.32B 212.26B 173.93B 203.61B 232.71B 222.18B
shortTermInvestments 1.3B 3.01B 3.8B 4B 3.1B 1.5B 4.03B 13.51B 55.88B 66.51B
cashAndShortTermInvestments 278.07B 238.9B 249.56B 271.13B 262.24B 200.5B 177.96B 217.12B 288.6B 288.69B
netReceivables 187.12B 178.29B 162.26B 164.44B 167.15B 172.27B 203.57B 160.28B 115.95B 100.79B
accountsReceivables 187.12B 69.84B 58.56B 164.44B 167.15B 172.27B 76.46B 67.32B 51.91B 38.3B
otherReceivables - 108.45B 104.25B - - - - - 64.26B -
inventory 308.84B 228.72B 90.18B 64.27B 44.38B 23.92B 16.43B 21.56B 20.76B 20.64B
prepaids 82.56B 81.75B 75.58B 74.27B 72.35B 70.24B 69.19B 66.86B 65.14B 63.02B
otherCurrentAssets 32.56B 28.78B 46.7B 45.87B 42.37B 40.2B 23.46B 34.88B 154.34B 58.63B
totalCurrentAssets 889.16B 756.44B 624.28B 619.98B 588.49B 507.12B 490.6B 484.7B 509.84B 509.78B
propertyPlantEquipmentNet 196.28B 184.27B 194.86B 191.38B 177.63B 172.14B 175.3B 166.6B 147.88B 126.01B
goodwill 12.99B 12.7B 11.85B 11.36B 11.34B 12.22B 1.04B - - -
intangibleAssets 23.27B 22.45B 21.56B 23.22B 25.17B 26.84B 27.24B 27.9B 23.66B 17.64B
goodwillAndIntangibleAssets 36.27B 35.15B 33.41B 34.58B 36.5B 39.06B 28.28B 27.9B 23.66B 17.64B
longTermInvestments 45.1B 132.7B 122.32B 55.53B 54.07B 58.12B 56.44B 64.15B 59.94B 47.86B
taxAssets 117.4B 114.22B 3M 100.11B 95.1B 93.32B 83.23B 71.41B 61.36B 34.3B
otherNonCurrentAssets 91.9B -3M 105.19B 60.34B 54.09B 49.69B 46.42B 45.02B 40.28B 45.85B
totalNonCurrentAssets 486.95B 466.33B 455.79B 441.93B 417.39B 412.34B 389.68B 375.07B 333.13B 271.65B
otherAssets - 8M 7M - - - - - - -
totalAssets 1.38T 1.22T 1.08T 1.06T 1.01T 919.45B 880.29B 859.77B 842.98B 781.43B
totalPayables 84.18B 81.61B 49.77B 50.14B 36.48B 27.58B 54.76B 45.69B 42.74B 43.68B
accountPayables 56.45B 53.22B 49.77B 50.14B 36.48B 27.58B 54.76B 45.69B 42.74B 43.68B
otherPayables 27.73B 28.39B - - - - - - - -
accruedExpenses 31.04B 191.01M 23.28B 15.91B 25.22B 20.37B 14.13B 21.36B 23.18B 21.52B
shortTermDebt 52.5B 67.99B 10.98B 12.63B 13.09B 13.27B 21.64B 19.82B 30.59B 44.07B
capitalLeaseObligationsCurrent - 224M 203M 310M 169M 193M 210M 200M 200M 201M
taxPayables - 28.39B 22.06B 19.64B 22.9B 22.49B 30.08B 28.32B 28.46B 30.75B
deferredRevenue 44.75B 331.64M 704.13M 41.77B 39.47B 40.81B 40.26B 48.14B 49.52B 57.02B
otherCurrentLiabilities 193.49B 261.01B 242.71B 189.68B 197.52B 196.83B 187.52B 154.95B 150.01B 171.5B
totalCurrentLiabilities 405.95B 410.83B 326.94B 310.44B 311.94B 299.07B 318.52B 290.16B 296.24B 337.99B
longTermDebt 182.6B 55.63B 68.18B 78.32B 81.63B 83.47B 61.11B 72.3B 75.02B 10.37B
capitalLeaseObligationsNonCurrent 547.42M 629M 656M 611M 388M 361M 514M 648M 802M 786M
deferredRevenueNonCurrent - - 660M 611M 388M 361M 514M 648M 802M 786M
deferredTaxLiabilitiesNonCurrent 308.93M 1.4B 101M 428M 446M 246M 308M 297M 464M 94M
otherNonCurrentLiabilities 286.97B 286.86B 278.5B 267.18B 245.68B 228.1B 213.67B 194.07B 173.42B 156.7B
totalNonCurrentLiabilities 470.43B 344.52B 347.33B 346.53B 328.15B 312.18B 275.61B 267.32B 249.7B 167.95B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 547.42M 853M 859M 921M 557M 554M 724M 848M 1B 987M
totalLiabilities 876.38B 755.35B 674.27B 656.97B 640.09B 611.24B 594.12B 557.47B 545.94B 505.94B
treasuryStock -65.77B -43.22B -58.48B -10.97B -12.85B -15.35B -11.02B -55.56B -17.2B -15.34B
preferredStock - - - - - - - - - -
commonStock 29.24B 29.06B 29.06B 29.06B 29.06B 29.06B 29.06B 29.06B 29.06B 29.06B
retainedEarnings 496.71B 445.82B 391.26B 352.81B 319.13B 266.9B 243.35B 297.95B 253.11B 232.98B
additionalPaidInCapital 32.7B 32.62B 34.54B 34.54B 34.54B 34.54B 34.54B 34.54B 34.54B 34.54B
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 99.65B 130.06B 74.68B 70.36B 69.58B 62.29B 90.38B 89.93B 87.83B 82.17B
depreciationAndAmortization 20.8B 18.33B 17.94B 17.42B 17.07B 15.8B 15B 12.51B 10.42B 8.04B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital -74.05B -34.32B -2.33B 4.67B 34.79B 43.45B 5.02B -21.18B -25.92B 36.35B
accountsReceivables -8.03B -10.36B 2.79B 2.67B 5.38B 31.18B -43.46B -44.27B -14.96B -1.92B
inventory -81.02B -42.39B -25.91B -19.65B -5.11B -3.08B 5.13B -797M -91M -2.55B
accountsPayables 2.8B 13.71M -844M 13.65B 8.89B -28.44B 9.07B 2.96B -1.11B 6.18B
otherWorkingCapital 12.19B 18.43B 21.63B 8B 25.63B 43.79B 34.28B 20.93B -9.76B 34.64B
otherNonCashItems -5.78B -28.46B 583M -10.34B -8.96B -23.07B -8.27B -9.28B -9.76B -2.46B
netCashProvidedByOperatingActivities 40.62B 85.61B 90.88B 82.1B 112.48B 98.46B 102.13B 71.98B 62.56B 124.1B
investmentsInPropertyPlantAndEquipment -30.92B -17.45B -14.58B -27.92B -17.35B -13.45B -27.36B -34.92B -18.6B -30.09B
acquisitionsNet -3.08B -28.62B -479M -1.34B 10M -13.9B - -1.04B -13.26B -2M
purchasesOfInvestments -24.47B -48.01B -33.56B -45.94B -4.44B -1.61B -6.97B -66.94B -65.4B -67.86B
salesMaturitiesOfInvestments 22.26B 59.46B 42.42B 20.56B 4.99B 5.89B 16.13B 105.46B 70.65B 64.51B
otherInvestingActivities -5.75B -11.89B -6.92B -3.46B -3.71B -2.17B -2.1B -5.47B 658M -4.46B
netCashProvidedByInvestingActivities -41.96B -46.5B -13.11B -58.09B -20.51B -25.24B -20.3B -2.92B -25.95B -37.91B
netDebtIssuance 110.84B -10.57B -10.93B -4.32B -1.34B 10.63B -9.37B -13.32B 44.93B -17.19B
longTermNetDebtIssuance 106.66B -10.57B -10.93B -5.35B -1.34B 10.73B -9.37B -13.32B 44.93B -17.19B
shortTermNetDebtIssuance 4.18B - - 1.03B - -100M - - - -
netStockIssuance -22.09B 2.9B -48.11B 1.14B 1.78B -11.38B -58.04B -38.91B -27.99B -18.25B
netCommonStockIssuance -22.09B 2.9B -48.11B 1.14B 1.78B -6.88B -58.04B -38.91B -25.92B -18.25B
commonStockIssuance 5.05B 2.94B 2.06B 2B 1.81B 4.5B 1.91B 2.02B 2.07B 2B
commonStockRepurchased -27.14B -37M -50.18B -865M -28M -11.38B -59.94B -40.93B -27.99B -20.24B
netPreferredStockIssuance - - - - - -4.5B - - -2.07B -
netDividendsPaid -51.53B -37.89B -36.23B -36.64B -33.54B -37.72B -43.62B -45.04B -43.96B -36.47B
commonDividendsPaid -51.53B -37.89B -36.23B -36.64B -33.54B -37.72B -43.62B -45.04B -43.96B -36.47B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities 234.47M -285M -1.51B -238M -993M 4.15B -389M -396M 1.69B -378M
netCashProvidedByFinancingActivities 37.45B -45.84B -96.79B -40.06B -34.09B -34.32B -111.41B -97.67B -25.34B -72.29B
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 544.58B 484.44B 488.18B 478.25B 480.18B 454.88B 462.16B 445.14B 461.64B 432.71B
costOfRevenue 444.33B 400.27B 404.24B 397.68B 397.62B 377.98B 382.37B 368.53B 382.23B 361.87B
grossProfit 100.25B 84.17B 83.94B 80.57B 82.56B 76.9B 79.78B 76.61B 79.41B 70.84B
researchAndDevelopmentExpenses - - - - - - - - 517M 508M
generalAndAdministrativeExpenses - - - - - - - - - -
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 71.4B 46.94B 48.14B 46.47B 66.48B 45.16B 42.59B 42.74B 55.34B 41.09B
otherExpenses - - - 1M 2M - -1M 1M - -
operatingExpenses 71.4B 46.94B 48.14B 46.47B 66.49B 45.16B 42.59B 42.74B 55.86B 41.6B
costAndExpenses 515.73B 447.21B 452.38B 444.15B 464.1B 423.14B 424.96B 411.27B 438.09B 403.46B
netInterestIncome -558.49M -584.51M -261M -2.33M 129M 97M 65M 67M 51M 109M
interestIncome 474.97M 365.32M 442.23M 1.81M 129M 97M 65M 202M 159M 216M
interestExpense 1.03B 949.83M 702.9M 4.14M 1.24M 985.8K 939.19K 135M 108M 107M
depreciationAndAmortization 4.84B 6.04B 5.16B 4.74B 4.72B 4.64B 4.48B 4.49B 4.54B 4.52B
ebitda 33.69B 44.91B 43.03B 38.84B 20.8B 36.37B 41.68B 38.36B 28.81B 34.76B
ebit 28.85B 38.87B 37.87B 34.1B 16.08B 31.73B 37.19B 33.87B 24.27B 30.24B
nonOperatingIncomeExcludingInterest - -1.65B -2.07B -1M -2M -11.79B 1M -1M -719M -1B
operatingIncome 28.85B 37.23B 35.8B 34.1B 16.08B 31.73B 37.19B 33.87B 23.55B 29.24B
totalOtherIncomeExpensesNet 288.81M 698.61M 1.37B 948M 4.09B 4.32B 1.37B 1.41B 609M 893M
incomeBeforeTax 29.14B 37.93B 37.17B 35.05B 20.17B 36.05B 38.56B 35.28B 24.16B 30.13B
incomeTaxExpense 6.16B 11.59B 11.01B 10.99B 3.17B 10.39B 11.75B 11.01B 8.7B 9.16B
netIncomeFromContinuingOperations 22.98B 26.33B 26.16B 24.05B 17B 25.66B 26.81B 24.26B 15.46B 20.98B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome 1.01M -1M - - - - - - -2M -
netIncome 22.98B 26.33B 26.15B 24.1B 16.98B 25.76B 26.84B 24.28B 14.54B 21.16B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 22.98B 26.33B 26.15B 24.1B 16.98B 25.76B 26.84B 24.28B 14.54B 21.16B
eps 70.3 79.19 78.8 363.61 51.27 78.24 82.04 74.19 44.52 63.16
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 276.78B 204.71B 273.25B 232.45B 235.89B 167.17B 257.19B 205.55B 240.54B 166B
shortTermInvestments 1.3B 990.86M 18.21B 3.01B 3.01B 5.01B 5.01B 3.8B 3.8B 3.8B
cashAndShortTermInvestments 278.07B 205.7B 291.46B 235.46B 238.9B 172.18B 262.2B 209.35B 249.56B 172.12B
netReceivables 187.12B 214.34B 193.45B 74.15B 178.29B 197.92B 166.07B 166.6B 162.26B 185.68B
accountsReceivables 187.12B 214.34B 193.45B 74.15B 69.84B 197.92B 61.56B 166.6B 162.26B 185.68B
otherReceivables - - - - 108.45B - 104.51B - - -
inventory 308.84B 301.17B 269.53B 37.6B 228.72B 121.16B 104.99B 95.25B 90.18B 86.59B
prepaids 82.56B 82.73B 83.28B 82.38B 81.75B 78.93B 78.01B 75.83B 75.58B 74.4B
otherCurrentAssets 32.56B 31.81B 30.32B 332.99B 28.78B 39.89B 35.4B 45.04B 46.7B 44.77B
totalCurrentAssets 889.16B 835.75B 868.04B 762.58B 756.44B 610.08B 646.66B 592.08B 624.28B 563.56B
propertyPlantEquipmentNet 196.28B 187.14B 187.27B 183.47B 184.27B 202.5B 198.93B 196.12B 194.86B 195.44B
goodwill 12.99B 13.23B 13.72B 14.02B 12.7B 11.26B 11.5B 11.74B 11.85B 12.16B
intangibleAssets 23.27B 23.23B 23.2B 22.64B 22.45B 22.51B 22.11B 21.63B 21.56B 22.11B
goodwillAndIntangibleAssets 36.27B 36.46B 36.92B 36.66B 35.15B 33.77B 33.61B 33.36B 33.4B 34.27B
longTermInvestments 45.1B 92.48B 90.31B 47.92B 132.7B 128.83B 129.86B 122.47B 57.52B 53.52B
taxAssets 117.4B 107.79B 113.14B 771.22M 114.22B 634.97M 103.16B 634.13M 105.2B 98.84B
otherNonCurrentAssets 91.9B 39.84B 44.41B 196.02B -3M 99.84B 129.86B 102.08B 64.8B 62.7B
totalNonCurrentAssets 486.95B 463.72B 472.04B 464.07B 466.33B 464.94B 465.56B 454.04B 455.79B 444.77B
otherAssets - - - - 8M - 2M - - -
totalAssets 1.38T 1.3T 1.34T 1.23T 1.22T 1.08T 1.11T 1.05T 1.08T 1.01T
totalPayables 84.18B 62.17B 75.47B 47.42B 81.61B 48.86B 70.01B 45.74B 49.77B 44.6B
accountPayables 56.45B 51.85B 53.87B 47.42B 53.22B 48.86B 49.1B 45.74B 49.77B 44.6B
otherPayables 27.73B 10.32B 21.61B - 28.39B - 20.9B - - -
accruedExpenses 31.04B 7.42B 14.56B 7.26B 191.01M 6.88B - 6.75B 23.28B 6.79B
shortTermDebt 52.5B 43.11B 43.36B 124.98B 67.99B 50.99B 53.76B 11.14B 10.98B 11.24B
capitalLeaseObligationsCurrent - - - - 224M - - - 203M -
taxPayables - - - - 28.39B - 20.9B 8.1B 22.06B 8.84B
deferredRevenue 44.75B 39.47B 48.7B 293.3M 331.64M 254.22M - 288.34M 106.57B 43.18B
otherCurrentLiabilities 193.49B 172.42B 177.97B 241.83B 261.01B 212.22B 236.42B 223.57B 136.14B 165.84B
totalCurrentLiabilities 405.95B 324.59B 360.07B 421.48B 410.83B 318.95B 360.18B 287.19B 326.94B 271.63B
longTermDebt 182.6B 195.38B 193.07B 57.33B 55.63B 20.12B 19.26B 65.16B 68.18B 70.96B
capitalLeaseObligationsNonCurrent 547.42M - - - 629M - - - 656M -
deferredRevenueNonCurrent - - - - - - - - 660M -
deferredTaxLiabilitiesNonCurrent 308.93M - - - 1.4B - - - 101M -
otherNonCurrentLiabilities 286.97B 287.22B 295.18B 288.76B 286.86B 283.99B 283.38B 280.65B 278.39B 276.77B
totalNonCurrentLiabilities 470.43B 482.6B 488.24B 346.09B 344.52B 304.11B 302.63B 345.81B 347.32B 347.73B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 547.42M - - - 853M - - - 859M -
totalLiabilities 876.38B 807.19B 848.31B 767.58B 755.35B 623.06B 662.82B 633B 674.27B 619.36B
treasuryStock -65.77B -40.47B -42.19B -42.29B -43.22B -48.18B -51.53B -57.68B -58.48B -58.65B
preferredStock - - - - - - - - - -
commonStock 29.24B 29.09B 29.48B 29.06B 29.06B 29.06B 29.06B 29.06B 29.06B 29.06B
retainedEarnings 496.71B 471.18B 473.95B 441.5B 445.82B 428.36B 423.41B 396.57B 391.26B 376.72B
additionalPaidInCapital 32.7B 32.52B 32.96B 32.48B 32.62B 34.54B 35.11B 34.54B 34.54B 34.54B
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 22.98B 26.33B 26.15B 24.1B 16.98B 25.76B 26.84B 24.28B 24.16B 21.16B
depreciationAndAmortization 4.84B 6.04B 5.16B 4.74B 4.72B 4.64B 4.48B 4.49B 4.54B 4.52B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital 79.44B -83.3B -31.96B -24.47B 67.05B -79.81B 13.42B -29.32B 57.26B -37.28B
accountsReceivables 28.5B -23.42B -6.18B -4.68B 24.5B -32.48B 1.13B -4.36B 23.48B -23.6B
inventory -6.04B -34.99B -36.02B -2.86B 28.36B -16.17B -9.73B -5.07B -4.14B -7.33B
accountsPayables 4.29B -1.32B 5.76B -40.54M 20M -1.6M 23.26M -4.04B 5.24B 491M
otherWorkingCapital 52.7B -23.57B 4.48B -16.94B 14.18B -31.16B 22.03B -15.86B 32.67B -6.84B
otherNonCashItems 6.97B -6.52B 10.15B -4.55B 3.88B -6.68B 18.01B -13.12B 1.58B -7.57B
netCashProvidedByOperatingActivities 114.23B -57.45B 9.51B -174.32M 92.63B -56.1B 62.75B -13.67B 87.54B -19.18B
investmentsInPropertyPlantAndEquipment -9.97B -7.26B -7.07B -4.85B -4.36B -6.53B -3.52B -3.04B -4.46B -3.89B
acquisitionsNet -2.01B 234.2M -243M -820M -28.5B - - -119M 387M -866M
purchasesOfInvestments -1.82B -6.1B -8.31B -57.05M -30.58M -45.82M -72.41M -160.31M -4.79B -11.46B
salesMaturitiesOfInvestments 3.99B 5.86B 6.51B 40.81M 112.68M 27.15M 188.48M 11.2B 665M 10.17B
otherInvestingActivities -3.03B -1.93B -1.97B 5.61B 9.43B -6.23B 13.94B -28.77B -913M -1.24B
netCashProvidedByInvestingActivities -12.85B -9.2B -11.08B -61.23M -23.44B -12.76B 10.43B -20.74B -9.11B -7.27B
netDebtIssuance -5.22B 5.19B 53.03B 401.53M -2.77B -3B -3.28B -2.86B -3.04B -2.83B
longTermNetDebtIssuance -5.84B 4.93B 107.75B 4.42M -2.77B -3B -3.28B -2.86B -3.04B -2.83B
shortTermNetDebtIssuance 613.84M 260.23M -54.71B 397.11M - - - - - -
netStockIssuance -25.05B 1.17B 961.55M 5.72M -13M -9M -9M -6M -8M -49.28B
netCommonStockIssuance -25.05B 1.17B 961.55M 5.72M -13M -9M -9M -6M -8M -49.28B
commonStockIssuance 104.66M 1.18B 2.96B 5.72M 4.44M 6.44M 4.31M 3.99M 266M 727M
commonStockRepurchased -25.16B -3M -2B - -13M -9M -9M -6M -8M -50.01B
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid 30.19M -22.85B 31.44M -197.29M 29M -18.97B - -18.94B - -18.39B
commonDividendsPaid 30.19M -22.85B 31.44M -197.29M 29M -18.97B - -18.94B - -18.39B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities 436.73M -57.05M -65.99M -548.18K 955M 2.01B 507M 524M 159M -113M
netCashProvidedByFinancingActivities -29.81B -16.55B 53.96B 209.41M -1.8B -19.98B -2.78B -21.28B -2.89B -70.62B