OTC : DQJCF

Pan Pacific International Holdings Corporation — Financials

$4.95 USD

-$0.33 (-6.16%)

Volume
55
Average Volume
2.08K
Market Capitalization
$14.8B
P/E Ratio
24.55
Dividend Yield
0.95%
Price Target
Year High
$7.27
Year Low
$4.55
Day High
Day Low
Payout Ratio
$0.23
Current Ratio
$1.26
DQJCF Financial Statements
date 2025-06-30 2024-06-30 2023-06-30 2022-06-30 2021-06-30 2020-06-30 2019-06-30 2018-06-30 2017-06-30 2016-06-30
revenue 2.25T 2.1T 1.94T 1.83T 1.71T 1.68T 1.33T 941.51B 828.8B 759.59B
costOfRevenue 1.53T 1.43T 1.34T 1.29T 1.21T 1.2T 958.35B 713.01B 624.67B 571.42B
grossProfit 716.73B 662.9B 600.39B 543.39B 497.32B 481.69B 370.53B 228.5B 204.13B 188.17B
researchAndDevelopmentExpenses - - - - - - - - - -
generalAndAdministrativeExpenses - - - - - - - - - -
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 3.5B 474.45B 451.17B 414.42B 375.86B 366.61B 279.03B 173.35B 155B 142.64B
otherExpenses 554.44B 48.25B 43.96B 40.28B 40.16B 39.08B 3.34B 3.58B 2.94B 2.35B
operatingExpenses 554.44B 522.7B 495.13B 454.7B 416.02B 405.69B 307.42B 176.93B 157.94B 144.98B
costAndExpenses 2.08T 1.95T 1.83T 1.74T 1.63T 1.61T 1.27T 889.94B 782.61B 716.41B
netInterestIncome -5.08B -5.92B -6.81B -6.65B -5.09B -4.47B -4.26B -1.4B -372M -510M
interestIncome 1.33B 1.06B 893M 855M 617M 705M 1.78B 1.6B 968M 706M
interestExpense 6.4B 6.99B 7.7B 7.51B 5.7B 5.18B 4.78B 2.91B 1.14B 1B
depreciationAndAmortization 47.89B 46.23B 42.26B 38.23B 31.53B 30.4B 24.74B 18.05B 16.33B 15.52B
ebitda 191.2B 183.72B 147.52B 137.77B 112.84B 106.39B 87.85B 69.62B 62.51B 58.7B
ebit 143.31B 137.49B 105.26B 99.54B 81.31B 76B 63.11B 51.57B 46.18B 43.18B
nonOperatingIncomeExcludingInterest 18.98B 2.7B - -10.85B - - - - - -
operatingIncome 162.3B 140.19B 105.26B 88.69B 81.31B 76B 63.11B 51.57B 46.18B 43.18B
totalOtherIncomeExpensesNet -25.39B -9.69B -4.52B 3.34B -17.16B -2.84B 4.36B 4.8B 9.14B -1.07B
incomeBeforeTax 136.91B 130.51B 100.74B 92.03B 64.15B 73.16B 67.47B 56.37B 55.32B 42.11B
incomeTaxExpense 45.56B 43.31B 34.97B 30.28B 9.39B 22.3B 17.55B 17.53B 16.23B 12.56B
netIncomeFromContinuingOperations 91.35B 87.2B 65.77B 61.75B 54.76B 50.86B 48.73B 38.84B 39.1B 29.56B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - -1M -1M -1M -376M - - - -
netIncome 90.51B 88.7B 66.17B 61.93B 53.73B 49.93B 47.07B 36.4B 33.08B 24.94B
netIncomeDeductions - - - - -117M -376M -1.19B - - -
bottomLineNetIncome 90.51B 88.7B 66.17B 61.93B 53.85B 50.3B 48.25B 36.4B 33.08B 24.94B
eps 30.32 148.64 110.93 102.64 84.74 78.79 74.08 57.54 52.3 39.44
date 2025-06-30 2024-06-30 2023-06-30 2022-06-30 2021-06-30 2020-06-30 2019-06-30 2018-06-30 2017-06-30 2016-06-30
cashAndCashEquivalents 171.96B 172.72B 242.09B 176.78B 157.52B 179.78B 172.67B 75.88B 78.14B 42.94B
shortTermInvestments - - - - - - - 50M - 1.6B
cashAndShortTermInvestments 171.96B 172.72B 242.09B 176.78B 157.52B 179.78B 172.67B 75.93B 78.14B 44.55B
netReceivables 86.16B 84.01B 78.18B 72.96B 94.22B 94.75B 95.13B 12.84B 8.95B 14.26B
accountsReceivables 76.7B 74.4B 69.13B 64.85B 86.56B 86.67B 86.16B 12.84B 8.95B 7.72B
otherReceivables 9.46B 9.61B 9.05B 8.12B 7.66B 8.08B 8.97B - - -
inventory 224.9B 198.98B 194.54B 205.89B 203.42B 190.4B 188.51B 135.78B 123.97B 117.4B
prepaids 15.24B 24.5B 13.99B 12.67B 12.04B 11.15B 20.02B 8.1B 3.52B 3.21B
otherCurrentAssets 29.73B 33.22B 23.05B 18.22B 28.3B 20.68B 20.79B 7.92B 14.8B 18.21B
totalCurrentAssets 527.99B 513.43B 551.84B 486.53B 495.5B 496.76B 496.4B 236.61B 227.58B 195.98B
propertyPlantEquipmentNet 786.21B 735.46B 761.05B 738.29B 717.63B 701.33B 691.32B 347.91B 310.77B 292.05B
goodwill 62.85B 62.57B 61B 61.76B 56.3B 15.94B 17.22B 17.6B 5.36B 6.85B
intangibleAssets 40.74B 32.07B 27.53B 24.46B 23.26B 20.95B 20.39B 10.65B 10.52B 10.15B
goodwillAndIntangibleAssets 103.59B 94.65B 88.53B 86.22B 79.56B 36.88B 37.6B 28.25B 15.89B 17B
longTermInvestments 133.42B 19.89B 56.83B 50.51B 52.17B 40.75B 32.11B 125.74B 30.47B 4.8B
taxAssets 28.04B 25.61B 20.69B 20.84B 23.71B 22.24B 19.67B 15.39B 8.8B 3.31B
otherNonCurrentAssets -68.23B 109.37B 2.12B 1.29B 1.68B 977M 1.46B 52.87B 49.36B 47.42B
totalNonCurrentAssets 983.04B 984.98B 929.22B 897.15B 874.76B 802.19B 782.16B 570.16B 415.28B 364.59B
otherAssets 1M 3M - - - - - - - -
totalAssets 1.51T 1.5T 1.48T 1.38T 1.37T 1.3T 1.28T 806.78B 642.87B 560.57B
totalPayables 281.66B 197.15B 168.66B 152.88B 149.98B 148.23B 159.06B 93.03B 85.66B 70.19B
accountPayables 194.88B 197.15B 168.66B 152.88B 149.98B 148.23B 159.06B 93.03B 85.66B 70.19B
otherPayables 86.78B - - - - - - - - -
accruedExpenses - 31.3B 26.99B 25.18B 25.55B 22.59B 22.68B 13.24B 9.96B 8.8B
shortTermDebt 77.02B 49.26B 45.29B 38.34B 57.87B 29.63B 49.96B 28.67B 25.08B 32.98B
capitalLeaseObligationsCurrent 2.84B 2.81B 2.26B 1.8B 1.38B -10.97B -94.64B -8.82B - -
taxPayables 29.3B 25.55B 23.17B 13.49B 11.3B 10.97B 9.84B 8.82B 9.13B 5.57B
deferredRevenue 139.16M 18.97B 122.44B 101.1B 89.3B 98.47B 94.64B 8.82B 9.13B 5.57B
otherCurrentLiabilities 80.06B 119.73B 2.78B 7.07B 29.47B 24.28B 11.64B 28.13B 44.12B 36.02B
totalCurrentLiabilities 441.59B 419.22B 368.42B 326.38B 353.55B 312.23B 337.98B 171.89B 164.82B 148B
longTermDebt 327.35B 415.73B 534.12B 548.76B 475.48B 502.92B 499.94B 291.94B 178.89B 148.43B
capitalLeaseObligationsNonCurrent 35.37B 32.9B 31.04B 25.47B 21.09B - - - - -
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent - - - - - - - - - -
otherNonCurrentLiabilities 82.66B 83.56B 83.94B 83.83B 81.37B 93.08B 87.16B 30.46B 19.22B 19.6B
totalNonCurrentLiabilities 445.39B 532.19B 649.1B 658.05B 577.94B 596B 587.1B 322.4B 198.11B 168.03B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 38.21B 35.71B 33.3B 27.28B 22.47B -10.97B -94.64B -8.82B - -
totalLiabilities 886.98B 951.41B 1.02T 984.43B 931.49B 908.23B 925.08B 494.28B 362.94B 316.02B
treasuryStock -80.96B -80.96B -80.96B -80.96B -15M -15M -14M -14M -14M -14M
preferredStock - - - - - 176M - - - -
commonStock 23.69B 23.54B 23.35B 23.22B 23.15B 23.01B 22.68B 22.44B 22.42B 22.38B
retainedEarnings 629.75B 559.54B 483.37B 428.04B 376.27B 332.26B 291.22B 248.94B 216.45B 184.2B
additionalPaidInCapital 17.81B 17.66B 17.51B 17.38B 17.12B 16.98B 15.41B 19.98B 19.42B 25.22B
date 2025-06-30 2024-06-30 2023-06-30 2022-06-30 2021-06-30 2020-06-30 2019-06-30 2018-06-30 2017-06-30 2016-06-30
netIncome 136.91B 130.51B 100.74B 92.03B 64.26B 73.16B 67.47B 36.4B 33.08B 24.94B
depreciationAndAmortization 47.89B 46.23B 42.26B 38.23B 31.54B 29.39B 23.72B 18.05B 16.33B 15.52B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital -35.71B 30.87B 25.97B 6.18B -21.84B -25.43B 38.61B -7.89B 8.83B -14.66B
accountsReceivables -2.61B -5.18B -4.26B 21.54B 1.47B -1.03B 62.96B -3.82B -2.93B -2.26B
inventory -26.93B -1.62B 13.15B 109M -11.26B -5.38B -14.49B -9.24B -6.52B -23.02B
accountsPayables -13.2M 26.11B 14.34B 595M -2.37B -10.08B 3.92B 4.64B 9.11B 9.74B
otherWorkingCapital -6.17B 11.57B 2.73B -16.06B -9.68B -8.95B -13.78B 520M 9.17B 886M
otherNonCashItems -17.12B -57.06B -31.02B -41.3B 5.09B -11.98B -27.83B 44.04B 31.19B 49.88B
netCashProvidedByOperatingActivities 131.97B 150.55B 137.96B 95.14B 79.05B 65.14B 101.98B 46.08B 56.44B 29.11B
investmentsInPropertyPlantAndEquipment -38.67B -86.22B -59.56B -50.72B -44.97B -35.51B -46.13B -54.04B -40.26B -44.2B
acquisitionsNet -11.23B -252M -4B -145M -27.24B 2.1B -13.36B -35.03B 16.33B 1.14B
purchasesOfInvestments - - - -10M -10.01B -157M - 695M -3.61B -4.58B
salesMaturitiesOfInvestments - - - 1.38B -2.78B 157M - 64M 1.4B 559M
otherInvestingActivities -11.18B -8.26B 1.56B 4.73B 6.97B -42M 22.38B -75.5B -14.46B -5.12B
netCashProvidedByInvestingActivities -61.08B -94.73B -62B -44.76B -78.04B -33.45B -37.11B -164.44B -40.59B -52.2B
netDebtIssuance -59.91B -115.96B -8.59B 49.16B -15.88B -12.85B 58.44B 128.94B 31.9B 28.42B
longTermNetDebtIssuance -59.91B -115.96B -8.59B 50.66B -2.81B -10.96B 58.44B 129.22B 30.65B 28.42B
shortTermNetDebtIssuance - - - -1.5B -13.08B -1.89B - -281M 1.25B -110M
netStockIssuance - - 380M -80.94B 287M -7.67B 478M 23M 85M 310M
netCommonStockIssuance - - 380M -80.81B 287M -7.67B 478M 23M 85M 310M
commonStockIssuance - - 380M 129M 287M - 478M 23M 85M 310M
commonStockRepurchased - - - -80.94B - -8.05B - - - -
netPreferredStockIssuance - - - -129M - - - - - -
netDividendsPaid -20.3B -12.53B -10.73B -10.03B -9.51B -6.65B -5.85B -4.11B -3.48B -3.16B
commonDividendsPaid -20.3B -12.53B -10.73B -10.03B -9.51B -6.65B -5.85B -4.11B -3.48B -3.16B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities 4.29B -1.46B 729M -12.04B -3.85B -6.86B -9.6B -8.76B -10.86B -8.42B
netCashProvidedByFinancingActivities -75.91B -129.94B -18.22B -53.85B -28.95B -34.03B 43.46B 116.08B 17.64B 17.15B
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 620.29B 637.39B 581.48B 558.55B 559.59B 578.02B 550.59B 527.7B 519.78B 538.26B
costOfRevenue 429.6B 436.01B 396.85B 380.53B 384.8B 390.89B 373.81B 358.5B 357.07B 365.5B
grossProfit 190.69B 201.38B 184.62B 178.02B 174.8B 187.13B 176.78B 169.2B 162.71B 172.77B
researchAndDevelopmentExpenses - - - - - - - - - -
generalAndAdministrativeExpenses - - - - - - - - - -
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 146.89B 148.69B 142.68B 144.41B 135.86B 138.44B 135.72B 91.02B 127.94B 130.15B
otherExpenses - - - 1M -2M 1M - 48.25B - -
operatingExpenses 146.89B 148.69B 142.68B 144.41B 135.86B 138.44B 135.72B 139.27B 127.94B 130.15B
costAndExpenses 576.49B 584.7B 539.54B 524.94B 520.66B 529.33B 509.53B 497.78B 485.01B 495.65B
netInterestIncome -1.27B -1.23B -654M -1.2B -1.41B -1.36B -1.11B -1.31B -1.46B -1.64B
interestIncome 333.08M 321.28M 929.09M 2.48M 1.45M 1.64M 3.42M 254M 142M 194M
interestExpense 1.61B 1.55B 1.58B 1.2B 1.41B 1.36B 1.11B 1.56B 1.6B 1.83B
depreciationAndAmortization 13.78B 12.71B 13.13B 12.32B 11.55B 12.17B 11.84B 12.44B 11.61B 11.34B
ebitda 57.58B 65.4B 57.44B 45.94B 50.48B 60.86B 52.9B 34.35B 50.49B 53.96B
ebit 43.8B 52.69B 44.31B 33.61B 38.93B 48.69B 41.06B 21.91B 38.88B 42.62B
nonOperatingIncomeExcludingInterest - - -2.38B -1M 2M -1M - 8.02B -4.11B 3.67B
operatingIncome 43.8B 52.69B 41.94B 33.61B 38.93B 48.69B 41.06B 29.92B 34.77B 42.62B
totalOtherIncomeExpensesNet 1.62B 384.34M 793.18M -17.3B -3.74B 3.86B -8.21B -9.58B 2.51B -5.5B
incomeBeforeTax 45.42B 53.08B 42.73B 16.32B 35.19B 52.54B 32.85B 20.34B 37.28B 37.12B
incomeTaxExpense 14.28B 17.21B 13.45B 1.78B 13.09B 19.12B 11.57B 5.29B 13.55B 13.5B
netIncomeFromContinuingOperations 31.14B 35.86B 29.28B 14.54B 22.1B 33.42B 21.28B 15.05B 23.73B 23.62B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome -2.01M 1M - - - - - 1M -1M -1M
netIncome 30.42B 35.29B 28.88B 14.64B 21.89B 33.51B 20.47B 16.62B 23.87B 23.6B
netIncomeDeductions -1.01M - - - - - - - - -
bottomLineNetIncome 30.42B 35.29B 28.88B 14.64B 21.89B 33.51B 20.47B 16.62B 23.87B 23.6B
eps 10.18 11.81 10 24.52 36.67 56.13 34.28 27.72 39.99 39.56
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 180.46B 213.09B 153.89B 171.96B 186.28B 202.95B 145.87B 172.72B 165.91B 166.34B
shortTermInvestments - - - - - - - 15.8B 15.38B 20.55B
cashAndShortTermInvestments 180.46B 213.09B 153.89B 171.96B 186.28B 202.95B 145.87B 188.52B 181.3B 186.88B
netReceivables 89.25B 98.14B 83.15B 86.16B 73.08B 95.95B 68.46B 84.01B 82.35B 88.03B
accountsReceivables 79.99B 33.47B 25.97B 76.7B 73.08B 86.59B 68.46B 74.4B 82.35B 88.03B
otherReceivables 9.26B 64.67B 57.18B 9.46B 399.92M 9.36B 379.35M 9.61B 9.42B 9.33B
inventory 244.36B 256.11B 231.85B 224.9B 219.91B 229.45B 205.32B 198.98B 192.09B 206.2B
prepaids 9.84B 27.55B 11.33B 15.24B 8.84B 26.88B 8.68B 24.5B 23.74B 31.46B
otherCurrentAssets 43.97B 41.07B 41.68B 29.73B 48.77B 33.86B 53.18B 17.42B 17.73B 33.71B
totalCurrentAssets 567.87B 635.95B 521.9B 527.99B 536.87B 589.1B 481.52B 513.43B 497.2B 546.29B
propertyPlantEquipmentNet 740.99B 793.58B 733.9B 786.21B 728.13B 797.14B 729.58B 735.46B 717.77B 713.9B
goodwill 65.64B 64.5B 64.38B 62.85B 56.05B 58.35B 56.93B 62.57B 60.11B 59.2B
intangibleAssets 46.56B 43.92B 43.3B 40.74B 38.68B 36.05B 34.08B 32.07B 30.36B 29.64B
goodwillAndIntangibleAssets 112.2B 108.42B 107.68B 103.59B 94.73B 94.4B 91.01B 94.65B 90.47B 88.84B
longTermInvestments 26.2B 26.09B 26.39B 133.42B 35.17B 128.31B 34.55B 19.89B 129.23B 34.04B
taxAssets 26.69B 27.2B 26.56B 28.04B 158.63M 23.29B 171.2M 25.61B 19.47B 20.15B
otherNonCurrentAssets 94.33B 26.29B 98.1B -68.23B 119.68B -68.06B 118.45B 109.37B 1M 95.4B
totalNonCurrentAssets 1T 981.58B 992.63B 983.04B 977.71B 975.08B 973.6B 984.98B 956.95B 952.32B
otherAssets - -1M - 1M - 1M - 3M - -
totalAssets 1.57T 1.62T 1.51T 1.51T 1.51T 1.56T 1.46T 1.5T 1.45T 1.5T
totalPayables 231.84B 355.28B 217.96B 281.66B 193.8B 332.47B 187.26B 197.15B 194.52B 224.52B
accountPayables 209.07B 266.83B 202.64B 194.88B 193.8B 246.09B 187.26B 197.15B 194.52B 224.52B
otherPayables 22.77B 88.46B 15.32B 86.78B - 86.38B - - - -
accruedExpenses - - - - 26.62B - 25.88B 31.3B 24.2B 22.1B
shortTermDebt 86.53B 115.04B 67.27B 77.02B 107.83B 71.72B 120.78B 49.26B 19.14B 72.89B
capitalLeaseObligationsCurrent - 3.44B - 2.84B 2.41B 2.43B 2.55B 2.81B 2.44B 2.53B
taxPayables - 32.22B - 29.3B - 27.92B - 25.55B 19.23B 22.86B
deferredRevenue 18.73B 116.98M 18.86B 139.16M 114.26M 110.25M 122.22M 18.97B 15.61B 16.07B
otherCurrentLiabilities 112.5B 76.91B 106.8B 80.06B 123.47B 78.36B 107.44B 119.73B 108.44B 116.73B
totalCurrentLiabilities 449.61B 550.67B 410.88B 441.59B 454.12B 484.97B 443.9B 419.22B 364.36B 454.83B
longTermDebt 277.48B 260.56B 330.44B 327.35B 328.48B 375.63B 337.65B 415.73B 446.87B 417.53B
capitalLeaseObligationsNonCurrent 37.23B 36.3B 35.83B 35.37B 34.28B 36.95B 28.55B 32.9B 31.24B 30B
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent - - - - - - - - - -
otherNonCurrentLiabilities 84.29B 83.82B 84.41B 82.66B 82.55B 82.45B 82.31B 83.56B 83.92B 83.35B
totalNonCurrentLiabilities 399B 380.67B 450.67B 445.39B 445.31B 495.03B 448.5B 532.19B 562.03B 530.87B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 37.23B 39.74B 35.83B 38.21B 36.7B 39.38B 31.1B 35.71B 33.68B 32.52B
totalLiabilities 848.6B 931.34B 861.56B 886.98B 899.44B 980B 892.41B 951.41B 926.39B 985.7B
treasuryStock -80.38B -80.28B -82.11B -80.96B -80.96B -80.96B -80.96B -80.96B -80.96B -80.96B
preferredStock - - - - - - - - - -
commonStock 23.89B 23.74B 24.08B 23.69B 23.62B 23.59B 23.56B 23.54B 23.48B 23.44B
retainedEarnings 703.62B 677.96B 651.89B 629.75B 615.11B 598.59B 565.08B 559.54B 542.92B 522.03B
additionalPaidInCapital 15B 14.92B 15.03B 17.81B 17.74B 17.71B 17.68B 17.66B 17.6B 17.6B
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 30.42B 35.29B 28.88B 14.64B 21.89B 33.51B 20.47B 16.62B 23.87B 23.61B
depreciationAndAmortization 13.78B 12.71B 13.13B 12.32B 11.55B 12.17B 11.84B 12.44B 11.61B 11.34B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital -37.66B 27.2B -11.37B 5.27B 8.36B -35.49B -9.87B 1.96B -17.94B 12.97B
accountsReceivables 10.39B -15.38B 2.15B -1.21B 2.87B -12.05B -261M 1.6B 5.64B -12.42B
inventory 14.73B -26.55B -3.3B -6.36B 10.8B -25.45B -5.92B -5.39B 13.87B -16.28B
accountsPayables -60.36B 66.39B 2.08B 13.45M -357.99M 382.7M -71.72M 1.3B -29.74B 34.65B
otherWorkingCapital -2.43B 2.75B -12.3B 12.83B -5.31B 2.01B -3.68B 4.46B -7.71B 7.02B
otherNonCashItems -9.19B 17.75B -10.14B -31.93B -46.92B 74.11B -14.09B 5.95B -6.11B 13.21B
netCashProvidedByOperatingActivities -2.65B 92.95B 20.5B 308.36M -5.12B 84.3B 8.35B 36.98B 11.43B 61.13B
investmentsInPropertyPlantAndEquipment -17.28B -11.51B -19.23B -9.18B -10.2B -6.23B -13.06B -31.95B -15.94B -27.04B
acquisitionsNet 265.66M -7.96B 1.51B -10.05B -428M 484M -484M -93M -21M 407M
purchasesOfInvestments - - - - - - - - - -
salesMaturitiesOfInvestments - - - - - - - - - -
otherInvestingActivities 585.66M -1.42B -218M 19.06B -3.98B -2.74B -301M -3.31B 373M 23M
netCashProvidedByInvestingActivities -16.43B -20.9B -17.94B -167.51M -14.61B -8.48B -13.84B -35.35B -15.58B -26.61B
netDebtIssuance -17.76B -13.16B -15.82B -31.74B -10.7B -52.01B -5.47B -1.79B -25.17B -151.68B
longTermNetDebtIssuance -17.76B -1.15B -28B -31.74B -10.7B -52.01B -5.47B -1.79B -25.17B -151.68B
shortTermNetDebtIssuance - -12.01B 12.17B - - - - - - -
netStockIssuance - - - - - - - - - -63M
netCommonStockIssuance - - - - - - - - - -63M
commonStockIssuance - - - - - - - - - -
commonStockRepurchased - - - - - - - - - -63M
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -9.02B - -15.75B - -5.37B - -14.92B - -2.98B -
commonDividendsPaid -9.02B - -15.75B - -5.37B - -14.92B - -2.98B -
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -142.89M 7.66B -8.79B 31.52B 5.58B 39.84B -609M -488M -244M 79.85B
netCashProvidedByFinancingActivities -26.92B -5.5B -40.36B -223.89M -10.49B -12.16B -21B -2.28B -28.4B -71.89B