OTC : FRCOY

Fast Retailing Co., Ltd.

$48.97 USD

$0.69 (1.43%)

Volume
9.21K
Average Volume
634.26K
Market Capitalization
$150.26B
P/E Ratio
46.52
Dividend Yield
0.74%
Price Target
Year High
$55.65
Year Low
$29.25
Day High
Day Low
Payout Ratio
$0.34
Current Ratio
$3.14
FRCOY Financial Statements
date 2025-08-31 2024-08-31 2023-08-31 2022-08-31 2021-08-31 2020-08-31 2019-08-31 2018-08-31 2017-08-31 2016-08-31
revenue 3.4T 3.1T 2.77T 2.3T 2.13T 2.01T 2.29T 2.13T 1.86T 1.79T
costOfRevenue 1.57T 1.43T 1.33T 1.09T 1.06T 1.03T 1.17T 1.08T 952.67B 921.48B
grossProfit 1.83T 1.67T 1.44T 1.21T 1.07T 975.85B 1.12T 1.05T 909.25B 865B
researchAndDevelopmentExpenses - - - - - - - - - -
generalAndAdministrativeExpenses 1.17T 759.29B 962.06B 820.89B 751.85B 737.51B 779.96B 727.17B 725.22B 631.34B
sellingAndMarketingExpenses 108.5B 225.52B 92.31B 79.27B 66.58B 68.31B 74.44B 70.31B - 71.61B
sellingGeneralAndAdministrativeExpenses 1.28T 984.82B 1.05T 900.15B 818.43B 805.82B 854.39B 797.48B 725.22B 702.96B
otherExpenses -13.11B 187.35B 903M 9.38B 6.52B 20.68B 7.53B 16.25B 7.62B 34.75B
operatingExpenses 1.26T 1.17T 1.06T 909.53B 824.94B 826.5B 861.92B 813.72B 732.84B 737.71B
costAndExpenses 2.84T 2.6T 2.39T 2T 1.88T 1.86T 2.03T 1.89T 1.69T 1.66T
netInterestIncome 52.48B 55.67B 56.83B 116.26B 16.86B 3.52B -5.19B 6.46B 16.98B -37.06B
interestIncome 65.31B 66.75B 66.72B 123.82B 23.86B 11.23B 12.29B 9.69B 19.92B 2.36B
interestExpense 12.83B 11.08B 9.89B 7.56B 7B 7.71B 17.48B 3.23B 2.93B 39.42B
depreciationAndAmortization 216.49B 204.39B 186.87B 180.28B 177.91B 177.85B 48.48B 45.06B 39.69B 36.8B
ebitda 879.9B 767.17B 633.54B 600.36B 450.22B 338.42B 318.4B 290.96B 236.02B 166.45B
ebit 663.41B 562.78B 447.81B 421.14B 272.87B 160.58B 269.93B 245.91B 196.33B 129.66B
nonOperatingIncomeExcludingInterest -99.14B -61.88B -66.72B -123.82B -23.86B -11.23B -12.29B -9.69B -19.92B -2.36B
operatingIncome 564.26B 500.9B 381.09B 297.32B 249.01B 149.35B 257.64B 236.21B 176.41B 127.29B
totalOtherIncomeExpensesNet 86.31B 54.88B 56.83B 116.26B 16.86B 3.52B -5.19B 6.47B 16.98B -37.06B
incomeBeforeTax 650.57B 555.78B 437.92B 413.58B 265.87B 152.87B 252.45B 242.68B 193.4B 90.24B
incomeTaxExpense 191.42B 163.6B 122.75B 128.83B 90.19B 62.47B 74.4B 73.3B 64.49B 36.16B
netIncomeFromContinuingOperations 459.15B 392.19B 315.17B 284.75B 175.68B 90.4B 178.05B 169.37B 128.91B 54.08B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - 1.42B -1M - - - -1M -1M - -1M
netIncome 433.01B 372B 296.23B 273.34B 169.85B 90.36B 162.58B 154.81B 119.28B 48.05B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 433.01B 372B 296.23B 273.34B 169.85B 90.36B 162.58B 154.81B 119.28B 48.05B
eps 141.14 121.29 96.61 89.18 55.44 29.51 53.11 50.59 38.99 15.71
date 2025-08-31 2024-08-31 2023-08-31 2022-08-31 2021-08-31 2020-08-31 2019-08-31 2018-08-31 2017-08-31 2016-08-31
cashAndCashEquivalents 893.24B 1.19T 903.28B 1.36T 1.18T 1.09T 1.09T 999.7B 683.8B 385.43B
shortTermInvestments 899.7B 470.55B 576.19B 123.45B 56.16B 49.89B 44.47B 35.36B 30.43B 184.24B
cashAndShortTermInvestments 1.79T 1.66T 1.48T 1.48T 1.23T 1.14T 1.13T 1.04T 714.23B 569.67B
netReceivables 96.41B 83.93B 56.66B 47.85B 42.14B 56.15B 50.54B 45.42B 42.59B 39.89B
accountsReceivables 96.41B 83.93B 21.53B 47.85B 42.14B 41.61B 39.18B 1.1B 42.59B 39.89B
otherReceivables - - 35.14B - - 14.54B 11.36B 44.32B - -
inventory 510.96B 474.46B 449.25B 485.93B 394.87B 417.53B 410.53B 464.79B 289.68B 270B
prepaids - - - - - - - 13.5B 13.08B -
otherCurrentAssets 127.51B 140.77B 191.3B 163.34B 53.77B 38.09B 46.12B 59.33B 18.02B 45.02B
totalCurrentAssets 2.53T 2.36T 2.18T 2.18T 1.72T 1.66T 1.64T 1.62T 1.08T 924.58B
propertyPlantEquipmentNet 809.46B 662.45B 611.06B 590.86B 558.71B 536.07B 162.09B 155.08B 136.98B 121.85B
goodwill 8.09B 8.09B 8.09B 8.09B 8.09B 8.09B 8.09B 8.09B 15.88B 17.91B
intangibleAssets 91.61B 92.57B 87.3B 76.62B 66.94B 66.83B 60.12B 46B 36.9B 34.2B
goodwillAndIntangibleAssets 99.7B 100.66B 95.39B 84.71B 75.03B 74.92B 68.21B 54.09B 52.78B 52.11B
longTermInvestments 343.8B 422.86B -316.86B 59.45B 29.2B 32.1B 47.14B 58.77B 60.66B -93.55B
taxAssets 40.89B 32.43B 38.21B 8.51B 37.12B 45.45B 33.16B 26.38B 25.3B 44.43B
otherNonCurrentAssets 78.58B 5.89B 699.2B 261.38B 85.23B 68.26B 61.78B 41.05B 35.17B 188.7B
totalNonCurrentAssets 1.33T 1.22T 1.13T 1T 785.3B 756.8B 372.38B 335.37B 310.89B 313.54B
otherAssets - - 1M - - - - 1M - 1M
totalAssets 3.86T 3.59T 3.3T 3.18T 2.51T 2.41T 2.01T 1.95T 1.39T 1.24T
totalPayables 390.15B 454.18B 281.59B 299.93B 180B 150.76B 127.21B 161.49B 137.32B 130.74B
accountPayables 390.15B 388.66B 216.16B 222.77B 141.4B 128.16B 99.76B 139.98B 111.46B 121.14B
otherPayables 497.68M 65.52B 65.43B 77.16B 38.61B 22.6B 27.45B 21.5B 25.86B 9.6B
accruedExpenses - - - - - - - - - -
shortTermDebt - - 1.12B 130B 13.16B 115.14B 5.49B 43.34B 9.67B 10.77B
capitalLeaseObligationsCurrent 126.83B 130.74B 126.99B 123.88B 117.08B 114.65B - 7.95B 5.6B -
taxPayables - 65.52B 65.43B 40.01B 38.61B 22.6B 27.45B 21.5B 25.86B 9.6B
deferredRevenue - - - - - - - - - -
otherCurrentLiabilities 394.31B 267.46B 319.56B 322.42B 270.76B 266.9B 343.95B 286.63B 158.83B 196.53B
totalCurrentLiabilities 911.29B 852.39B 729.26B 876.24B 581.01B 647.46B 476.66B 499.41B 311.42B 338.05B
longTermDebt 141.07B - 239.69B 240B 369.47B 369.35B 469.18B 473.47B 258.42B 261.44B
capitalLeaseObligationsNonCurrent 386.67B 347.32B 338.66B 356.84B 343.57B 351.53B 29.31B 27.69B 13.43B 11.25B
deferredRevenueNonCurrent - - - 3.38B 3.4B - - -13B -10B -
deferredTaxLiabilitiesNonCurrent 22.54B 31.9B - 44.26B 10.39B - - 13B 10B 3.81B
otherNonCurrentLiabilities 70.28B 287.71B 122.73B 47.64B 39.84B 47.58B 51.87B 37.12B 33.18B 25.92B
totalNonCurrentLiabilities 620.56B 666.92B 701.07B 692.12B 766.67B 768.46B 550.37B 551.28B 315.02B 302.41B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 513.5B 478.06B 465.65B 480.72B 460.66B 466.18B 29.31B 35.64B 19.02B 11.25B
totalLiabilities 1.53T 1.52T 1.43T 1.57T 1.35T 1.42T 1.03T 1.05T 626.44B 640.46B
treasuryStock -14.53B -14.63B -14.71B -14.81B -14.97B -15.13B -15.27B -15.43B -15.56B -15.63B
preferredStock - - - - - - 5.73B - - -
commonStock 10.27B 10.27B 10.27B 10.27B 10.27B 10.27B 10.27B 10.27B 10.27B 10.27B
retainedEarnings 2.06T 1.77T 1.5T 1.28T 1.05T 933.3B 928.75B 815.15B 698.58B 613.97B
additionalPaidInCapital 31B 29.71B 28.53B 27.83B 25.36B 23.36B 20.6B 18.28B 14.37B 13.07B
date 2025-08-31 2024-08-31 2023-08-31 2022-08-31 2021-08-31 2020-08-31 2019-08-31 2018-08-31 2017-08-31 2016-08-31
netIncome 433.01B 372B 437.92B 413.58B 265.87B 152.87B 252.45B 242.68B 193.4B 90.24B
depreciationAndAmortization 216.48B 204.39B 186.87B 180.28B 177.91B 177.85B 48.48B 45.06B 39.69B 36.8B
deferredIncomeTax - - - - - -2.92B - - - -
stockBasedCompensation - - 920M 2.7B 2.18B - 2.5B 2.19B 1.42B 1.54B
changeInWorkingCapital -52.12B 37.03B 28.12B 44.4B 65.26B -22.11B 55.23B -43.4B 10.35B -17.79B
accountsReceivables -12.72B -17.39B -7.54B -2.65B 15.33B -4.16B -6.3B -2.85B -1.42B -2.36B
inventory -29.86B -23.54B 46.91B -50.9B 36.75B -2.66B 38.14B -179.47B -5.96B -34.91B
accountsPayables 476M 47.32B -15.91B 114.6B 384M 18.6B -16.43B 9.76B 9.95B 18.6B
otherWorkingCapital -10.02B 30.64B 4.65B -16.66B 12.79B -33.88B 39.81B 129.16B 7.78B 886M
otherNonCashItems -16.76B 38.1B -190.61B -210.14B -82.25B -40.82B -58.15B -70.11B -32.7B -12.03B
netCashProvidedByOperatingActivities 580.62B 651.52B 463.22B 430.82B 428.97B 264.87B 300.5B 176.4B 212.17B 98.76B
investmentsInPropertyPlantAndEquipment -135.54B -106B -61.76B -51.27B -56.5B -46.5B -41.57B -31.96B -33.6B -34.16B
acquisitionsNet - - - - -4.23B - - - - -13B
purchasesOfInvestments -1.48T -840.68B -869.12B -261.04B -102.31B -88.71B -103.62B -63.49B -3.41B -
salesMaturitiesOfInvestments 1.09T 864.09B 392.54B 126.77B 99.94B 83.5B 92.25B 59.18B 170.13B -
otherInvestingActivities -443.39B 365M -36.06B -26.69B -19.5B -24.27B -25.82B -20.91B -10.33B -198.78B
netCashProvidedByInvestingActivities -578.92B -82.23B -574.4B -212.23B -82.6B -75.98B -78.76B -57.18B 122.79B -245.94B
netDebtIssuance -170.48B -52M -130.8B -136.89B -103.56B 9.13B -34.08B 246.18B -6.14B 244.19B
longTermNetDebtIssuance -170.48B - -130B -136.89B -100B -4.34B -34.43B 246.01B -2.92B 244.43B
shortTermNetDebtIssuance 340M -52M -803M -12.15B -3.56B 13.47B 356M 171M -3.22B -243M
netStockIssuance - - - - - - - - - -
netCommonStockIssuance - - - - - - - - - -
commonStockIssuance - - - - - - - - - -
commonStockRepurchased - - - - - - - - - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -142.63B -104.26B -73.06B -53.09B -48.99B -49B -48.98B -38.24B -34.67B -36.7B
commonDividendsPaid -142.63B -104.26B -73.06B -53.09B -48.99B -49B -48.98B -38.24B -34.67B -36.7B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -26.03B -164.69B -160.7B -23.07B -150.44B -143.4B -19.38B -9.72B -10.03B -6.06B
netCashProvidedByFinancingActivities -339.14B -269B -364.56B -213.05B -302.98B -183.27B -102.43B 198.22B -50.84B 201.43B
date 2026-05-31 2026-02-28 2025-11-30 2025-08-31 2025-05-31 2025-02-28 2024-11-30 2024-08-31 2024-05-31 2024-02-29
revenue 1.02T 1.03T 1.06T 783.83B 826.51B 895.01B 895.19B 737.34B 767.5B 788.16B
costOfRevenue 499.37B 544.65B 532.54B 363.5B 372.8B 427.75B 407.62B 395.85B 333.77B 385.74B
grossProfit 515.79B 487.02B 527.04B 420.33B 453.7B 467.26B 487.57B 341.49B 433.73B 402.42B
researchAndDevelopmentExpenses - - - - - - - - - -
generalAndAdministrativeExpenses - - - 289.71B 286.62B 289.15B 297.16B 301.84B 267.97B 268.27B
sellingAndMarketingExpenses - - - 23B 25.22B 33.42B 33.42B -52.61B 23.83B 24.4B
sellingGeneralAndAdministrativeExpenses 308.97B 304.97B 315.02B 312.72B 311.83B 322.58B 330.58B 249.23B 291.8B 292.67B
otherExpenses - - - -5.7B -4.86B 564M -564M - -2.79B -649M
operatingExpenses 308.97B 304.97B 315.02B 307.01B 306.97B 323.14B 330.02B 249.23B 289.01B 292.02B
costAndExpenses 808.34B 849.62B 847.56B 670.52B 679.78B 750.89B 737.64B 645.08B 622.78B 677.77B
netInterestIncome 14.79B 11.74B 11.83B 12.66B 12.22B 45.79B - 15.26B 33.65B 26.53B
interestIncome 18.38B 15.2B 15.57B 16.02B 12.22B 45.79B - 18.48B 36.54B 29.01B
interestExpense 3.59B 3.46B 3.75B 3.37B - - - 3.25B 2.89B 2.48B
depreciationAndAmortization 59.2B 59.07B 58.25B 55.37B 53.22B 54.53B 53.38B 52.86B 51.78B 50.44B
ebitda 266.01B 265.49B 294.72B 188.8B 199.09B 199.5B 211.12B 135.54B 233.04B 189.85B
ebit 206.81B 206.42B 236.47B 133.44B 145.88B 144.98B 157.74B 82.68B 181.26B 139.41B
nonOperatingIncomeExcludingInterest - -24.37B -24.45B -20.12B 858M -860M -186M 9.57B -36.54B -29.01B
operatingIncome 206.81B 182.06B 212.02B 113.31B 146.74B 144.12B 157.56B 92.26B 144.72B 110.4B
totalOtherIncomeExpensesNet 23.8B 20.91B 21.67B 16.76B 10.05B 23B 39.06B -12.86B 33.65B 26.53B
incomeBeforeTax 230.61B 202.96B 233.69B 130.07B 156.78B 167.11B 196.61B 79.4B 178.37B 136.92B
incomeTaxExpense 72.02B 58.75B 70.26B 30.52B 46.46B 58.13B 56.31B 17.77B 55.87B 42.19B
netIncomeFromContinuingOperations 158.6B 144.22B 163.42B 99.54B 110.33B 108.98B 140.3B 61.63B 122.5B 94.73B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome 1M - -1M - - - - 38M - -
netIncome 147.54B 132.38B 152.01B 93.91B 105.53B 101.6B 131.96B 59.16B 116.93B 88.11B
netIncomeDeductions - - 1.03M - - - - - - -
bottomLineNetIncome 147.54B 132.38B 152.01B 93.91B 105.53B 101.6B 131.96B 59.16B 116.93B 88.11B
eps 47.84 43.84 49.6 30.61 34.4 33.12 43.02 19.29 38.12 28.73
date 2026-05-31 2026-02-28 2025-11-30 2025-08-31 2025-05-31 2025-02-28 2024-11-30 2024-08-31 2024-05-31 2024-02-29
cashAndCashEquivalents 1.13T 1.04T 922.82B 893.24B 991.76B 977.33B 1.2T 1.19T 1.1T 1.07T
shortTermInvestments - 1.18T - 899.7B 636.44B - 447.42B 470.55B 550.55B 529.26B
cashAndShortTermInvestments 1.13T 2.22T 922.82B 1.79T 1.63T 977.33B 1.65T 1.66T 1.65T 1.6T
netReceivables 179.12B 97.51B 200.59B 96.41B 140.81B 71.65B 179.99B 83.93B 110.63B 66.64B
accountsReceivables 166.54B 91.11B 195.71B 96.41B 140.81B 71.65B 179.99B 83.93B 110.63B 66.64B
otherReceivables 12.57B 6.4B 4.88B - - - - - - -
inventory 498.53B 502.51B 545.56B 510.96B 448.93B 459.46B 513.15B 474.46B 404.8B 414.43B
prepaids - - - - - - - - - -
otherCurrentAssets 1.12T 157.13B 1.22T 127.51B 104.76B 846.32B 159.92B 140.77B 209.19B 181.78B
totalCurrentAssets 2.94T 2.98T 2.89T 2.53T 2.32T 2.35T 2.5T 2.36T 2.37T 2.26T
propertyPlantEquipmentNet 895.02B 866.54B 867.3B 809.46B 774.08B 739.65B 680.2B 662.45B 674.16B 627.89B
goodwill 8.11B 8.11B 8.08B 8.09B 8.09B 8.09B 8.09B 8.09B 8.09B 8.09B
intangibleAssets 90.64B 91.46B 91.42B 91.61B 93B 93.82B 95.49B 92.57B 94.01B 91.95B
goodwillAndIntangibleAssets 98.74B 99.58B 99.5B 99.7B 101.09B 101.91B 103.59B 100.66B 102.1B 100.05B
longTermInvestments 480.28B 253.05B 389.88B 343.8B 408.2B 504.53B 389.17B 422.86B 356.33B 343.33B
taxAssets 26.7B 30.14B 26.86B 40.89B 373.93M 28.29B 197.63M 32.43B 41.16B 39.52B
otherNonCurrentAssets 3.54B 82.18B 4.89B 78.58B 92.11B 28.3B 122.83B 5.89B 137.46B 127.08B
totalNonCurrentAssets 1.5T 1.33T 1.39T 1.33T 1.38T 1.37T 1.3T 1.22T 1.31T 1.24T
otherAssets - - - - - - - - - -
totalAssets 4.44T 4.31T 4.28T 3.86T 3.7T 3.73T 3.8T 3.59T 3.68T 3.5T
totalPayables 520.79B 505.84B 570.53B 390.15B 358.58B 343.59B 454.36B 454.18B 401.71B 378.96B
accountPayables 450.15B 420.57B 508.12B 390.15B 358.58B 343.59B 454.36B 388.66B 325.87B 310.76B
otherPayables 70.65B 85.27B 62.41B 73.07B 432.94M -343.59B 359.46M 65.52B 75.85B 68.2B
accruedExpenses - - - - - - - - - -
shortTermDebt 131.66B 133.1B 132.54B 1.34B - - - - - -
capitalLeaseObligationsCurrent - 132.73B - 126.83B 125.64B 126.6B 132.98B 130.74B 133.68B 129.12B
taxPayables - - - - - - - 65.52B 75.85B 68.2B
deferredRevenue - - - - - - - - 75.85B 68.2B
otherCurrentLiabilities 283.92B 154.92B 349.61B 392.97B 419.03B 408.88B 340.82B 267.46B 132.55B 148.82B
totalCurrentLiabilities 936.38B 926.59B 1.05T 911.29B 903.24B 879.08B 928.16B 852.39B 743.79B 725.09B
longTermDebt 141.78B 141.89B 140.84B 141.07B 141.09B 141.05B 211.17B - - -
capitalLeaseObligationsNonCurrent 434.84B 416.65B 416.37B 386.67B 366.75B 355.25B 351.91B 347.32B 365.54B 338.65B
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent 46.02B 41.66B 40.95B 22.54B - - - 31.9B 80.36B 67.7B
otherNonCurrentLiabilities 66.74B 68.12B 65.06B 70.28B 119.34B 95.05B 106.95B 287.71B 298.84B 296.74B
totalNonCurrentLiabilities 689.38B 668.32B 663.22B 620.56B 627.18B 591.35B 670.03B 666.92B 744.74B 703.09B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 434.84B 549.38B 416.37B 513.5B 492.39B 481.85B 484.88B 478.06B 499.21B 467.77B
totalLiabilities 1.63T 1.59T 1.72T 1.53T 1.53T 1.47T 1.6T 1.52T 1.49T 1.43T
treasuryStock -14.52B -14.54B -14.5B -14.53B -14.54B -14.57B -14.58B -14.63B -14.65B -14.66B
preferredStock - - - - - - - - - -
commonStock 10.29B 10.3B 10.26B 10.27B 10.27B 10.27B 10.27B 10.27B 10.27B 10.27B
retainedEarnings 2.31T 2.26T 2.12T 2.06T 1.96T 1.93T 1.83T 1.77T 1.71T 1.64T
additionalPaidInCapital 32.05B 31.74B 31.28B 31B 30.67B 30.33B 29.99B 29.71B 29.41B 29.09B
date 2026-05-31 2026-02-28 2025-11-30 2025-08-31 2025-05-31 2025-02-28 2024-11-30 2024-08-31 2024-05-31 2024-02-29
netIncome 147.54B 132.38B 152.01B 93.91B 105.53B 101.6B 131.96B 59.16B 116.93B 88.11B
depreciationAndAmortization 59.2B 59.07B 58.25B 55.36B 53.22B 54.53B 53.38B 52.86B 51.78B 50.44B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital -48.24B 79.82B -18.9B 592M -44.01B 84.68B -109.27B 51.99B -34.57B 56.56B
accountsReceivables -76.28B 108.68B -98.42B 43.04B -69.07B 102.48B -89.16B 23.71B -41.56B 74.45B
inventory 6.52B 51.64B -19.58B -54.6B 11.24B 49.21B -35.7B -83.17B 17.57B 73.59B
accountsPayables 28.76B -86.73B 105.19B 29.98B 81.02M -678.86M 400.97M 64.59B 13.79B -92.13B
otherWorkingCapital -7.25B 6.22B -6.09B -17.83B 13.82B -67B 15.59B 46.86B -24.37B 652M
otherNonCashItems -9.62B 36.68B 6.37B 3.62B 14.17B -30.28B 11.62B 33.13B -2.13B 20.08B
netCashProvidedByOperatingActivities 148.88B 307.95B 197.74B 153.49B 128.9B 210.53B 87.7B 197.13B 132.01B 215.19B
investmentsInPropertyPlantAndEquipment -28.35B -24.15B -29.76B -22.34B -33.5B -74.52B -19.65B -28.19B -22.9B -9.4B
acquisitionsNet - - - - - -15.08B - - - 1M
purchasesOfInvestments -579.73B -615.65B -614.44B -3.47B -1.92B -3.08B -1.65B -239.47B -148.53B -544.81B
salesMaturitiesOfInvestments 685.11B 544.86B 555.9B 2.15B 2.32B 988.88M 1.89B 270.18B 148.63B 551.58B
otherInvestingActivities -4.25B 550.78M 1.21B -184.26B 43.3B -288.95B 16.07B 716M -8.5B -7.13B
netCashProvidedByInvestingActivities 72.78B -94.39B -87.1B -206.59B 9.8B -378.55B -3.58B 3.23B -31.3B -9.75B
netDebtIssuance 903.87M -70.79B -1.19B -61.62B -1.41M 1.88M -36.61B 752M -34.83B -35.85B
longTermNetDebtIssuance 790.13M -71.05B - -62.19B - - -36.61B - -34.83B -35.41B
shortTermNetDebtIssuance 113.74M 258.94M -1.19B 566M -1.41M 1.88M -1.98M 752M 29M -443M
netStockIssuance - - - - - - - - - -
netCommonStockIssuance - - - - - - - - - -
commonStockIssuance - - - - - - - - - -
commonStockRepurchased - - - - - - - - - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -99.45B 1.54B -82.15B -48M -73.58B -41M -68.96B -38M -53.63B -48M
commonDividendsPaid -99.45B 1.54B -82.15B -48M -73.58B -41M -68.96B -38M -53.63B -48M
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -46.68B -39.73B -38.04B -5.97B -47.68B -43.94B -685M -40.14B -9.69B -6.55B
netCashProvidedByFinancingActivities -145.22B -108.99B -121.39B -67.64B -121.26B -43.99B -106.26B -39.42B -98.15B -42.44B