OTC : HNHPF

Hon Hai Precision Industry Co., Ltd.

$14.7 USD

-$0.17 (-1.11%)

Volume
736
Average Volume
46.24K
Market Capitalization
$102.91B
P/E Ratio
16.56
Dividend Yield
3.06%
Price Target
$22.00
Year High
$20.26
Year Low
$10.94
Day High
Day Low
Payout Ratio
$0.45
Current Ratio
$1.45
HNHPF 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 8.15T 6.86T 6.16T 6.63T 5.99T 5.36T 5.34T 5.29T 4.71T 4.36T
costOfRevenue 7.65T 6.43T 5.77T 6.23T 5.63T 5.06T 5.03T 4.96T 4.4T 4.04T
grossProfit 500.89B 428.95B 387.95B 400.09B 362.13B 302.92B 315.87B 332.03B 303.01B 321.58B
researchAndDevelopmentExpenses 122.37B 115.77B 110.02B 114.26B 105.07B 94.11B 91.55B 84.43B 81.78B 51.14B
generalAndAdministrativeExpenses 89.87B 87.52B 86.41B 81.67B 77.59B 70.74B 79.29B 78.76B 79.15B 72.99B
sellingAndMarketingExpenses 27.37B 25.05B 24.99B 30.37B 30.51B 27.24B 30.13B 32.69B 29.5B 22.51B
sellingGeneralAndAdministrativeExpenses 117.23B 112.57B 111.4B 112.04B 108.1B 97.98B 109.42B 111.45B 108.66B 95.51B
otherExpenses 642M - - -615.9M - - - - - -
operatingExpenses 240.25B 228.34B 221.42B 226.3B 213.17B 192.09B 200.97B 195.88B 190.44B 146.65B
costAndExpenses 7.89T 6.66T 6T 6.45T 5.85T 5.25T 5.23T 5.16T 4.59T 4.18T
netInterestIncome -7.13B 8.78B 16.16B 8.57B 10.5B 7.62B 9.22B -55.54B -38.99B -26.57B
interestIncome 31.18B 45.58B 81.7B 43.3B 32.46B 47.93B 75.82B - - -
interestExpense 38.31B 36.8B 65.54B 34.74B 21.96B 40.32B 66.6B 55.54B 38.99B 26.57B
depreciationAndAmortization 97.74B 87.88B 84.41B 76.46B 62.13B 65.11B 67.01B 59.93B 60.43B 62.84B
ebitda 358.38B 336.55B 355.55B 292.08B 291.01B 250.9B 277.85B 285.72B 282.87B 287.81B
ebit 260.64B 248.67B 271.14B 222.25B 148.96B 185.79B 230.48B 225.8B 221.87B 174.94B
nonOperatingIncomeExcludingInterest - -48.06B -104.61B -42.69B -48.17B -67.14B -115.58B -89.65B -109.3B -
operatingIncome 260.64B 200.61B 166.53B 173.79B 215.53B 110.83B 230.48B 136.15B 112.57B 224.52B
totalOtherIncomeExpensesNet 34.41B 11.27B 25.7B 7.95B 26.21B 26.82B 48.98B 34.1B 70.3B 23.01B
incomeBeforeTax 295.05B 211.88B 192.22B 181.74B 193.57B 145.47B 163.88B 170.25B 182.87B 197.95B
incomeTaxExpense 78.84B 40.2B 37.43B 36.44B 39.75B 31.15B 31.69B 40.42B 47.5B 46.59B
netIncomeFromContinuingOperations 216.21B 171.68B 154.79B 145.3B 135.42B 106.5B 132.19B 113.6B 124.56B 150.53B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - 5.77B 18.4B 7.83B - 16.23B 10.82B 827.45M
netIncome 190.39B 152.71B 142.1B 141.48B 139.32B 101.79B 115.31B 129.07B 138.73B 148.66B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 190.39B 152.71B 142.1B 141.48B 139.32B 101.79B 115.31B 129.07B 138.73B 148.66B
eps 27.26 22.01 20.5 20.42 20.1 14.68 16.64 16.06 16.02 21.5
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 1.01T 937.11B 1.2T 1.06T 1.06T 1.23T 857.86B 788.66B 642.5B 633.16B
shortTermInvestments 578.69B 378.71B 152.41B 22.41B 49.47B 45.07B 55.91B 83.96B 7.01B 14.11B
cashAndShortTermInvestments 1.59T 1.32T 1.35T 1.08T 1.11T 1.28T 913.77B 872.62B 649.51B 647.27B
netReceivables 1.23T 1.2T 936.98B 1.16T 1.22T 1.01T 1.12T 1.05T 1.38T 776.81B
accountsReceivables 1.18T 1.14T 872.27B 1.1T 1.16T 942.48B 1.03T 914.38B 1.23T 731.06B
otherReceivables 52.97B 56.7B 64.71B 57.72B 62.29B 63.52B 92.22B 131.7B 150.33B 45.75B
inventory 1.09T 835.02B 730.77B 939.02B 672.15B 582.11B 515.77B 625.03B 560.95B 387.27B
prepaids 33.28B 25.15B 16.41B 17.28B 18.06B 18.66B 19.9B 19.6B 20.33B 13.09B
otherCurrentAssets 1.65B 1.66B 1.74B 3.06B 11.82B 66.05B 93.43B 143.73B 151.09B 46.65B
totalCurrentAssets 3.95T 3.38T 3.04T 3.2T 3.03T 2.88T 2.57T 2.71T 2.75T 1.93T
propertyPlantEquipmentNet 611.86B 524.33B 435.3B 402.81B 350.37B 333.36B 334.28B 277.86B 278.2B 309.2B
goodwill 21B 22.13B 20.4B 18.27B 16.19B 14.92B 15.41B 15.05B 3.8B 4.12B
intangibleAssets 18.59B 20.31B 19.2B 28.94B 29.9B 33.13B 29.78B 18.79B 7.9B 7.54B
goodwillAndIntangibleAssets 39.58B 42.44B 39.6B 46.66B 45.35B 44.76B 41.38B 30.36B 9.55B 10.53B
longTermInvestments 446.26B 18.88B 231.01B 402.98B 369.77B 319.67B 276.72B 234.12B 272.33B 279.37B
taxAssets 27.79B 24.01B 20.2B 20.76B 20.44B 19.95B 18.7B 16.23B 15.05B 14.59B
otherNonCurrentAssets 14.13B 409.07B 177.71B 60.26B 88.53B 71.89B 76.16B 116.31B 85.94B 47.14B
totalNonCurrentAssets 1.14T 1.02T 903.82B 933.47B 874.46B 789.63B 747.25B 674.87B 661.08B 660.84B
otherAssets - - - - - - - - - -
totalAssets 5.09T 4.39T 3.94T 4.13T 3.91T 3.67T 3.32T 3.38T 3.41T 2.59T
totalPayables 1.37T 1.42T 1.15T 1.07T 1.08T 1.07T 906.19B 948.02B 1.22T 709.66B
accountPayables 1.33T 1.13T 893.12B 1.07T 1.08T 1.07T 906.19B 948.02B 1.22T 709.66B
otherPayables 46.77B 283.43B 252.11B - - - - - - -
accruedExpenses 86.61B - - - 103.76B 112.32B 120.79B 67.55B 97.09B 62.33B
shortTermDebt 940.44B 642.78B 648.99B 647.19B 608.96B 485.52B 411.39B 551.6B 429.8B 187.46B
capitalLeaseObligationsCurrent 9.23B 7.06B 5.74B 8.33B 7.36B 9.06B 7.13B 57.18B 97.91B 131.6B
taxPayables - 27.48B 24.74B 24.6B 26.47B 24B 18.53B 36.4B 38.44B 30.65B
deferredRevenue 43.76B 916.92M 859.56M 27.95B 243.41B 250.61B 240.87B 14.84B 305.42B 263.61B
otherCurrentLiabilities 248.22B 108.49B 109.37B 361.4B 201.42B 243.76B 211.96B 227.85B 275.9B 287.17B
totalCurrentLiabilities 2.7T 2.17T 1.91T 2.11T 2T 1.92T 1.66T 1.81T 2.03T 1.25T
longTermDebt 305.22B 287.79B 271.63B 301.02B 275.6B 233.28B 217.08B 215.28B 188.48B 178.23B
capitalLeaseObligationsNonCurrent 30.65B 23.92B 16.71B 17.46B 18.22B 20.39B 20.88B - - -
deferredRevenueNonCurrent 1.28B 42M 46.53M 1.55B 430.65M 407.92M 369.95M 1.27T - -
deferredTaxLiabilitiesNonCurrent 49.98B 37.39B 40.67B 39.12B 32.23B 18.81B 18.26B 14.65B 12.54B 18.61B
otherNonCurrentLiabilities 31.12B 18.99B 15.2B 10.47B 11.46B 10.98B 7.27B 9.13B 8.9B 8.77B
totalNonCurrentLiabilities 418.26B 368.09B 344.21B 369.63B 337.94B 283.87B 263.85B 239.06B 209.92B 205.61B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 39.88B 30.98B 22.45B 25.79B 25.58B 29.45B 28.01B 57.18B 97.91B 131.6B
totalLiabilities 3.12T 2.54T 2.25T 2.48T 2.34T 2.2T 1.92T 2.05T 2.24T 1.46T
treasuryStock -15.15M -15.19M -15.19M -15.19M -15.19M -15.19M -15.19M -15.19M -18.9M -18.9M
preferredStock - - - - - 87.32B - - - -
commonStock 139.64B 138.92B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 173.29B 173.29B
retainedEarnings 1.29T 1.02T 987.7B 925.89B 871.19B 779.84B 794.62B 779.41B 717.89B 672.06B
additionalPaidInCapital 120.89B 197.92B 198.65B 193.79B 202.08B 202.65B 199.38B 88.5B 97.87B 93.05B
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 190.39B 211.88B 142.1B 187.51B 193.57B 145.47B 163.88B 170.25B 182.87B 197.95B
depreciationAndAmortization 97.74B 87.88B 84.41B 76.46B 75.48B 65.11B 67.01B 59.93B 61B 63.29B
deferredIncomeTax - - - - -64.98B -49.91B -80.54B - - -
stockBasedCompensation 2.73B 2.23B 2.55B 1.39B 2.46B 4.4B 3.83B 2.76B 2.44B 2.63B
changeInWorkingCapital -75.81B -85.24B 381.7B -113.59B -294.1B 220.33B 103.55B -195.27B -187.43B -43.1B
accountsReceivables -36.32B -237.96B 211.97B 81.67B -221.94B 85.1B 32.29B 178.28B -531.43B -132.3B
inventory -262.61B -76.01B 201.69B -251.59B -92.42B -66.34B 110.6B -58.74B -173.68B 39.84B
accountsPayables 198.98B 6.7B -167.94B -25.04B 9.43B 159.4B -43.12B -274.99B 506.82B 60.15B
otherWorkingCapital 24.14B 228.72B 135.98B 81.37B 10.84B 42.17B 3.78B -136.53B -13.75B -82.94B
otherNonCashItems 35.61B -50.71B -165.2B -42.07B -10.65B -7.79B -9.71B -75.06B -95.79B -44.11B
netCashProvidedByOperatingActivities 250.67B 166.03B 445.55B 109.71B -98.21B 377.62B 248.02B -40.16B -39.34B 174.02B
investmentsInPropertyPlantAndEquipment -188.09B -141.31B -111.74B -101.66B -94.5B -67.54B -78.01B -65.53B -60.38B -53.2B
acquisitionsNet 26.41B -7.79B -6.4B -45.14B -13.42B -3.69B -5.23B -30.05B 233.42M -68.24B
purchasesOfInvestments -201.21B -219.17B -139.21B -18.15B -44.17B -24.08B -21.93B -24.85B -70.03B -119.79B
salesMaturitiesOfInvestments 10.31B 3.31B 35.54B 55.78B 3.75B 32.23B 49.6B 58.49B 5.59B 1.96B
otherInvestingActivities -698.83M 64.92B 83.94B 63.72B 56.25B 97.67B 126.16B 133.38B 59.6B 27.14B
netCashProvidedByInvestingActivities -353.28B -300.05B -137.87B -45.44B -92.08B 34.59B 70.58B 71.43B -64.99B -212.13B
netDebtIssuance 319.72B -7.14B -16.34B -3.07B 112.6B 14.85B -97.62B 112.85B -650.78M 21.54B
longTermNetDebtIssuance 5.3B -8.48B 27.36B 7.24B 28.29B 22.56B 45.83B -8.97B -650.78M 21.54B
shortTermNetDebtIssuance 314.42B 1.34B -43.7B 31.23B 84.31B 74.11B -143.45B 121.82B 242.33B 110.24B
netStockIssuance - - - -7.76B - - - -34.65B - -
netCommonStockIssuance - - - -7.76B - - - -34.65B - -
commonStockIssuance - - - - - - - - - -
commonStockRepurchased - - - -7.76B - - - -34.65B - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -81.01B -83.13B -73.47B -72.09B -55.45B -58.22B -55.45B -34.66B -77.98B -62.55B
commonDividendsPaid -81.01B -83.13B -73.47B -72.09B -55.45B -58.22B -55.45B -34.66B -77.98B -62.55B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -37.09B -73.79B -70.82B -4.95B -32.87B 18.25B -65.03B 75.43B 224.87B 92.96B
netCashProvidedByFinancingActivities 201.61B -164.07B -160.64B -87.87B 24.28B -25.12B -218.1B 118.97B 146.24B 51.95B
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 2.14T 2.63T 2.06T 1.79T 1.64T 2.13T 1.85T 1.55T 1.32T 1.85T
costOfRevenue 2.01T 2.48T 1.93T 1.68T 1.54T 2T 1.74T 1.45T 1.24T 1.74T
grossProfit 132.33B 154.78B 130.76B 113.53B 100.55B 131.04B 114.73B 99.51B 83.66B 113.28B
researchAndDevelopmentExpenses 26.85B 34.98B 30.22B 30.2B 26.63B 34.13B 29.17B 29.17B 23.31B 32.74B
generalAndAdministrativeExpenses 22.39B 24.14B 23.24B 21.13B 21.35B 24.25B 24.39B 20.18B 18.7B 23.56B
sellingAndMarketingExpenses 6.37B 8.94B 6.76B 5.61B 6.06B 8.19B 6.4B 5.55B 4.9B 8.05B
sellingGeneralAndAdministrativeExpenses 28.75B 33.08B 30B 26.74B 27.41B 32.44B 30.79B 25.74B 23.6B 31.62B
otherExpenses 297.15M 312.66M - - - - - - - -
operatingExpenses 55.9B 68.38B 60.22B 56.93B 54.05B 66.56B 59.96B 54.9B 46.91B 64.35B
costAndExpenses 2.07T 2.54T 1.99T 1.74T 1.6T 2.07T 1.8T 1.51T 1.29T 1.8T
netInterestIncome -3.22B -3.99B -2.66B -1.07B 598.02M 1.47B -20.09M 2.54B 4.8B 5.49B
interestIncome 7.92B 8.19B 7.12B 7.65B 8.13B 9.59B 8.75B 11.8B 15.44B 21.73B
interestExpense 11.14B 12.18B 9.77B 8.73B 7.53B 8.13B 8.77B 9.26B 10.64B 16.24B
depreciationAndAmortization 26.93B 25.9B 24.95B 23.48B 23.52B 23.08B 21.62B 19.49B 20.27B 21.07B
ebitda 103.36B 112.3B 121.62B 97.36B 90.17B 87.56B 98.05B 75.56B 63.41B 104.43B
ebit 76.43B 86.4B 96.67B 73.87B 66.65B 64.48B 76.42B 56.29B 43.15B 83.14B
nonOperatingIncomeExcludingInterest - -8.76B -26.13B -17.28B -20.15B -8.33B -21.65B -11.69B -6.39B -34.21B
operatingIncome 76.43B 86.4B 70.54B 56.6B 46.5B 64.48B 54.77B 44.6B 36.75B 48.93B
totalOtherIncomeExpensesNet -1.63B -3.34B 16.36B 8.55B 12.62B -1.17B 12.88B 3.8B 6.41B 17.97B
incomeBeforeTax 74.8B 83.06B 86.89B 65.15B 59.12B 63.31B 67.65B 48.4B 43.16B 66.9B
incomeTaxExpense 17.25B 28.92B 20.86B 15.61B 13.29B 10.8B 12.31B 9.45B 7.64B 8.64B
netIncomeFromContinuingOperations 57.54B 54.14B 66.03B 49.54B 45.83B 52.52B 55.34B 38.94B 35.52B 58.26B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - -10.65B -
netIncome 50.44B 45.64B 57.67B 44.36B 42.11B 46.33B 49.33B 35.05B 22.01B 53.15B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 50.44B 45.64B 57.67B 44.36B 42.11B 46.33B 49.33B 35.05B 22.01B 53.15B
eps 7.35 6.52 8.3 6.38 6.06 6.68 7.1 5.06 6.36 7.66
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 986.19B 1.01T 865.25B 870.52B 929.28B 937.11B 791.14B 1.05T 1.16T 1.2T
shortTermInvestments 598.61B 578.69B 429.82B 331.24B 414.14B 378.71B 353.36B 208B 141.99B 152.13B
cashAndShortTermInvestments 1.58T 1.59T 1.3T 1.2T 1.34T 1.32T 1.14T 1.26T 1.31T 1.35T
netReceivables 1.22T 1.23T 1.3T 988.16B 1.11T 1.2T 1.24T 921.58B 769.13B 936.98B
accountsReceivables 1.17T 1.18T 1.25T 940.52B 1.06T 1.14T 1.19T 861.61B 712.1B 872.27B
otherReceivables 52.39B 52.97B 51.16B 47.63B 50.21B 56.7B 55.63B 59.97B 57.03B 64.71B
inventory 1.21T 1.09T 1.19T 935.83B 1.05T 835.02B 883.54B 808.46B 753.15B 730.77B
prepaids 36.56B 33.28B 35.92B 27.44B 27.6B 25.15B 22.95B 17.67B 18.64B 16.41B
otherCurrentAssets 2.38B 1.65B 1.52B 6.66B 1.85B 1.66B 1.78B 1.82B 1.92B 1.74B
totalCurrentAssets 4.05T 3.95T 3.82T 3.16T 3.53T 3.38T 3.3T 3.01T 2.85T 3.04T
propertyPlantEquipmentNet 640.15B 611.86B 547.16B 512.04B 551.32B 524.33B 485.93B 478.99B 455.82B 439.97B
goodwill 21.43B 21B 20.34B 19.54B 22.64B 22.13B 21.66B 21.4B 21.14B 20.4B
intangibleAssets 18.19B 18.59B 18.63B 18.52B 19.99B 20.31B 19.4B 19.52B 19.34B 19.2B
goodwillAndIntangibleAssets 39.62B 39.58B 38.93B 38.06B 42.62B 42.44B 41.06B 40.93B 40.47B 39.6B
longTermInvestments 456.23B 446.26B 444.39B 374.15B 392.26B 18.88B 46.98B 408.81B 235.71B 393.28B
taxAssets 29.89B 27.79B 25.07B 24.47B 25.75B 24.01B 22.65B 20.31B 20.43B 20.2B
otherNonCurrentAssets 11.94B 14.13B 17.06B 30.38B 41.76B 409.07B 379.45B 11.6B 172.92B 10.77B
totalNonCurrentAssets 1.18T 1.14T 1.07T 979.1B 1.05T 1.02T 976.06B 960.63B 925.36B 903.82B
otherAssets - - - - - - - - - -
totalAssets 5.23T 5.09T 4.89T 4.14T 4.59T 4.39T 4.27T 3.97T 3.77T 3.94T
totalPayables 1.36T 1.37T 1.66T 1.33T 1.48T 1.42T 1.38T 904.63B 728.79B 893.12B
accountPayables 1.32T 1.33T 1.38T 1T 1.13T 1.13T 1.15T 891.11B 728.79B 893.12B
otherPayables 36.27B 42.06B 274.3B 328.58B 346B 283.43B 231.98B 27.04B - -
accruedExpenses 76.03B 86.61B - - - - - 93.84B 82.82B 108.79B
shortTermDebt 943.77B 946.99B 922.75B 666.13B 761.73B 642.78B 595.85B 555.77B 576.95B 648.99B
capitalLeaseObligationsCurrent - 9.23B 7.12B 8.65B 7.54B 7.06B 7.69B 6.44B 5.64B 5.74B
taxPayables - - 27.29B 19.71B 28.29B 27.48B 15.22B 13.52B 24.19B 24.74B
deferredRevenue 41.45B 43.76B 1.33B 1.24B 1.02B 916.92M 979.95M 29.65B 303.22B 26.38B
otherCurrentLiabilities 371.52B 255.61B 116.7B 123.35B 110.92B 108.49B 105.71B 281.11B 20.73B 252.69B
totalCurrentLiabilities 2.79T 2.7T 2.7T 2.13T 2.36T 2.17T 2.09T 1.87T 1.72T 1.91T
longTermDebt 314.8B 305.22B 272.71B 290.29B 299.03B 287.79B 296.93B 292.14B 288.42B 271.63B
capitalLeaseObligationsNonCurrent 30.96B 30.65B 25.2B 24.56B 27.47B 23.92B 23.16B 23.75B 17.83B 16.71B
deferredRevenueNonCurrent 1.29B 1.28B 40.73M 41.49M 41.58M 42M 44.76M 1.42B 2.25B 1.43B
deferredTaxLiabilitiesNonCurrent 56.79B 49.98B 41.59B 37.26B 40.39B 37.39B 47.2B 41.88B 41.73B 40.67B
otherNonCurrentLiabilities 41.67B 31.12B 31.27B 24.73B 23.31B 18.99B 16.83B 9.02B 14.43B 10.26B
totalNonCurrentLiabilities 445.51B 418.26B 370.77B 376.84B 390.2B 368.09B 384.11B 368.2B 364.66B 339.27B
otherLiabilities - - - - - - - 5.53B - -
capitalLeaseObligations 30.96B 39.88B 32.32B 33.21B 35.01B 30.98B 30.85B 30.19B 23.47B 22.45B
totalLiabilities 3.24T 3.12T 3.07T 2.51T 2.75T 2.54T 2.47T 2.25T 2.08T 2.25T
treasuryStock -15.19M -15.15M -15.19M -15.19M -15.19M -15.19M -15.19M -15.19M -15.19M -15.19M
preferredStock - - - - - - - - - -
commonStock 140.26B 139.64B 139.64B 138.92B 138.92B 138.92B 138.91B 138.63B 138.63B 138.63B
retainedEarnings 1.24T 1.29T 1.14T 1.08T 985.99B 1.02T 1.3T 1.03T 1.22T 987.7B
additionalPaidInCapital 124.44B 120.89B 221.51B 198.65B 199.24B 197.92B 193.78B 89.6B 199.57B 198.65B
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 50.44B 45.64B 86.89B 65.15B 59.12B 63.31B 67.65B 35.05B 32.51B 53.15B
depreciationAndAmortization 26.93B 25.9B 24.95B 23.48B 23.52B 26.51B 21.62B 19.49B 20.27B 21.07B
deferredIncomeTax - - - - - - - - - 36.84B
stockBasedCompensation - 616.61M 635.14M 884.54M 597.18M 615.35M 264.4M 666.65M 681M 615.08M
changeInWorkingCapital -84.59B 180.66B -150.01B 2.78B -109.6B 98.78B -133.54B -17.61B -32.87B 82.7B
accountsReceivables 37.59B 112.74B -285.53B 37.75B 101.3B 51.18B -318.54B -145.14B 174.54B 99.43B
inventory -83.61B 152.19B -221.71B 6.7B -193.43B 50.88B -69.25B -49.67B -7.98B 25.77B
accountsPayables -35.08B -95.09B 11.14B -1.15B -568.54M -520.95M 7.79B 156.08B -174.16B -45.6B
otherWorkingCapital -3.49B 10.82B 357.23B -41.67B -17.47B -3.29B 254.25B 21.12B -22.42B 3.1B
otherNonCashItems 10.96B 29.18B -33.88B -19.36B -24.7B -4.55B -18.42B -12.05B -5.01B -31.36B
netCashProvidedByOperatingActivities 3.75B 281.38B -71.41B 72.94B -51.06B 184.66B -62.42B 25.54B 18.25B 163.01B
investmentsInPropertyPlantAndEquipment -43.86B -68.54B -35.65B -33.35B -43.84B -43.19B -33.3B -30.83B -36.13B -45.32B
acquisitionsNet 2B 6.41B 2.84B 475.71M 4.49B -918.14M -1.48B -12.65B 4.16B 7.14B
purchasesOfInvestments -5.96B -122.63B -71.04B 24.83B -31.76B -23.55B -139.33B -54.57B -1.71B -67.09B
salesMaturitiesOfInvestments 6.64B 596.16M -10.27B 13.12B 141.04M 632.76M 1.35B -9.38B 15.41B 833.63M
otherInvestingActivities 763.12M -115.8M 25.13B 19.12B 7.42B 4.31B 19.63B -14.45B 893.98M -1.8B
netCashProvidedByInvestingActivities -40.42B -184.28B -88.99B 24.2B -63.55B -62.72B -153.14B -121.88B 8.69B -106.23B
netDebtIssuance -10.7B 22.03B 217.05B -43.99B 120.74B 32.9B 52.9B -24.15B -68.8B -41.14B
longTermNetDebtIssuance 36.63B -4.79B 2.77B -1.89B 9.06B 28.42B -7.91B -16.53B -12.46B -17.5B
shortTermNetDebtIssuance -47.33B 26.82B 214.28B -42.1B 111.69B 4.49B 60.82B -7.62B -56.34B -23.65B
netStockIssuance - - - - - - - - - -
netCommonStockIssuance - - - - - - - - - -
commonStockIssuance - - - - - - - - - -
commonStockRepurchased - - - - - - - - - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid - 660.77M -91.25B 66.68M -17.85B -18.8M -74.86B - - -
commonDividendsPaid - 660.77M -91.25B 66.68M -17.85B -18.8M -74.86B - - -
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -7.44B -1.54B -10.51B -10.15B -9.34B -16.41B -22.03B -1.6B -19.04B -1.44B
netCashProvidedByFinancingActivities -18.14B 21.14B 115.29B -54.07B 93.55B 16.47B -43.99B -25.75B -87.84B -42.58B