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JD.com, Inc.

NASDAQ:JD

$29.28 USD

$0.44 (1.53%)

Volume
9.66M
Average Volume
9.49M
Market Capitalization
$39.54B
P/E Ratio
20.33
Dividend Yield
3.39%
Price Target
$36.00
Year High
$36.86
Year Low
$24.51
Day High
Day Low
Payout Ratio
$0.75
Current Ratio
$1.18

JD Financial

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 1.31T 1.16T 1.08T 1.05T 951.59B 745.8B 576.89B 462.02B 362.33B 260.12B
costOfRevenue 1.19T 1.05T 924.96B 899.16B 822.53B 636.69B 492.47B 396.07B 311.52B 220.7B
grossProfit 121.85B 113.44B 159.7B 147.07B 129.07B 109.11B 84.42B 65.95B 50.81B 39.42B
researchAndDevelopmentExpenses 22.23B 17.03B 16.39B 16.89B 16.33B 16.15B 14.62B 12.14B 6.65B 5.38B
generalAndAdministrativeExpenses 11.98B 8.89B 9.71B 11.05B 11.56B 6.41B 5.49B 37.17B 30.08B 25.61B
sellingAndMarketingExpenses 83.95B 47.95B 40.13B 37.77B 38.74B 27.16B 22.23B 19.24B 14.92B 10.57B
sellingGeneralAndAdministrativeExpenses 95.93B 56.84B 49.84B 48.82B 50.3B 33.56B 27.72B 56.41B 45B 36.19B
otherExpenses 916M 834M 67.44B 61.63B 58.29B 47.05B 33.08B 95.18M - -
operatingExpenses 119.08B 74.71B 133.68B 127.35B 124.92B 96.76B 75.43B 68.55B 51.65B 41.57B
costAndExpenses 1.31T 1.12T 1.06T 1.03T 947.45B 733.46B 567.89B 464.62B 363.17B 262.27B
netInterestIncome -2.8B 6.46B 6.7B 3.64B 3B 1.63B 1.06B 1.26B 1.57B 608.28M
interestIncome - 9.35B 9.58B 5.74B 4.21B 2.75B 1.79B 2.12B 2.53B 1.23B
interestExpense 2.8B 2.9B 2.88B 2.11B 1.21B 1.13B 725.01M 854.54M 963.74M 618.57M
depreciationAndAmortization 8.7B 7.79B 8.29B 7.24B 6.23B 6.07B 5.83B 5.56B 4.11B 3.37B
ebitda 36.83B 47.36B 42.82B 23.21B 4.86B 58.01B 20.25B 4.04B 1.08B 2.16B
ebit 28.13B 39.57B 34.53B 15.97B -1.37B 51.94B 14.42B -1.52B 1.08B -1.26B
nonOperatingIncomeExcludingInterest -25.35B -834M -8.51B 3.75B 5.51B -39.6B -5.42B -1.1B -1.92B 11.68M
operatingIncome 2.77B 38.74B 26.02B 19.72B 4.14B 12.34B 9B -2.62B -835.48M -2.14B
totalOtherIncomeExpensesNet 22.55B 12.8B 5.62B -5.86B -6.72B 38.48B 4.7B 245.45M 956.44M -630.25M
incomeBeforeTax 25.32B 51.54B 31.65B 13.87B -2.58B 50.82B 13.69B -2.37B 120.96M -1.88B
incomeTaxExpense 2.18B 6.88B 8.39B 4.18B 1.89B 1.48B 1.8B 426.87M 139.59M 166.39M
netIncomeFromContinuingOperations 23.14B 44.66B 23.26B 9.69B -4.47B 49.34B 11.89B -2.8B -18.63M -2.05B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - 6.92M -1.37B
netIncome 19.63B 41.36B 24.17B 10.38B -3.56B 49.4B 12.18B -2.49B 128.76M -2B
netIncomeDeductions - - - 170M 2M 157M - - - -
bottomLineNetIncome 19.63B 41.36B 24.17B 10.21B -3.56B 49.25B 12.18B -2.49B -152.26M -3.81B
eps 13.78 27.66 15.38 6.64 -2.3 32.7 8.36 -1.74 0.1 -2.4
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 149.72B 108.35B 71.89B 78.86B 70.77B 86.08B 5.73B 34.26B 25.69B 19.77B
shortTermInvestments 75.79B 125.64B 118.25B 141.1B 114.56B 60.58B 3.53B 2.04B 8.59B 7.17B
cashAndShortTermInvestments 225.51B 234B 190.15B 219.96B 185.33B 146.66B 9.26B 36.3B 34.28B 26.95B
netReceivables 29.49B 30.4B 22.42B 26.72B 17.4B 13.78B 1.72B 14.25B 32.29B 17.46B
accountsReceivables 27.35B 25.6B 20.3B 20.58B 11.9B 7.11B 888.72M 11.11B 16.36B 16.18B
otherReceivables 2.14B 4.8B 2.11B 6.14B 5.5B 6.67B 830.57M - - 594.95M
inventory 101.35B 89.33B 68.06B 77.95B 75.6B 58.93B 8.4B 44.03B 41.7B 28.91B
prepaids - 7.62B 2.75B 3.84B 3.96B 3.77B - 477.11M 394.57M 257.12M
otherCurrentAssets 18.3B 25.36B 24.44B 22.61B 17.38B 11.66B 585.45M 7.09B 6.37B 26.42B
totalCurrentAssets 374.66B 386.7B 307.81B 351.07B 299.67B 234.8B 19.97B 104.86B 115.03B 106.93B
propertyPlantEquipmentNet 129.06B 113.43B 100.82B 88.51B 58.75B 45.99B 5.04B 27.64B 15.77B 9.39B
goodwill 26.31B 25.71B 19.98B 23.12B 12.43B 10.9B 953.77M 6.64B 6.65B 6.54B
intangibleAssets 7.73B 44.63B 46.5B 42.99B 20.16B 17.59B 590.04M 15.49B 13.74B 10.9B
goodwillAndIntangibleAssets 34.04B 70.34B 66.48B 66.11B 32.6B 28.49B 1.54B 22.13B 20.39B 17.44B
longTermInvestments 103.88B 116.22B 137.59B 69.25B 82.31B 97.59B 8.18B 47.26B 28.58B 15.24B
taxAssets 5.24B 2.46B 1.74B 1.54B 1.11B 533M 11.56M 103.16M 158.25M 8.06B
otherNonCurrentAssets 48.76B 9.09B 14.52B 18.77B 22.07B 14.89B 2.54B 7.18B 4.12B 3.32B
totalNonCurrentAssets 320.98B 311.54B 321.15B 244.18B 196.84B 187.49B 17.32B 104.31B 69.03B 53.44B
otherAssets - - - - - - - - - -
totalAssets 695.64B 698.23B 628.96B 595.25B 496.51B 422.29B 37.29B 209.16B 184.05B 160.37B
totalPayables 195.51B 205.62B 177.1B 170.23B 145.1B 119.36B 13.27B 85.67B 78.73B 49.08B
accountPayables 188.5B 192.86B 166.17B 160.61B 140.48B 106.82B 12.98B 79.99B 74.34B 46.04B
otherPayables 7.01B 12.76B 10.93B 9.62B 4.62B 12.54B 289.39M 5.69B 4.4B 3.04B
accruedExpenses - 18.69B 15.83B 15.66B 11.48B 2.28B 723.19M 987.44M 611.67M 62.18M
shortTermDebt 20.94B 7.58B 5.03B 12.15B 4.37B 3.26B 516.37M 4.54B 12.88B 17.72B
capitalLeaseObligationsCurrent - 7.61B 7.76B 7.69B 6.66B 5.51B - - - -6.61B
taxPayables - 9.49B 7.31B 5.93B 2.57B 3.03B 2.02B 825.68M 658.22M 575.85M
deferredRevenue 39.12B 34.53B 33.72B 37.06B 32.56B 24.42B 2.79B 15B 15.2B 12.85B
otherCurrentLiabilities 50.7B 25.5B 26.21B 23.77B 21.46B 19.18B 2.8B 14.66B 10.82B 25.28B
totalCurrentLiabilities 306.27B 299.52B 265.65B 266.56B 221.64B 174.02B 20.1B 120.86B 118.25B 104.74B
longTermDebt 62.51B 56.48B 41.97B 30.23B 9.39B 12.53B 1.44B 9.87B 10.92B 10.91B
capitalLeaseObligationsNonCurrent 23.72B 18.11B 13.68B 14.98B 13.72B 10.25B 792.91M - - -
deferredRevenueNonCurrent - 502M 964M 1.11B 1.3B 1.62B 278.89M 463.15M 1.27B 2.16B
deferredTaxLiabilitiesNonCurrent 8.02B 9.5B 9.27B 6.51B 1.9B 1.92B 192.23M 828.47M 882.25M 907.36M
otherNonCurrentLiabilities 1.15B 835M 1.06B 1.74B 1.79B 332M 32.43M 308.49M 2.49B 440.67M
totalNonCurrentLiabilities 95.41B 85.42B 66.93B 54.57B 28.09B 26.65B 2.74B 11.47B 13.42B 14.41B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 23.72B 25.71B 21.43B 22.67B 20.39B 15.76B 792.91M - - -6.61B
totalLiabilities 401.67B 384.94B 332.58B 321.13B 249.72B 200.67B 22.84B 132.34B 131.67B 119.15B
treasuryStock - -27.74B -3.41B -2.49B -2.97B -1.22B - -3.78B -4.46B -5.18B
preferredStock - - - - - - - - - -
commonStock - - - - - - 54696 380K 377K 377K
retainedEarnings - 83.26B 44.05B 29.3B 33.8B 37.42B -1.71B -24.04B -22.23B -21.86B
additionalPaidInCapital - 182.4B 184.2B 184.04B 182.58B 153.36B 13.02B 82.83B 76.25B 59.26B
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 23.14B 44.66B 24.17B 9.69B -4.47B 49.34B 11.89B -2.8B -18.63M -3.41B
depreciationAndAmortization 9.75B 8.9B 8.29B 7.24B 6.23B 6.07B 5.83B 5.56B 4.19B 3.63B
deferredIncomeTax -4.74B -1.14B 869M -549M -651M -718.93M 533.12M -10.45M -221.01M -34.78M
stockBasedCompensation 4.73B 3B 4.8B 7.55B 9.13B 4.16B 3.7B 3.66B 2.78B 2.34B
changeInWorkingCapital -7.04B 5.15B 15.88B 22.23B 19.52B 18.68B 7.77B 12.36B 18.77B 3.01B
accountsReceivables -3.07B -5.07B -1.06B -7.2B -5.63B -412.13M 3.94B 4.29B -545.99M -9.7B
inventory -5.78B -20.15B 10.97B -2.28B -16.7B 799.36M -13.92B -2.34B -12.79B -8.37B
accountsPayables -4.91B 27.84B 4.61B 17.66B 32.58B 11.09B 10.39B 5.47B 26.11B 13.69B
otherWorkingCapital 6.71B 2.53B 1.36B 14.04B 9.26B 7.2B 7.35B 4.94B 6B 7.38B
otherNonCashItems -6.84B -2.47B 5.51B 11.66B 12.54B -34.98B -4.93B 2.12B -682.63M 3.23B
netCashProvidedByOperatingActivities 18.99B 58.1B 59.52B 57.82B 42.3B 42.54B 24.78B 20.88B 24.82B 8.77B
investmentsInPropertyPlantAndEquipment -13.79B -13.2B -20.5B -21.98B -18.57B -7.67B -3.51B -21.37B -11.36B -4.46B
acquisitionsNet 841M -5.35B -995M -19.77B -11.49B -15.18B -6.94B -15.81B 6.86B -8.24B
purchasesOfInvestments -80.25B -148.46B -268.53B -183.31B -170.5B -66.87B -25.27B -7.08B -16.11B -42.25B
salesMaturitiesOfInvestments 136.52B 167.9B 225.5B 171.47B 126.53B 34.29B 3.03B 9.37B 6.21B 19.8B
otherInvestingActivities -1.49B -1.77B 4.98B -434M -219.07M -2.38B 7.35B 8.81B -23.1B -13.12B
netCashProvidedByInvestingActivities 41.83B -871M -59.54B -54.03B -74.25B -57.81B -25.35B -26.08B -37.5B -48.27B
netDebtIssuance 10.27B 14.37B 3.11B 11.84B -2.12B 4.79B -4.05B -9.09B 3.95B 14.28B
longTermNetDebtIssuance 10.27B 14.37B 1.96B 10.44B -3.28B 6.61B - 2.89B 16.5B 15.66B
shortTermNetDebtIssuance - - 1.15B 1.4B 1.15B -1.82B -4.05B -11.98B -12.55B -1.38B
netStockIssuance -21.4B -25.91B -2.5B -1.82B -5.25B 31.47B -131M 19.28B - -5.34B
netCommonStockIssuance -21.4B -25.91B -2.5B -1.82B -5.25B 31.03B -131M 3.33B - -5.34B
commonStockIssuance 33M - - - - 31.34B - 3.53B 873.25M -
commonStockRepurchased -21.43B -25.91B -2.5B -1.82B -5.25B -312M -131M -205.89M - -5.34B
netPreferredStockIssuance - - - - - 443M - 15.96B - -
netDividendsPaid -10.38B -8.26B -6.74B -13.09B - - - - - -
commonDividendsPaid -10.38B -8.26B -6.74B -13.09B - - - - - -
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -5.22B -1.2B 317M 4.25B 26.87B 34.81B 6.76B 1.03B 15.28B 31.76B
netCashProvidedByFinancingActivities -26.73B -21B -5.81B 1.18B 19.5B 71.07B 2.57B 11.22B 19.23B 40.7B
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 313.78B 352.28B 299.06B 356.66B 301.08B 346.99B 260.39B 291.4B 260.05B 306.08B
costOfRevenue 261.35B 363.39B 270.59B 300.02B 253.23B 313.99B 231.62B 245.46B 220.7B 262.58B
grossProfit 52.43B -11.11B 28.47B 56.64B 47.85B 33B 28.76B 45.94B 39.35B 43.5B
researchAndDevelopmentExpenses 6.79B 6.66B 5.65B 5.3B 4.62B 4.38B 4.4B 4.22B 4.03B 4.34B
generalAndAdministrativeExpenses 3.59B 3.18B 2.99B 3.27B 2.55B 2.46B 2.32B 2.13B 2.14B 2.38B
sellingAndMarketingExpenses 15.37B 25.69B 21.05B 27.01B 10.2B 16.83B 10B 11.87B 8.95B 13.11B
sellingGeneralAndAdministrativeExpenses 18.96B 28.86B 24.04B 30.28B 12.75B 19.29B 12.32B 14B 11.09B 15.49B
otherExpenses 22.9B -40.79B -163M 21.92B 19.94B 834M - 17.22B 16.53B 21.65B
operatingExpenses 48.65B -5.26B 29.52B 57.5B 37.32B 24.5B 16.72B 35.44B 31.65B 41.48B
costAndExpenses 310B 358.13B 300.11B 357.52B 290.55B 338.5B 248.34B 280.9B 252.35B 304.05B
netInterestIncome -681.85M -830M -730M -643M -600M -926M -681M -688M 1.99B 8.65B
interestIncome - - - - - - - - 2.59B 8.65B
interestExpense 681.85M 830M 730M 643M 600M 926M 681M 688M 601M -
depreciationAndAmortization 2.65B 2.05B 2.26B 2.1B 2.29B 3.06B 2B 1.93B 2.22B 3.15B
ebitda 10.38B 2.26B 8.89B 9.44B 16.23B 12.39B 6.27B 18.24B 11.88B 7.38B
ebit 7.73B 209M 6.63B 7.34B 13.94B 9.32B 4.28B 16.3B 9.67B 4.23B
nonOperatingIncomeExcludingInterest -3.94B -6.06B -7.68B -8.2B -3.41B -834M 7.77B -5.8B -1.97B -2.21B
operatingIncome 3.78B -5.85B -1.05B -859M 10.53B 8.49B 12.04B 10.5B 7.7B 2.02B
totalOtherIncomeExpensesNet 3.26B 4.5B 7.68B 7.56B 2.81B 3.12B 3.2B 5.12B 1.36B 1.28B
incomeBeforeTax 7.05B -1.35B 6.63B 6.7B 13.34B 11.61B 15.24B 15.62B 9.06B 3.31B
incomeTaxExpense 1.25B -124M 252M -10M 2.06B 750M 2.41B 2.02B 1.7B 1.39B
netIncomeFromContinuingOperations 5.79B -1.23B 6.38B 6.71B 11.28B 10.86B 12.84B 13.59B 7.36B 1.91B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome 5.07B -2.71B 5.28B 6.18B 10.89B 9.85B 11.73B 12.64B 7.13B 3.39B
netIncomeDeductions - - - - - - - - - 30M
bottomLineNetIncome 5.07B -2.71B 5.28B 6.18B 10.89B 9.85B 11.73B 12.64B 7.13B 3.36B
eps 3.72 -1.8 3.72 4.34 7.52 6.78 8.04 8.4 4.56 2.16
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 114.94B 149.72B 113.07B 116.55B 96.78B 108.35B 99.09B 84.5B 81.63B 71.89B
shortTermInvestments 99.93B 75.79B 85.2B 97.29B 97.38B 125.64B 91.8B 117.41B 90.37B 118.25B
cashAndShortTermInvestments 214.87B 225.51B 198.27B 213.84B 194.16B 234B 190.89B 201.9B 172B 190.15B
netReceivables 26.34B 29.49B 41.49B 43.97B 34.72B 30.4B 22.88B 25.14B 20.48B 22.42B
accountsReceivables 25.34B 27.35B 39.74B 41.98B 31.38B 25.6B 19.71B 21.64B 17.54B 20.3B
otherReceivables 1B 2.14B 1.76B 1.99B 3.34B 4.8B 3.17B 3.5B 2.94B 2.11B
inventory 102.88B 101.35B 101B 103.54B 95.43B 89.33B 72.88B 70.64B 67.99B 68.06B
prepaids - - 8.11B 6.04B 6.14B 7.62B 3.38B 2.09B 2.39B 2.75B
otherCurrentAssets 19.21B 18.3B 30.39B 26.64B 26.77B 25.36B 21.06B 22.43B 21.21B 24.44B
totalCurrentAssets 363.3B 374.66B 379.26B 394.03B 357.23B 386.7B 311.1B 322.2B 284.07B 307.81B
propertyPlantEquipmentNet 130.41B 129.06B 126.75B 121.36B 115.71B 113.43B 113.56B 107.07B 102.26B 100.82B
goodwill 26.19B 26.31B 27.59B 25.71B 25.71B 25.71B 21.73B 21.73B 19.98B 19.98B
intangibleAssets 7.43B 7.73B 44.88B 44.43B 44.33B 44.63B 44.69B 45.12B 45.27B 46.5B
goodwillAndIntangibleAssets 33.62B 34.04B 72.47B 70.14B 70.04B 70.34B 66.42B 66.85B 65.25B 66.48B
longTermInvestments 103.64B 103.88B 120.99B 109.62B 123.89B 116.22B 142.37B 141.97B 135.42B 137.59B
taxAssets 5.61B 5.24B 4.58B 2.88B 2.43B 2.46B 1.66B 1.59B 1.71B 1.74B
otherNonCurrentAssets 46.58B 48.76B 9.48B 8.9B 8.56B 9.09B 8.45B 11.95B 13.11B 14.52B
totalNonCurrentAssets 319.86B 320.98B 334.26B 312.91B 320.63B 311.54B 332.46B 329.44B 317.75B 321.15B
otherAssets - - - - - - - - - -
totalAssets 683.16B 695.64B 713.53B 706.94B 677.86B 698.23B 643.56B 651.64B 601.82B 628.96B
totalPayables 190.55B 195.51B 197.58B 218.63B 185.19B 205.62B 172.04B 190.08B 152.32B 177.1B
accountPayables 186.52B 188.5B 189.8B 211.71B 176.74B 192.86B 162.5B 182.25B 146.83B 166.17B
otherPayables 4.03B 7.01B 7.78B 6.92B 8.45B 12.76B 9.54B 7.83B 5.49B 10.93B
accruedExpenses - - 46.94B 44.56B 50.63B 18.69B 41.64B 41.98B 48.15B 15.83B
shortTermDebt 21.14B 20.94B 20.61B 15.23B 4.23B 7.58B 9.68B 5.6B 5.27B 5.03B
capitalLeaseObligationsCurrent - - 8.9B 8.28B 7.8B 7.61B 7.68B 7.84B 7.86B 7.76B
taxPayables - - 7.53B 5.98B 5.5B 9.49B 9B 7.34B 4.77B 7.31B
deferredRevenue 41.67B 39.12B 42.52B 35.9B 36.22B 34.53B 34.52B 34.72B 32.24B 33.72B
otherCurrentLiabilities 54.51B 50.7B - 25M 65M 25.5B - - 262M 26.21B
totalCurrentLiabilities 307.87B 306.27B 316.55B 322.63B 284.13B 299.52B 265.55B 280.23B 246.1B 265.65B
longTermDebt 62.42B 62.51B 59.96B 56.6B 56.25B 56.48B 53.85B 56.78B 42.59B 41.97B
capitalLeaseObligationsNonCurrent 24.05B 23.72B 22.62B 20.68B 19.15B 18.11B 16.79B 15.96B 14.26B 13.68B
deferredRevenueNonCurrent - - 324M 429M 424M 502M 565M 707M 833M 964M
deferredTaxLiabilitiesNonCurrent 7.98B 8.02B 8.75B 8.39B 8.44B 9.5B 9.15B 9.1B 9.1B 9.27B
otherNonCurrentLiabilities 1.15B 1.15B 907M 926M 797M 835M 909M 904M 979M 1.06B
totalNonCurrentLiabilities 95.61B 95.41B 92.56B 87.02B 85.06B 85.42B 81.26B 83.46B 67.76B 66.93B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 24.05B 23.72B 31.52B 28.96B 26.95B 25.71B 24.47B 23.81B 22.12B 21.43B
totalLiabilities 403.48B 401.67B 409.11B 409.65B 369.19B 384.94B 346.81B 363.69B 313.86B 332.58B
treasuryStock - - - - - -27.74B - - -11.45B -3.41B
preferredStock - - - - - - - - - -
commonStock - - 231.93B 227.16B 234.32B - 228.61B - - -
retainedEarnings - - - - - 83.26B - - 42.92B 44.05B
additionalPaidInCapital - - - - - 182.4B - - 184.04B 184.2B
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 5.1B 798M 5.28B 6.18B 10.89B 9.85B 11.73B 12.64B 7.36B 3.39B
depreciationAndAmortization 2.66B 5.02B 2.26B 2.1B 364M - 2B 1.93B 2.22B 3.15B
deferredIncomeTax - -4.74B - - - - - - - -
stockBasedCompensation 913M 1.14B 1.16B 1.66B 767M - 778M 666M 759M 980M
changeInWorkingCapital - -7.04B - - - -24.85B - - -22.39B 13.65B
accountsReceivables - -3.07B - - - -4.55B - - 2.55B -310M
inventory - -5.78B - - - -21.83B - - 430M 10.97B
accountsPayables - -4.91B - - - - - - -17.48B -
otherWorkingCapital - 6.71B - - - 1.52B - - -7.88B 2.99B
otherNonCashItems -8.12B 25.7B -16.72B 14.47B -30.28B 39.89B -20.73B 35.49B 732M -1.56B
netCashProvidedByOperatingActivities 555M 20.88B -8.04B 24.41B -18.26B 24.89B -6.22B 50.74B -11.32B 19.61B
investmentsInPropertyPlantAndEquipment -5.06B -5.84B -2.6B -3.03B -2.32B - -5.36B -3.32B -2.88B -8.69B
acquisitionsNet - 841M - - - - - - 70M -
purchasesOfInvestments - -80.25B - - - - - - -24.31B -
salesMaturitiesOfInvestments - 136.52B - - - - - - 55.31B -
otherInvestingActivities -22.79B -33.74B 2.44B 11.25B 18.56B -12.48B 27.08B -35.21B 224M -54.38B
netCashProvidedByInvestingActivities -27.86B 17.53B -154M 8.22B 16.24B -12.48B 21.72B -38.53B 28.41B -63.07B
netDebtIssuance - 10.27B - - - - - - 904M -
longTermNetDebtIssuance - 10.27B - - - - - - 535M -
shortTermNetDebtIssuance - - - - - - - - 369M -
netStockIssuance - -21.4B - - - -25.91B - - -8.36B -2.5B
netCommonStockIssuance - -21.4B - - - -25.91B - - -8.36B -2.5B
commonStockIssuance - 33M - - - - - - - -
commonStockRepurchased - -21.43B - - - -25.91B - - -8.36B -2.5B
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid - -10.38B - - - -8.26B - - - -6.74B
commonDividendsPaid - -10.38B - - - -8.26B - - - -6.74B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -5.44B 6.5B 8B -12.44B -7.29B 31.39B -1.81B -8.97B 14M 8.49B
netCashProvidedByFinancingActivities -5.44B -15B 8B -12.44B -7.29B -2.78B -1.81B -8.97B -7.44B -745M