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KDDI Corporation

OTC:KDDIY

$17.56 USD

$0.03 (0.17%)

Volume
6.31K
Average Volume
408.1K
Market Capitalization
$69.29B
P/E Ratio
15.16
Dividend Yield
2.80%
Price Target
$
Year High
$18.67
Year Low
$12.95
Day High
Day Low
Payout Ratio
$0.42
Current Ratio
$0.56

KDDIY Financial

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 6.44T 5.92T 5.75T 5.67T 5.45T 5.31T 5.24T 5.08T 5.04T 4.75T
costOfRevenue 3.69T 3.41T 3.32T 3.26T 2.98T 2.93T 2.92T 2.87T 2.82T 2.67T
grossProfit 2.75T 2.51T 2.43T 2.41T 2.46T 2.38T 2.31T 2.21T 2.22T 2.08T
researchAndDevelopmentExpenses - - 27.72B 26.37B 25.08B 24.13B 24.01B 23.73B 20.13B 15.38B
generalAndAdministrativeExpenses - 1.43T 1.5T 1.41T 1.42T 1.36T - - - -
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 1.62T 1.43T 1.5T 1.41T 1.42T 1.36T 1.3T 1.21T 1.27T 1.17T
otherExpenses - -37.27B -27.72B -26.37B -46.09B -41.34B -24.01B -23.73B -20.13B -15.38B
operatingExpenses 1.62T 1.39T 1.5T 1.41T 1.4T 1.35T 1.3T 1.21T 1.27T 1.17T
costAndExpenses 5.31T 4.8T 4.83T 4.67T 4.39T 4.28T 4.22T 4.08T 4.09T 3.84T
netInterestIncome -5.82B -19.51B 11.65B 1.52B 2.46B -1.77B -6.05B -6.43B -7.95B -11.56B
interestIncome 29.97B 10.11B 21.87B 10.18B 10.2B 6.54B 5.33B 3.58B 4.04B 1.71B
interestExpense 35.79B 29.62B 10.22B 8.66B 7.75B 8.31B 11.38B 10.01B 11.98B 13.27B
depreciationAndAmortization 729.78B 686.79B 687.35B 697.15B 728.1B 727.44B 689.47B 562.28B 546.61B 545.18B
ebitda 1.86T 1.78T 1.62T 1.71T 1.78T 1.76T 1.71T 1.57T 1.5T 1.46T
ebit 1.13T 1.09T 934.64B 1.01T 1.05T 1.03T 1.02T 1.01T 957.88B 911.94B
nonOperatingIncomeExcludingInterest - 27.5B -7.79B -10.87B 7.18B 7.14B -8.4B -6.39B -8.92B -6.92B
operatingIncome 1.13T 1.12T 926.85B 1T 1.06T 1.04T 1.01T 1T 948.96B 905.02B
totalOtherIncomeExpensesNet 60.05B 22.79B 65.87B 74.54B 3.9B 661M 7.98B 7.8B 6.19B -9.12B
incomeBeforeTax 1.19T 1.1T 992.72B 1.08T 1.06T 1.04T 1.02T 1.01T 955.15B 895.9B
incomeTaxExpense 357.58B 338.52B 336.62B 339.48B 331.96B 331.45B 325.3B 309.15B 293.95B 253.28B
netIncomeFromContinuingOperations 827.74B 766.11B 656.1B 738.4B 732.54B 706.6B 695.4B 701.13B 661.2B 642.62B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome 749.76B 685.68B 637.87B 679.11B 672.49B 651.5B 639.77B 617.67B 572.53B 546.66B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 749.76B 685.68B 637.87B 679.11B 672.49B 651.5B 639.77B 617.67B 572.53B 546.66B
eps 97.47 84.67 75.32 77.57 75.01 71.04 68.93 64.78 58.86 55.41
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 1.08T 921.18B 887.21B 480.25B 796.61B 809.8B 369.2B 204.6B 200.83B 226.61B
shortTermInvestments - 22.98B 20.57B 364.72B 322.42B 30.27B 269.96B 41.96B 30.17B 16.97B
cashAndShortTermInvestments 1.08T 921.18B 887.21B 844.97B 1.12T 840.08B 639.16B 246.56B 231.01B 243.58B
netReceivables 4.15T 3.56T 2.69T 2.45T 2.2T 2.15T 2.17T 1.97T 1.7T 1.52T
accountsReceivables 3.24T 3.04T 2.7T 2.45T 2.16T 2.15T 2.17T 1.97T 1.7T 1.52T
otherReceivables 905.94B 519.23B - - 45.06B - - - - -
inventory 140.9B 132.74B 91.29B 99.04B 74.51B 69.82B 75.37B 90.59B 89.21B 77.66B
prepaids - - 77.97B 107.05B 71.28B 76.87B 60.77B 58.86B 83.92B 71.46B
otherCurrentAssets 231.22B 193.35B 505.32B 90.8B 202.38B 418.94B 79.48B 112.9B 81.88B 72.24B
totalCurrentAssets 5.6T 4.8T 4.25T 3.59T 3.67T 3.56T 3.02T 2.43T 2.15T 1.97T
propertyPlantEquipmentNet 3.54T 3.3T 3.21T 2.99T 2.97T 2.89T 2.79T 2.55T 2.44T 2.43T
goodwill 582.79B 595.83B 568.13B 541.06B 540.96B 540.42B 540.89B 539.69B 526.6B 477.87B
intangibleAssets 1.06T 1.08T 1.06T 1.05T 1.03T 1.02T 1.04T 946.84B 953.11B 922.48B
goodwillAndIntangibleAssets 1.65T 1.67T 1.63T 1.59T 1.57T 1.57T 1.58T 1.49T 1.48T 1.4T
longTermInvestments 7.53T 6.31T 4.26T 2.64T 787.16B 696.15B 1.45T 849.98B 304.7B 258.48B
taxAssets 26.37B 25.11B 17.95B 12.2B 12.33B 11.4B 23.78B 15.23B 106.05B 124.47B
otherNonCurrentAssets 800.91B 765.71B 777.18B 1.1T 2.08T 1.81T 722.61B - 95.65B 86.05B
totalNonCurrentAssets 13.54T 12.07T 9.89T 8.33T 7.42T 6.98T 6.56T 4.9T 4.42T 4.3T
otherAssets - - - 1M 1M - - - - 1M
totalAssets 19.15T 16.88T 14.15T 11.92T 11.08T 10.54T 9.58T 7.33T 6.57T 6.26T
totalPayables 1.15T 1.16T 899.12B 931.33B 797.5B 720.19B 327.55B 298.21B 286.39B 273.21B
accountPayables 977.33B 996.32B 801.93B 801.93B 670.62B 519.3B 147.64B 146.02B 142.76B 119.26B
otherPayables 174.78B 167.76B 161.15B 129.4B 126.87B 200.89B 179.92B 152.2B 143.64B 153.95B
accruedExpenses - - 39.61B 36.5B 88.64B 115.53B 32.19B 30.41B 30.49B 59.41B
shortTermDebt 2.42T 1.85T 407.01B 337.96B 427.85B 208.71B 153.26B 150.57B 329.56B 57.8B
capitalLeaseObligationsCurrent - 112.58B 118.02B 112.8B 112.72B 112.28B 110.91B 26.76B 24.68B 24.36B
taxPayables - - 161.15B 129.4B 126.87B 200.89B 179.92B 152.2B 143.64B 153.95B
deferredRevenue 103.41B 93.86B 84.95B 488.05B 241.23B 342.36B 336.27B 329.45B 199.58B 205.21B
otherCurrentLiabilities 6.31T 4.84T 4.42T 2.73T 2.35T 2.02T 2.05T 755.77B 567.1B 520.9B
totalCurrentLiabilities 9.98T 8.06T 5.97T 4.64T 4.02T 3.52T 3.01T 1.38T 1.44T 1.08T
longTermDebt 2.6T 2.3T 1.58T 914.23B 921.62B 1.15T 1.15T 1.04T 704.28B 909.67B
capitalLeaseObligationsNonCurrent 384.57B 292.89B 292B 286.44B 279.26B 288.65B 268.65B 57.4B 60.1B 64.81B
deferredRevenueNonCurrent 98.99B 87.46B 81.67B 76.26B 71.08B 71.67B 72.05B 77.44B 91.24B 206.32B
deferredTaxLiabilitiesNonCurrent 251.32B 244.16B 235.72B 188.1B 144.78B 100.07B 98.57B 100.68B 80.3B 75.92B
otherNonCurrentLiabilities 213.85B 243.24B 194.3B 151.66B 141.02B 147.42B 120.48B 63.19B 69.58B 76.48B
totalNonCurrentLiabilities 3.55T 3.17T 2.38T 1.62T 1.56T 1.76T 1.71T 1.34T 1.01T 1.33T
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 384.57B 405.47B 410.02B 399.24B 391.98B 400.92B 379.55B 84.16B 84.78B 89.17B
totalLiabilities 13.53T 11.23T 8.35T 6.25T 5.57T 5.28T 4.72T 2.72T 2.44T 2.41T
treasuryStock -825.64B -819.07B -845.09B -545.83B -299.83B -86.72B -156.55B -383.73B -338.25B -237.01B
preferredStock - - - - - - 19.66B 3.17B - 2.6B
commonStock 142.47B 141.85B 141.85B 141.85B 141.85B 141.85B 141.85B 141.85B 141.85B 141.85B
retainedEarnings 5.43T 5.5T 5.52T 5.22T 4.82T 4.41T 4.14T 4.14T 3.67T 3.35T
additionalPaidInCapital 258.74B 259.05B 310.59B 279.37B 279.37B 278.68B 280.59B 284.41B 289.58B 298.05B
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 749.76B 685.68B 637.87B 1.08T 1.06T 1.04T 1.02T 1.01T 955.15B 895.9B
depreciationAndAmortization 729.78B 686.79B 687.35B 697.15B 728.1B 727.74B 689.92B 562.4B 546.82B 545.19B
deferredIncomeTax - - - - -367.69B -331.64B - - - -
stockBasedCompensation - - - - 186M 182M - - - -
changeInWorkingCapital 55.67B -5.89B 277.35B -301.42B 128B 236.18B -182.08B -248.91B -196.19B -98.72B
accountsReceivables -1.53T -247.17B -243.86B -104.8B -51.62B -51.01B -205.41B -271.72B -219.12B -171.9B
inventory -7.94B -36.44B 7.64B -24.42B -4.58B 5.5B 15.06B -1.54B -12.18B 2.06B
accountsPayables 3.58B 94.06B 78.29B 5.4B 16.4B 75.45B 10.07B 23.01B 44.91B 69.58B
otherWorkingCapital 1.59T 1.73T 435.28B -177.6B 167.79B 206.25B -1.8B 1.35B -184B -100.78B
otherNonCashItems 175.5B -117.54B 103.93B -394.74B -84.45B 11.64B -205.19B -294.16B -244.37B -181.3B
netCashProvidedByOperatingActivities 1.71T 1.25T 1.71T 1.08T 1.47T 1.68T 1.32T 1.03T 1.06T 1.16T
investmentsInPropertyPlantAndEquipment -719.96B -682.93B -749.53B -634.12B -675.57B -624.64B -619.3B -602.14B -560.88B -519.57B
acquisitionsNet -29.23B -31.21B 18.94B -9.85B -8.38B 723M -11.96B -98.58B -69.54B -66.07B
purchasesOfInvestments -472.52B -636.33B -428.91B -394.37B -352.22B -165.29B -42.12B -13.19B -7B -54.16B
salesMaturitiesOfInvestments 71.61B 95.55B 333.02B 313.4B 284.46B 126.89B 65.48B 1.77B 2.56B 357M
otherInvestingActivities -2.77B 74.82B -5.96B -7.54B -9.9B 3.4B -3.04B -2.44B 1.01B 2.23B
netCashProvidedByInvestingActivities -1.15T -1.18T -832.43B -732.48B -761.59B -658.92B -610.95B -714.58B -633.85B -637.22B
netDebtIssuance 370.8B 878.55B 320.61B -500M -204.22B -56.28B - 143.58B 38.9B -134.61B
longTermNetDebtIssuance 405.03B 768.8B 196.98B -500M -204.22B -75.8B - 153.85B 38.9B -96.99B
shortTermNetDebtIssuance -34.23B 109.75B 123.63B 49.98B 17M 19.52B - -10.27B 27.57B -66.64B
netStockIssuance -424.13B -400B -300B -250.15B -213.76B -83.87B -150B -150B -150B -100B
netCommonStockIssuance -424.13B -400B -300B -250.15B -213.76B -83.87B -150B -150B -150B -100B
commonStockIssuance - - - - - 52.21B - - - -
commonStockRepurchased -424.13B -400B -300B -250.15B -213.76B -136.09B -150B -150B -150B -100B
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -319.73B -286.88B -297.58B -287.12B -271.36B -275.99B -257.01B -227.7B -219.88B -185.43B
commonDividendsPaid -319.73B -286.88B -297.58B -287.12B -271.36B -275.99B -257.01B -227.7B -219.88B -185.43B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -204.23B -225.22B -199.51B -132.07B -37.91B -169.42B -139.37B -76.83B -122.18B -65.75B
netCashProvidedByFinancingActivities -577.29B -33.56B -476.48B -669.84B -727.26B -585.57B -546.38B -310.95B -453.17B -485.78B
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 1.63T 1.58T 1.55T 9.94B 1.55T 1.51T 1.47T 1.39T 1.49T 1.49T
costOfRevenue 969.23B 896.46B 880.84B 5.63B 944.41B 872.97B 826.84B 765.35B 908.59B 858.36B
grossProfit 660.29B 687.41B 672.61B 4.31B 609.34B 635.51B 639.74B 623.79B 579.93B 628.2B
researchAndDevelopmentExpenses - - - - 37.33B - - - 27.72B -
generalAndAdministrativeExpenses - - - - - - - - 473.82B -
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 428.85B 2.44B 377.2B 363.22B 362.07B 356.69B 355.03B 353.18B 473.82B 344.71B
otherExpenses - 382.28B - -360.71B -44.16B -30.44B 1M - -27.72B -1M
operatingExpenses 428.85B 382.28B 377.2B 2.51B 355.24B 326.25B 355.04B 353.18B 473.82B 344.71B
costAndExpenses 1.4T 1.28T 1.26T 8.14B 1.3T 1.2T 1.18T 1.12T 1.38T 1.2T
netInterestIncome -9.45B -2.4B 9.96B -3.64B -12.84B 4.79B -19.54B 8.08B 2.67B -2.74B
interestIncome 986.8M 5.93B 17.46B 4.31B 1.7B 3.76B -6.75B 11.4B 5.56B 2.95B
interestExpense 10.44B 8.33B 7.5B 7.95B 14.54B -1.03B 12.79B 3.32B 2.88B 5.69B
depreciationAndAmortization 175.98B 175.11B 175.89B 1.19B 171.97B 171.38B 171.95B 171.5B 173.62B 173.16B
ebitda 407.42B 480.24B 492.16B 3.05B 422.68B 452.61B 458.54B 444.14B 265.99B 458.41B
ebit 231.44B 305.13B 316.27B 1.86B 250.71B 281.23B 286.59B 272.64B 92.37B 285.24B
nonOperatingIncomeExcludingInterest - - -20.86B -57.86M 3.4B 28.03B -1.89B -2.04B 13.73B -1.75B
operatingIncome 231.44B 305.13B 295.41B 1.8B 254.11B 309.26B 284.7B 270.6B 106.1B 283.49B
totalOtherIncomeExpensesNet 28.4B -378.72M 25.88B 9.89B -9.31B -12.99B -8.15B 16.4B 17.13B 2.74B
incomeBeforeTax 259.85B 304.75B 321.28B 1.87B 244.8B 296.28B 276.55B 287B 123.23B 286.24B
incomeTaxExpense 77.58B 96.82B 91.11B 558.66M 71.23B 93B 83.48B 90.8B 69.09B 91.37B
netIncomeFromContinuingOperations 182.27B 207.93B 230.17B 189.05B 170.39B 203.28B 193.06B 196.2B 54.14B 194.87B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - -1.02M 1.02M -998K - - - - - -
netIncome 164.54B 189.01B 210.2B 1.18B 149.15B 185.33B 174.25B 176.95B 92.28B 176.9B
netIncomeDeductions -1.02M 1.02M 1.02M -998K - - - - - -
bottomLineNetIncome 164.54B 189.01B 210.2B 171.12B 149.15B 185.33B 174.25B 176.95B 92.28B 176.9B
eps 21.57 25.1 55 21.51 18.41 23.1 21.56 21.25 11.07 21.15
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 1.08T 732.66B 910.45B 963.51B 921.18B 866.24B 1.13T 1.47T 887.21B 623.51B
shortTermInvestments - - 578.25B 30.44B 22.98B 34.69B 329.3B - 398.26B 399.48B
cashAndShortTermInvestments 1.08T 732.66B 1.49T 963.51B 921.18B 900.93B 1.13T 1.47T 887.21B 1.02T
netReceivables 4.15T 4.1T 3.36T 3.72T 3.56T 2.88T 3.12T 2.64T 2.69T 2.58T
accountsReceivables 3.24T 3.1T 3.12T 2.99T 3.04T 2.88T 2.73T 2.64T 2.29T 2.58T
otherReceivables 905.94B 996.59B 237.52B 732.09B 519.23B - 390.53B - 398.25B -
inventory 140.9B 138.16B 130.22B 113.66B 132.74B 130.86B 108.17B 92.99B 91.29B 124.65B
prepaids - - - - - - - -461.47B 77.97B -
otherCurrentAssets 231.22B 229.35B 198.42B 250.22B 193.35B 917.91B 215.35B 1.16T 505.32B 656.02B
totalCurrentAssets 5.6T 5.2T 5.18T 5.05T 4.8T 4.83T 4.58T 4.91T 4.25T 3.98T
propertyPlantEquipmentNet 3.54T 3.52T 3.43T 3.43T 3.3T 3.28T 3.23T 3.24T 3.21T 3.16T
goodwill 582.79B 584.45B 597.48B 597.19B 595.83B 579.95B 579.27B 580.92B 568.13B 582.78B
intangibleAssets 1.06T 1.02T 1.06T 1.07T 1.08T 1.03T 1.04T 1.05T 1.06T 1.05T
goodwillAndIntangibleAssets 1.65T 1.6T 1.66T 1.67T 1.67T 1.61T 1.61T 1.63T 1.63T 1.63T
longTermInvestments 7.53T 7.21T 7.05T 6.65T 6.31T 5.8T 5.64T 5.83T 4.31T 3.5T
taxAssets 26.37B 23.1B 23.41B 22.8B 25.11B 18.03B 18.53B 19.89B 17.95B 11.94B
otherNonCurrentAssets 800.91B 811.46B 680.25B 776.85B 765.71B 738.39B 729.84B 4.5B 727.08B 1.17T
totalNonCurrentAssets 13.54T 13.18T 12.84T 12.55T 12.07T 11.45T 11.23T 10.73T 9.89T 9.48T
otherAssets - - 1M - - - - - - -
totalAssets 19.15T 18.38T 18.02T 17.59T 16.88T 16.28T 15.81T 15.64T 14.15T 13.46T
totalPayables 1.15T 1.03T 1.1T 931.93B 1.16T 926.32B 1.13T 843.53B 1.06T 891.49B
accountPayables 977.33B 945.18B 933.14B 860.45B 996.32B 926.32B 968.66B 843.53B 899.12B 805.97B
otherPayables 174.78B 85.87B 162.08B 71.48B 167.76B 600.77M 162.38B 466.97M 161.15B 85.52B
accruedExpenses - - - - - - - - 39.61B -172.08B
shortTermDebt 2.42T 2.55T 2.7T 2.49T 1.85T 1.57T 1.29T 1.2T 407.01B 458.98B
capitalLeaseObligationsCurrent - - 121.08B 118.38B 112.58B 107.7B 108.59B 113.6B 118.02B 111.86B
taxPayables - - 162.08B - - - - 75.12B 161.15B 85.52B
deferredRevenue 103.41B 95.31B 693.53M 100.26B 93.86B 91.87B 94.86B 100.58B 84.95B 493.77B
otherCurrentLiabilities 6.31T 5.98T 5.4T 5.16T 4.84T 4.77T 4.6T 4.99T 4.26T 3.66T
totalCurrentLiabilities 9.98T 9.65T 9.32T 8.68T 8.06T 7.47T 7.23T 7.25T 5.97T 5.21T
longTermDebt 2.6T 2.31T 2.19T 2.22T 2.3T 2.27T 2.09T 1.79T 1.58T 1.67T
capitalLeaseObligationsNonCurrent 384.57B 391.09B 386.19B 391.24B 292.89B 291.95B 282.7B 287.92B 292B 287.71B
deferredRevenueNonCurrent 98.99B 97.26B 95.64B 92.1B 87.46B 84.77B 84.2B 495.46M 81.67B 80.05B
deferredTaxLiabilitiesNonCurrent 251.32B 266.33B 257.98B 252.6B 244.16B 254.08B 229.19B 1.42B 235.72B 241.88B
otherNonCurrentLiabilities 213.85B 213.28B 295.78B 302.49B 243.24B 241.3B 238.47B 519.29B 194.3B 192.31B
totalNonCurrentLiabilities 3.55T 3.28T 3.23T 3.26T 3.17T 3.14T 2.92T 2.59T 2.38T 2.48T
otherLiabilities - - - - - - 1M - - -
capitalLeaseObligations 384.57B 391.09B 507.26B 509.62B 405.47B 399.65B 391.28B 401.53B 410.02B 399.57B
totalLiabilities 13.53T 12.93T 12.54T 11.94T 11.23T 10.6T 10.15T 9.84T 8.35T 7.68T
treasuryStock -825.64B -822.63B -822.07B -422.22B -819.07B -758.73B -689.96B -419.16B -845.09B -813.62B
preferredStock - - - - - - - - - -
commonStock 142.47B 141.95B 141.85B 141.85B 141.85B 141.85B 141.85B 141.85B 141.85B 141.85B
retainedEarnings 5.43T 5.25T 5.33T 5.12T 5.5T 5.35T 5.3T 5.13T 5.52T 5.47T
additionalPaidInCapital 258.74B 257.89B 258.08B 258.63B 259.05B 306.94B 309.76B 310.32B 310.59B 308.64B
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 164.54B 189.01B 210.2B 171.12B 149.15B 185.33B 174.25B 176.95B 123.23B 286.24B
depreciationAndAmortization 175.98B 175.11B 175.89B 172.19B 171.97B 171.38B 171.95B 171.5B 173.62B 173.16B
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital 90.21B -222.76B 155.36B 166.96M 293.44B -408.69B -263.14B 521.91B 164.26B 106.75B
accountsReceivables -396.92B -430.38B -185.2B -3.09B 1.18T -139.17B -482.2B 71.64B 627.07B -357B
inventory -2.29B -8.12B -17.22B 131.38M 3.04B -22.38B -15.58B -1.51B 33.12B -22.45B
accountsPayables 23.17B 46.67B 53.93B -779.57M 77.21B 52.43B 14.74B -316.24M 83.47B -12.86B
otherWorkingCapital 466.25B 169.07B 303.86B 563.32B -971.32B -247.13B 219.91B 451.79B -579.4B 499.06B
otherNonCashItems 135.04B -58.5B 103.82B -11.5B -6.14B -172.63B 80.33B -97.34B 180.76B -208.18B
netCashProvidedByOperatingActivities 565.77B 82.86B 645.28B 331.98B 608.41B -224.61B 163.39B 773.02B 641.87B 357.97B
investmentsInPropertyPlantAndEquipment -221.57B -190.1B -123.24B -154.55B -217.07B -170.98B -142.7B -152.19B -187.61B -166.92B
acquisitionsNet -9.93B -13.97B -2.47B -2.11B -17.44B -1.8B -2.85B -9.49B 1.87B 1.63B
purchasesOfInvestments -48.23B -162.92B -135.33B -101.73B -12.23B -140.2B -11.78B -472.11B -9.41B -67.09B
salesMaturitiesOfInvestments 5.93B 34.29B 11.3B 16.69B 8.81B 9.83B 34.83B 42.08B 33.97B 31.52B
otherInvestingActivities -1.17B -2.11B 1.25B -689M -16.38B -34.36B 4.66B 657M 12.32B -4.95B
netCashProvidedByInvestingActivities -274.97B -334.81B -248.49B -242.39B -254.3B -337.5B -117.84B -591.05B -150.72B -205.81B
netDebtIssuance -92.78B 241.83B 3.25B 192.09B -144.21B 510.31B -29.13B 219.3B -14.73B 155.31B
longTermNetDebtIssuance 282.95B 192.53B -29.3B -40B -74B 224.6B 293.5B 219.3B -14.73B 56B
shortTermNetDebtIssuance -375.73B 49.3B 32.55B 232.09B -70.21B 155.46B -322.63B 2.27B -133.98B 113.88B
netStockIssuance 10.24B 7.56B -413.62B -4M -60.36B -68.79B -270.85B - -31.47B -18.4B
netCommonStockIssuance 10.24B 7.56B -413.62B -4M -60.36B -68.79B -270.85B - -31.47B -18.4B
commonStockIssuance - - - - - - - - - -
commonStockRepurchased 10.24B 7.56B -413.62B -4M -60.36B -68.79B -270.85B - -31.47B -18.4B
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid 7.53B -158.76B -289M -148.37B -121M -140.98B -1.05B -144.73B -152M -146.37B
commonDividendsPaid 7.53B -158.76B -289M -148.37B -121M -140.98B -1.05B -144.73B -152M -146.37B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -29.97B -30.58B -41.33B -88.94B -51.5B -56.31B -6.74B 322.42B -185.82B -16.38B
netCashProvidedByFinancingActivities -104.97B 60.05B -451.98B -45.22B -256.19B 244.23B -307.77B 396.99B -232.18B -25.83B