OTC : KMTUY

Komatsu Ltd.

$39.35 USD

$0.49 (1.26%)

Volume
2.01K
Average Volume
151.2K
Market Capitalization
$35.46B
P/E Ratio
15.10
Dividend Yield
3.04%
Price Target
Year High
$52.74
Year Low
$30.65
Day High
Day Low
Payout Ratio
$0.49
Current Ratio
$2.11
KMTUY Financial Statements
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 4.38T 4.1T 3.87T 3.54T 2.8T 2.19T 2.44T 2.73T 2.5T 1.8T
costOfRevenue 3.05T 2.78T 2.65T 2.5T 2.02T 1.61T 1.75T 1.89T 1.77T 1.29T
grossProfit 1.34T 1.32T 1.21T 1.04T 779.58B 581.06B 695.82B 840.08B 735.28B 516.56B
researchAndDevelopmentExpenses - - - 90.63B 77.48B 73.84B 74.76B 73.45B 73.62B 70.51B
generalAndAdministrativeExpenses - 658.86B 604.53B 545.51B 464.04B 408.72B 440.79B 440.69B 432.3B 339.99B
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 730.22B 658.86B 604.53B 545.51B 464.04B 408.72B 440.79B 440.69B 432.3B 339.99B
otherExpenses - 6.4B -1.52B -87.8B -80.33B -68.83B -77.33B -3.39B -15.74B -2.88B
operatingExpenses 730.22B 665.26B 603.01B 548.34B 461.19B 413.73B 438.22B 441.02B 443.65B 340.72B
costAndExpenses 3.78T 3.45T 3.26T 3.05T 2.48T 2.02T 2.19T 2.33T 2.21T 1.63T
netInterestIncome -30.2B -30.27B -33.36B -19.92B -6.89B -8.47B -17.21B -16.95B -13.12B -4.75B
interestIncome 26.35B 27.32B 21.15B 12.45B 5.33B 5.29B 7.38B 7.15B 5.26B 3.46B
interestExpense 56.55B 57.59B 54.51B 32.37B 12.22B 13.77B 24.59B 24.1B 18.37B 8.21B
depreciationAndAmortization 171.59B 163B 156.84B 149.69B 136.35B 133.13B 131.6B 131.46B 133.91B 104.3B
ebitda 777.2B 825.44B 787B 658.49B 473.14B 309.67B 379.3B 533.04B 401.64B 278.39B
ebit 605.61B 662.43B 630.17B 508.8B 336.79B 176.54B 247.71B 401.57B 310.18B 174.68B
nonOperatingIncomeExcludingInterest - -5.31B -22.98B -18.12B -19.78B -9.21B 3B -3.77B -41.68B -584M
operatingIncome 605.61B 657.12B 607.19B 490.68B 317.02B 167.33B 250.71B 397.81B 271.58B 174.1B
totalOtherIncomeExpensesNet -25.31B -42.77B -23.26B -8.96B 12.81B -1.79B -27.59B -20.34B 26.85B -7.63B
incomeBeforeTax 580.3B 614.36B 583.94B 481.72B 329.83B 165.54B 223.11B 377.47B 291.81B 166.47B
incomeTaxExpense 154.39B 145.63B 167.58B 135.55B 92.58B 46.92B 62.87B 106.6B 86.39B 50.4B
netIncomeFromContinuingOperations 425.91B 468.73B 416.36B 346.18B 237.25B 118.62B 163.68B 274.65B 208.96B 119.37B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome 399.09B 439.61B 393.43B 326.4B 224.93B 106.24B 153.84B 256.49B 196.41B 113.38B
netIncomeDeductions 212.06M - 351M 285M 244M - 75M 44M - -
bottomLineNetIncome 398.88B 439.61B 393.08B 326.11B 224.68B 106.15B 153.77B 256.45B 196.41B 113.38B
eps 439.4 473.44 415.96 345.22 237.97 112.43 162.93 271.86 208.25 120.26
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 441.61B 385.57B 403.18B 289.98B 315.36B 241.8B 247.62B 148.48B 144.4B 119.9B
shortTermInvestments - - - 4.49B 1.31B 1.32B 2.06B 2.33B 2.46B 2.29B
cashAndShortTermInvestments 441.61B 385.57B 403.18B 294.46B 316.67B 243.13B 249.67B 150.81B 146.86B 122.19B
netReceivables 1.41T 1.27T 1.26T 1.11T 954.58B 820.7B 744.4B 842.18B 792.71B 619.26B
accountsReceivables 1.41T 1.27T 1.26T 1.11T 954.58B 820.7B 744.4B 842.18B 792.71B 619.26B
otherReceivables - - - - - - - - - -
inventory 1.61T 1.41T 1.44T 1.23T 988.01B 793.85B 805.31B 837.55B 730.29B 533.9B
prepaids - - 21.44B 12.24B 16.03B 13.73B 14.52B 14.16B 9.83B 6.08B
otherCurrentAssets 241.24B 231.87B 187.34B 190.75B 145.99B 117.89B 132.89B 124.16B 117.87B 138.09B
totalCurrentAssets 3.7T 3.3T 3.31T 2.84T 2.42T 1.99T 1.95T 1.97T 1.8T 1.42T
propertyPlantEquipmentNet 1.06T 981.97B 977.29B 897.49B 881.26B 845.3B 811.13B 776.42B 740.53B 679.03B
goodwill 274.01B 245.83B 248.39B 207.06B 187.62B 170.69B 157.52B 161.92B 155.88B 40.07B
intangibleAssets 170.08B 169.95B 180.4B 167.29B 169B 168.98B 162.06B 166.41B 173.22B 61.08B
goodwillAndIntangibleAssets 444.09B 415.79B 428.8B 374.35B 356.62B 339.67B 319.58B 328.33B 329.1B 101.16B
longTermInvestments 1.04T 967.8B 82.23B 67.26B 58.73B 48.5B 45.92B 46.17B 42.29B 98.18B
taxAssets - - - 568.73B 128.71B 113.68B 107.29B 100.82B 98.21B 42.36B
otherNonCurrentAssets 201.78B 109.67B 834.15B 131.44B 500.92B 448.4B 422.98B 417.51B 364.83B 316.24B
totalNonCurrentAssets 2.75T 2.48T 2.32T 2.04T 1.93T 1.8T 1.71T 1.67T 1.57T 1.24T
otherAssets - - - - - - - - - -
totalAssets 6.45T 5.77T 5.64T 4.88T 4.35T 3.78T 3.65T 3.64T 3.37T 2.66T
totalPayables 419.52B 422.45B 320.31B 362.36B 338.97B 258.32B 220.16B 266.95B 303.56B 240.11B
accountPayables 357.02B 334.93B 320.31B 362.36B 338.97B 258.32B 220.16B 266.95B 303.56B 240.11B
otherPayables 62.5B 87.52B - - - - - - - -
accruedExpenses - - 185.14B 155.02B 131.31B 116.78B 110.31B 119.2B 113.19B 103.33B
shortTermDebt 715.25B 654.41B 580.98B 489.04B 518.65B 369.78B 602.74B 458.22B 329.9B 217.84B
capitalLeaseObligationsCurrent - 19.39B 19.6B 17.88B 16.98B 15.88B 14.93B - - -
taxPayables - 87.52B 69.64B 64.5B 68.34B 26.86B 23.17B 43.02B 66.54B 25.14B
deferredRevenue - - - 64.5B 68.34B 26.86B 23.17B 43.02B 66.54B 25.14B
otherCurrentLiabilities 620.23B 553.11B 420.17B 282.86B 249.77B 205.26B 187.32B 237.78B 243.01B 138.9B
totalCurrentLiabilities 1.75T 1.65T 1.53T 1.37T 1.32T 992.87B 1.16T 1.08T 989.66B 700.18B
longTermDebt 654.26B 496.19B 618.39B 566.7B 429.38B 541.13B 410.71B 472.17B 480.71B 190.86B
capitalLeaseObligationsNonCurrent 56.2B 50.71B 51.44B 44.91B 43.46B 39.98B 38.62B - - -
deferredRevenueNonCurrent - - -23.5B -24.05B - 8.72B 2.41B -353M 14.16B 13.57B
deferredTaxLiabilitiesNonCurrent - - 23.5B 24.05B 173.64M - 239.69M 231.73M 72.22B 51.68B
otherNonCurrentLiabilities 261.84B 232.41B 242.17B 214.62B 194.39B 190.12B 187.09B 181.04B 144.42B 103.36B
totalNonCurrentLiabilities 972.3B 779.31B 912B 826.23B 667.22B 779.95B 638.84B 653.21B 639.29B 307.78B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 56.2B 70.1B 71.04B 62.79B 60.44B 55.86B 53.56B - - -
totalLiabilities 2.73T 2.43T 2.44T 2.2T 1.99T 1.77T 1.8T 1.74T 1.63T 1.01T
treasuryStock -111.21B -82.66B -49.13B -49.15B -49.27B -48.86B -49.17B -49.87B -50.42B -50.88B
preferredStock - - - - - 42.01B 130.67B 39.79B - -
commonStock 70.62B 70.34B 70.34B 69.66B 69.39B 69.04B 68.69B 68.31B 67.87B 67.87B
retainedEarnings 2.75T 49.42B 2.37T 2.16T 1.95T 47.38B 46.81B 46.03B 45.83B 45.37B
additionalPaidInCapital 138.02B 136.52B 136.5B 135.89B 139.57B 135.84B 136.46B 136.8B 138.45B 138.28B
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 398.88B 468.73B 416.36B 346.18B 237.25B 118.62B 163.68B 274.65B 208.96B 119.37B
depreciationAndAmortization 171.59B 163B 156.84B 149.69B 136.35B 133.13B 131.6B 131.46B 133.91B 104.3B
deferredIncomeTax 3.24B - - -4.28B -7.66B - -3.59B -5.94B -652M -1.59B
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital -128.79B -103.43B -216.49B -330.48B -96.17B 50.4B -23.13B -234.28B -206.36B -29.18B
accountsReceivables -88.15B -157.81B -94.06B -125.71B -85.44B -39.21B 44.57B -74.12B -181.43B -69.12B
inventory -52.34B 21.08B -66.79B -214.52B -116.56B 56.16B -9.92B -99.51B -94.15B 7.47B
accountsPayables 151.62M 99.36M -59.16B 14.59B 65.03B 30.48B -38.34B -37.68B 28.83B 36.35B
otherWorkingCapital 11.55B 33.31B 3.52B -4.84B 40.8B 2.97B -19.44B -22.97B -112.21B -36.66B
otherNonCashItems 31.12B -11.14B 78.07B 45.36B 31.2B 51.99B 26.62B 30.72B 11.88B 61.65B
netCashProvidedByOperatingActivities 476.04B 517.17B 434.78B 206.47B 300.97B 354.13B 295.18B 202.55B 148.39B 256.13B
investmentsInPropertyPlantAndEquipment -225.06B -205.86B -202.95B -183.53B -162.96B -181.55B -184.71B -192.05B -154.93B -150.61B
acquisitionsNet 5.68B -25.01B -25.18B -2.82B -815M -1.77B -21.65B -7.86B -300.32B -1.62B
purchasesOfInvestments -1.15B -918M -415M -1.94B -686M -772M -630M -342M -730M -361M
salesMaturitiesOfInvestments - - - 19.17B 242M 22M 844M 1.96B 63B 611M
otherInvestingActivities 9.29B 21.11B 24.12B -398M 20.65B 21.01B 15.21B 11.09B 15.23B 18.68B
netCashProvidedByInvestingActivities -211.25B -210.67B -204.42B -169.52B -143.57B -163.06B -190.93B -187.2B -377.74B -133.3B
netDebtIssuance 108.38B -32.98B 27.83B -34.92B -25.22B -136.79B 112.76B 105.29B 313.67B -49.89B
longTermNetDebtIssuance 22.27B 34.51B -36.08B -34.92B -38.74B -22.66B 150.2B 60.2B 217.34B -32.82B
shortTermNetDebtIssuance 86.11B -67.5B 63.91B 92.52B 13.52B -114.13B -37.45B 45.09B 96.33B -17.07B
netStockIssuance -112.1B -101.25B -25M 2.01B 30.44B - - -20M 49M 237M
netCommonStockIssuance -112.1B -101.25B -25M 2.01B 30.44B - - -20M 49M 237M
commonStockIssuance - - - 2.01B 30.44B - - - 49M 237M
commonStockRepurchased -112.1B -101.25B -25M - - - - -20M - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid -196.31B -166.56B -139.09B -113.5B -72.82B -53.88B -107.69B -93.46B -61.34B -54.71B
commonDividendsPaid -196.31B -166.56B -139.09B -113.5B -72.82B -53.88B -107.69B -93.46B -61.34B -54.71B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -21.09B -20.63B -10.75B 79.8B -26.27B -9B -8.53B -15.48B -8.44B -3.35B
netCashProvidedByFinancingActivities -221.11B -321.42B -122.04B -66.61B -93.87B -199.67B -3.46B -3.66B 243.95B -107.72B
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 1.24T 1.04T 999.18B 909.52B 1.15T 989.2B 1.01T 959.84B 1.07T 972B
costOfRevenue 890.2B 723.72B 687.63B 612.01B 1.45T 661.14B 694.11B 644.28B 752.74B 664.97B
grossProfit 349.43B 318.66B 311.55B 297.51B -300.61B 328.06B 314.12B 315.56B 317.39B 307.02B
researchAndDevelopmentExpenses - - - - - - - - 29.64B 25B
generalAndAdministrativeExpenses - - - - - - - - 162.93B 153.76B
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 195.37B 173.87B 171.49B 157.12B 491.67B 165.42B 167.68B 158.56B 162.93B 153.76B
otherExpenses - - - - -983.34B - - - -29.64B -28.18B
operatingExpenses 195.37B 173.87B 171.49B 157.12B -491.67B 165.42B 167.68B 158.56B 162.93B 150.58B
costAndExpenses 1.09T 897.59B 859.13B 769.13B 956.07B 826.56B 861.8B 802.84B 915.67B 815.55B
netInterestIncome -6.87B -7.87B -7.59B -6.54B 23.81B -7.55B -7.88B -8.38B -8.63B -8.92B
interestIncome 6.74B 6.31B 5.89B 43.18M 23.81B 43.77M 47.86M 7.03B 6.22B 5.74B
interestExpense 13.61B 14.18B 13.48B 6.54B 84.89M 7.55B 7.88B 15.41B 14.85B 14.66B
depreciationAndAmortization 43.4B 41.56B 39.86B 39.21B 39.91B 39.91B 40.22B 40.88B 36.34B 40.99B
ebitda 197.46B 194.76B 182.65B 179.6B 230.97B 202.54B 186.65B 197.87B 195.37B 197.55B
ebit 154.06B 153.19B 142.79B 140.39B 191.06B 162.64B 146.43B 156.99B 159.03B 156.91B
nonOperatingIncomeExcludingInterest - -8.41B -2.73B - - - - - -5.25B -461M
operatingIncome 154.06B 144.79B 140.06B 140.39B 191.06B 162.64B 146.43B 156.99B 154.46B 156.44B
totalOtherIncomeExpensesNet -6.11B -3.22B -8.26B -6.97B 7.39B -10.47B -16.11B -3.98B -5.69B -12.45B
incomeBeforeTax 147.95B 141.56B 131.8B 133.42B 198.45B 152.16B 130.32B 153.02B 148.08B 144B
incomeTaxExpense 31.86B 39.59B 39.48B 36.63B 57.98B 39.83B 29.92B 37.5B 53.42B 39.52B
netIncomeFromContinuingOperations 116.09B 101.97B 92.32B 96.79B 140.48B 112.33B 100.4B 115.52B 94.66B 104.48B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome -203.67M - -120M - - - - - - -
netIncome 108.34B 95.81B 85.86B 91.19B 129.55B 108.34B 91.99B 109.74B 89.16B 98.72B
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 108.34B 95.81B 85.86B 91.19B 129.55B 108.52B 91.81B 109.74B 89.08B 98.63B
eps 119.84 105.95 94.3 99.15 142.84 117.79 98.81 116.47 94.25 104.36
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 441.61B 429.03B 345.2B 448.89B 385.57B 406.66B 409.54B 471.84B 403.18B 343.46B
shortTermInvestments - - - - - - - - - 3.2B
cashAndShortTermInvestments 441.61B 429.03B 345.2B 448.89B 385.57B 406.66B 409.54B 471.84B 403.18B 346.66B
netReceivables 1.41T 1.31T 1.26T 1.22T 1.27T 1.24T 1.16T 1.27T 1.26T 1.13T
accountsReceivables 1.41T 1.31T 1.26T 1.22T 1.27T 1.24T 1.16T 1.27T 1.26T 1.13T
otherReceivables - - - - - - - - - -
inventory 1.61T 1.69T 1.58T 1.5T 1.41T 1.57T 1.46T 1.6T 1.44T 1.46T
prepaids - - - - - - - - 21.44B -
otherCurrentAssets 241.24B 252.66B 244.21B 256.89B 231.87B 241B 232.81B 244.81B 187.34B 212.42B
totalCurrentAssets 3.7T 3.68T 3.43T 3.42T 3.3T 3.45T 3.26T 3.59T 3.31T 3.15T
propertyPlantEquipmentNet 1.06T 1.04T 996.05B 980.5B 981.97B 994.41B 957.38B 1.01T 977.29B 949.54B
goodwill 274.01B - 249.03B 243.08B 245.83B 258.16B 241.67B 264.6B 248.39B 251.17B
intangibleAssets 170.08B 438.16B 166.92B 165.94B 169.95B 172.41B 167.65B 185.85B 180.4B 166.1B
goodwillAndIntangibleAssets 444.09B 438.16B 415.95B 409.02B 415.79B 430.57B 409.32B 450.45B 428.8B 417.27B
longTermInvestments 1.04T 964.03B 6.09B 1.03T 967.8B 1.04T 933.84B 987.9B 82.23B 79.88B
taxAssets - - - - - - - - - -704.64B
otherNonCurrentAssets 201.78B 182.99B 1.07T 1.13B 109.67B 1.05B 933.84B 875.54M 834.15B 1.48T
totalNonCurrentAssets 2.75T 2.63T 2.49T 2.42T 2.48T 2.47T 2.3T 2.45T 2.32T 2.22T
otherAssets - - - - - - - - - -
totalAssets 6.45T 6.31T 5.92T 5.85T 5.77T 5.92T 5.56T 6.04T 5.64T 5.37T
totalPayables 419.52B 344.59B 368.71B 310.66B 422.45B 315.95B 314.87B 327.07B 320.31B 321.88B
accountPayables 357.02B 300.56B 303.2B 310.66B 334.93B 315.95B 314.87B 327.07B 320.31B 321.88B
otherPayables 62.5B 44.03B 65.5B - 87.52B - - - - -
accruedExpenses - - - - - - - - 185.14B -
shortTermDebt 715.25B 834.55B 680.63B 833.69B 654.41B 848.79B 717.72B 839.09B 580.98B 630.79B
capitalLeaseObligationsCurrent - - 20.81B 20.59B 19.39B 19.05B 19.39B 20.63B 19.6B 17.74B
taxPayables - - 65.5B - 87.52B - - 63.57B 69.64B 54.04B
deferredRevenue - - - - - - - - - 54.04B
otherCurrentLiabilities 620.23B 631.33B 572.84B 598.04B 553.11B 624.68B 583.96B 625.97B 420.17B 497.59B
totalCurrentLiabilities 1.75T 1.81T 1.64T 1.76T 1.65T 1.81T 1.64T 1.81T 1.53T 1.52T
longTermDebt 654.26B 691.75B 595.4B 523.36B 496.19B 514.62B 536.76B 589.8B 618.39B 579.12B
capitalLeaseObligationsNonCurrent 56.2B 55.9B 51.88B 49.77B 50.71B 51.93B 50.7B 52.4B 51.44B 48.77B
deferredRevenueNonCurrent - - - - - - - - -23.5B -
deferredTaxLiabilitiesNonCurrent - - - - - - - - 23.5B -
otherNonCurrentLiabilities 261.84B 206.01B 245.14B 239.39B 232.41B 249B 234.36B 249.48B 242.17B 229.74B
totalNonCurrentLiabilities 972.3B 953.66B 892.42B 812.51B 779.31B 815.54B 821.83B 891.68B 912B 857.63B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 56.2B 55.9B 72.69B 70.36B 70.1B 70.98B 70.09B 73.04B 71.04B 66.51B
totalLiabilities 2.73T 2.76T 2.54T 2.58T 2.43T 2.62T 2.46T 2.7T 2.44T 2.38T
treasuryStock -111.21B -110.82B -152.65B -113.12B -82.66B -82.68B -150.3B -105.18B -49.13B -49.14B
preferredStock - - - - - - - - - -
commonStock 70.62B 70.37B 70.32B 70.32B 70.34B 70.34B 70.34B 70.34B 70.34B 70.34B
retainedEarnings 2.75T 2.58T 49.5B 2.61T 49.42B 2.49T 2.53T 2.44T 2.37T 2.33T
additionalPaidInCapital 138.02B 137.2B 136.44B 136.14B 136.52B 137.4B 137.52B 136.96B 136.5B 136.52B
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 108.34B 95.81B 85.86B 91.19B 129.55B 108.34B 91.99B 109.74B 94.66B 98.72B
depreciationAndAmortization 43.4B 41.56B 39.86B 39.21B 275.61M 39.91B 40.22B 40.88B 39.4B 40.99B
deferredIncomeTax -13.5B 15.26B -4.99B - - - - - 513M -
stockBasedCompensation - - - - - - - - - -
changeInWorkingCapital 50.71B -24.86B -28.84B -81.35B 10.91B -60.42B -35.32B -40.2B 9.77B -78.65B
accountsReceivables -135.99B 6.42B -23.73B 60.46B -144.34B -18.68B -25.91B 31.11B -116.4B -29.77B
inventory 120.6B -13.67B -38.87B -106.16B 102.82B -11.96B -9.83B -59.96B 87.44B -12.99B
accountsPayables 55.97B -14.29B -13.25B -169.71M 156.84M -66.42M 46.39M -5.8B -2.33B -22.82B
otherWorkingCapital 10.13B -3.32B 47B -35.64B 52.42B -29.79B 419M -5.55B 41.07B -13.08B
otherNonCashItems 8.35B 6.21B 9.17B -48.85B 64.24B 6.98B 36.84B -26.47B 11.96B 30.1B
netCashProvidedByOperatingActivities 197.29B 133.98B 101.06B 206.23M 204.69B 94.8B 133.73B 83.94B 156.3B 91.17B
investmentsInPropertyPlantAndEquipment -58.8B -51.49B -53.55B -46.28B -380.41M -35.26B -57.21B -42.55B -50.94B -63.29B
acquisitionsNet 1.05B 4.29B 4.15B -26.22M 19.52M 13.5B -13.5B 24.41M 10.86B -25.49B
purchasesOfInvestments -759.08M -72.22M -12M -1.86M -858.89K -1.12M -1.57M -375M -237M -13M
salesMaturitiesOfInvestments - - - - - - - - - 6.04B
otherInvestingActivities -112.68M -28.5M 1.09B 45.96B 16.73M -30.05B 7.35B 1.96B -3.48B 3.53B
netCashProvidedByInvestingActivities -58.62B -47.3B -48.32B -326.82M -345.02M -51.81B -63.36B -40.96B -43.8B -79.22B
netDebtIssuance -139.12B 118.01B -114.03B 151.63B 502.3B -273.56B 211.33B 117.14B -59.14B 13.08B
longTermNetDebtIssuance -109.98B 92.16B -121.51B 151.63B 502.3B -273.56B 211.33B 117.14B -6.79B 13.08B
shortTermNetDebtIssuance -29.14B 25.85B 7.49B 504.32M -963.42M 269.09M -60.93M 314.45M -52.35B 72.45B
netStockIssuance 2.72B -36.63B -40.75B -30.47B -7M -2M -45.17B -56.07B - 12M
netCommonStockIssuance 2.72B -36.63B -40.75B -30.47B -7M -2M -45.17B -56.07B - 12M
commonStockIssuance - - - - - - - - - -
commonStockRepurchased 2.72B -36.63B -40.75B -30.47B -7M -2M -45.17B -56.07B - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid 4.74B -89.84B 433.32M -98.82B 11.87M -76.66B 9.5M -89.91B 3.4M -68.14B
commonDividendsPaid 4.74B -89.84B 433.32M -98.82B 11.87M -76.66B 9.5M -89.91B 3.4M -68.14B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -246.29M -1.06B -8.53B -21.74B -502.3B 294.07B -274.56B 40.82B -85M 71.86B
netCashProvidedByFinancingActivities -131.91B -9.51B -162.87B 592.78M -1.09B -56.15B -108.39B 11.98B -59.22B 16.8B