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Profit margin

Debt to assets

Cash flow

(in millions USD) 23 Sep 2022 24 Jun 2022 25 Mar 2022 24 Dec 2021
Current assets
Cash $23,646 $27,502 $28,098 $37,119
Short term investments $24,658 $20,729 $23,413 $26,794
Net receivables $60,932 $42,242 $45,400 $65,253
Inventory $4,946 $5,433 $5,460 $5,876
Other current assets $21,223 $16,386 $15,809 $18,112
Total current assets $135,405 $112,292 $118,180 $153,154
Long term investments $120,805 $131,077 $141,219 $138,683
Property, plant & equipment $52,534 $40,335 $39,304 $39,245
Goodwill
Intangible assets
Other assets $44,011 $52,605 $51,959 $50,109
Deferred long term asset charges
Total assets $352,755 $336,309 $350,662 $381,191
Current liabilities
Accounts payable $64,115 $48,343 $52,682 $74,362
Short long term debt $11,128 $14,009 $9,659 $11,169
Other current liabilities $67,094 $56,539 $58,168 $57,043
Total current liabilities $153,982 $129,873 $127,508 $147,574
Long term debt $98,959 $94,700 $103,323 $106,629
Other liabilities $38,394 $53,629 $52,432 $55,056
Deferred long term liabilities
Minority interest
Total liabilities $302,083 $278,202 $283,263 $309,259
Stockholders' equity
Stock option warrants
Common stock $64,849 $62,115 $61,181 $58,424
Retained earnings -$3,068 $5,289 $12,712 $14,435
Treasury stock -$11,109 -$9,297 -$6,494 -$927
Capital surplus
Other stockholder equity -$11,109 -$9,297 -$6,494 -$927
Total stockholder equity $50,672 $58,107 $67,399 $71,932
Net tangible assets $50,672 $58,107 $67,399 $71,932
(in millions USD) 2022 2021 2020
Current assets
Cash $23,646 $34,940 $38,016
Short term investments $24,658 $27,699 $52,927
Net receivables $60,932 $51,506 $37,445
Inventory $4,946 $6,580 $4,061
Other current assets $21,223 $14,111 $11,264
Total current assets $135,405 $134,836 $143,713
Long term investments $120,805 $127,877 $100,887
Property, plant & equipment $52,534 $49,527 $45,336
Goodwill
Intangible assets
Other assets $44,011 $38,762 $33,952
Deferred long term asset charges
Total assets $352,755 $351,002 $323,888
Current liabilities
Accounts payable $64,115 $54,763 $42,296
Short long term debt $11,128 $9,613 $8,773
Other current liabilities $67,094 $53,577 $47,867
Total current liabilities $153,982 $125,481 $105,392
Long term debt $98,959 $109,106 $98,667
Other liabilities $38,394 $43,050 $46,108
Deferred long term liabilities
Minority interest
Total liabilities $302,083 $287,912 $258,549
Stockholders' equity
Stock option warrants
Common stock $64,849 $57,365 $50,779
Retained earnings -$3,068 $5,562 $14,966
Treasury stock -$11,109 $163 -$406
Capital surplus
Other stockholder equity -$11,109 $163 -$406
Total stockholder equity $50,672 $63,090 $65,339
Net tangible assets $50,672 $63,090 $65,339

Income statement

(in millions USD) 23 Sep 2022 24 Jun 2022 25 Mar 2022 24 Dec 2021
Revenue
Total revenue $90,146 $82,959 $97,278 $123,945
Cost of revenue $52,051 $47,074 $54,719 $69,702
Gross profit $38,095 $35,885 $42,559 $54,243
Operating activities
Research & development $6,761 $6,797 $6,387 $6,306
Selling, general & administrative $6,440 $6,012 $6,193 $6,449
Non-recurring
Other operating expenses
Total operating expenses $65,252 $59,883 $67,299 $82,457
Operating income $24,894 $23,076 $29,979 $41,488
Income from continuing operations
Net other income -$237 -$10 $160 -$247
EBIT $24,894 $23,076 $29,979 $41,488
Interest expense -$827 -$719 -$691 -$694
Income before tax $24,657 $23,066 $30,139 $41,241
Income tax expense $3,936 $3,624 $5,129 $6,611
Minority interest
Net income from continuing ops $20,721 $19,442 $25,010 $34,630
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $20,721 $19,442 $25,010 $34,630
Income (for common shares) $20,721 $19,442 $25,010 $34,630
(in millions USD) 2022 2021 2020
Revenue
Total revenue $394,328 $365,817 $274,515
Cost of revenue $223,546 $212,981 $169,559
Gross profit $170,782 $152,836 $104,956
Operating activities
Research & development $26,251 $21,914 $18,752
Selling, general & administrative $25,094 $21,973 $19,916
Non-recurring
Other operating expenses
Total operating expenses $274,891 $256,868 $208,227
Operating income $119,437 $108,949 $66,288
Income from continuing operations
Net other income -$334 $258 $803
EBIT $119,437 $108,949 $66,288
Interest expense -$2,931 -$2,645 -$2,873
Income before tax $119,103 $109,207 $67,091
Income tax expense $19,300 $14,527 $9,680
Minority interest
Net income from continuing ops $99,803 $94,680 $57,411
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $99,803 $94,680 $57,411
Income (for common shares) $99,803 $94,680 $57,411
(in millions USD) 23 Sep 2022 24 Jun 2022 25 Mar 2022 24 Dec 2021
Net income $20,721 $19,442 $25,010 $34,630
Operating activities
Depreciation $2,865 $2,805 $2,737 $2,697
Net income adjustments $589 $3,870 $2,471 $3,114
Change in accounts receivable -$6,384 -$981 $9,476 -$3,934
Changes in liabilities $15,774 -$4,725 -$21,398 $20,275
Changes in inventory $435 -$16 $384 $681
Changes in other operating activities -$9,873 $2,497 $9,486 -$10,497
Total cash flows from operations $24,127 $22,892 $28,166 $46,966
Investing activities
Capital expenditures -$3,289 -$2,102 -$2,514 -$2,803
Investments $2,806 $6,953 -$6,390 -$12,929
Other cash flows from investing -$597 -$615 -$194 -$374
Total cash flows from investing -$1,217 $4,234 -$9,265 -$16,106
Financing activities
Dividends paid -$3,703 -$3,811 -$3,595 -$3,732
Sale and purchase of stock
Net borrowings $1,657 $971 -$1,751 -$1,000
Other cash flows from financing -$12 -$43 -$44 -$61
Total cash flows from financing -$26,794 -$27,445 -$28,351 -$28,159
Effect of exchange rate
Change in cash and equivalents -$3,884 -$319 -$9,450 $2,701
(in millions USD) 2022 2021 2020
Net income $99,803 $94,680 $57,411
Operating activities
Depreciation $11,104 $11,284 $11,056
Net income adjustments $10,044 $2,985 $6,517
Change in accounts receivable -$1,823 -$10,125 $6,917
Changes in liabilities $9,926 $14,002 -$1,981
Changes in inventory $1,484 -$2,642 -$127
Changes in other operating activities -$8,387 -$6,146 $881
Total cash flows from operations $122,151 $104,038 $80,674
Investing activities
Capital expenditures -$10,708 -$11,085 -$7,309
Investments -$9,560 -$3,075 $5,453
Other cash flows from investing -$1,780 -$352 -$909
Total cash flows from investing -$22,354 -$14,545 -$4,289
Financing activities
Dividends paid -$14,841 -$14,467 -$14,081
Sale and purchase of stock
Net borrowings -$123 $12,665 $2,499
Other cash flows from financing -$160 $976 $754
Total cash flows from financing -$110,749 -$93,353 -$86,820
Effect of exchange rate
Change in cash and equivalents -$10,952 -$3,860 -$10,435

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Current assets
Cash $32,695 $40,760 $29,965 $28,408
Short term investments $34,455 $32,340 $31,590 $34,074
Net receivables $41,150 $50,102 $60,985 $39,186
Inventory $6,232 $6,511 $6,331 $7,351
Total current assets $128,416 $143,692 $143,566 $122,659
Long term investments $95,187 $99,475 $100,544 $104,061
Property, plant & equipment $43,546 $43,666 $43,715 $43,550
Goodwill & intangible assets
Total noncurrent assets $208,995 $209,822 $209,017 $212,379
Total investments $129,642 $131,815 $132,134 $138,135
Total assets $337,411 $353,514 $352,583 $335,038
Current liabilities
Accounts payable $45,753 $58,146 $62,611 $46,699
Deferred revenue $8,012 $8,264 $8,061 $8,158
Short long term debt $12,759 $12,952 $15,807 $11,209
Total current liabilities $123,822 $133,973 $145,308 $124,963
Long term debt $91,831 $95,088 $95,281 $98,071
Total noncurrent liabilities $139,395 $145,441 $145,129 $149,801
Total debt $104,590 $108,040 $111,088 $109,280
Total liabilities $263,217 $279,414 $290,437 $274,764
Stockholders' equity
Retained earnings $4,339 $8,242 -$214 $1,408
Other stockholder equity -$8,960 -$9,378 -$11,452 -$11,801
Total stockholder equity $74,194 $74,100 $62,146 $60,274
(in millions USD) 2023 2022 2021
Current assets
Cash $29,965 $23,646 $34,940
Short term investments $31,590 $24,658 $27,699
Net receivables $60,985 $60,932 $51,506
Inventory $6,331 $4,946 $6,580
Total current assets $143,566 $135,405 $134,836
Long term investments $100,544 $120,805 $127,877
Property, plant & equipment $43,715 $42,117 $39,440
Goodwill & intangible assets
Total noncurrent assets $209,017 $217,350 $216,166
Total investments $132,134 $145,463 $155,576
Total assets $352,583 $352,755 $351,002
Current liabilities
Accounts payable $62,611 $64,115 $54,763
Deferred revenue $8,061 $7,912 $7,612
Short long term debt $15,807 $21,110 $15,613
Total current liabilities $145,308 $153,982 $125,481
Long term debt $95,281 $98,959 $109,106
Total noncurrent liabilities $145,129 $148,101 $162,431
Total debt $111,088 $120,069 $124,719
Total liabilities $290,437 $302,083 $287,912
Stockholders' equity
Retained earnings -$214 -$3,068 $5,562
Other stockholder equity -$11,452 -$11,109 $163
Total stockholder equity $62,146 $50,672 $63,090

Income statement

(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Revenue
Total revenue $90,753 $119,575 $89,498 $81,797
Cost of revenue $48,482 $64,720 $49,071 $45,384
Gross profit $42,271 $54,855 $40,427 $36,413
Operating activities
Research & development $7,903 $7,696 $7,307 $7,442
Selling, general & administrative $6,468 $6,786 $6,151 $5,973
Total operating expenses $14,371 $14,482 $13,458 $13,415
Operating income $27,900 $40,373 $26,969 $22,998
Income from continuing operations
EBIT $28,058 $40,323 $28,000 $23,731
Income tax expense $4,422 $6,407 $4,042 $2,852
Interest expense $1,002 $998
Net income
Net income $23,636 $33,916 $22,956 $19,881
Income (for common shares) $23,636 $33,916 $22,956 $19,881
(in millions USD) 2023 2022 2021
Revenue
Total revenue $383,285 $394,328 $365,817
Cost of revenue $214,137 $223,546 $212,981
Gross profit $169,148 $170,782 $152,836
Operating activities
Research & development $29,915 $26,251 $21,914
Selling, general & administrative $24,932 $25,094 $21,973
Total operating expenses $54,847 $51,345 $43,887
Operating income $114,301 $119,437 $108,949
Income from continuing operations
EBIT $117,669 $122,034 $111,852
Income tax expense $16,741 $19,300 $14,527
Interest expense $3,933 $2,931 $2,645
Net income
Net income $96,995 $99,803 $94,680
Income (for common shares) $96,995 $99,803 $94,680
(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Net income $23,636 $33,916 $22,956 $19,881
Operating activities
Depreciation $2,836 $2,848 $2,653 $3,052
Business acquisitions & disposals
Stock-based compensation $2,964 $2,997 $2,625 $2,617
Total cash flows from operations $22,690 $39,895 $21,598 $26,380
Investing activities
Capital expenditures -$1,996 -$2,392 -$2,163 -$2,093
Investments $2,131 $4,603 $5,141 $3,036
Total cash flows from investing -$310 $1,927 $2,394 $437
Financing activities
Dividends paid -$3,710 -$3,825 -$3,758 -$3,849
Sale and purchase of stock -$23,205 -$20,139 -$21,003 -$17,478
Net borrowings -$3,148 -$3,984 $1,993 -$283
Total cash flows from financing -$30,433 -$30,585 -$23,153 -$24,048
Effect of exchange rate
Change in cash and equivalents -$8,053 $11,237 $839 $2,769
(in millions USD) 2023 2022 2021
Net income $96,995 $99,803 $94,680
Operating activities
Depreciation $11,519 $11,104 $11,284
Business acquisitions & disposals -$306 -$33
Stock-based compensation $10,833 $9,038 $7,906
Total cash flows from operations $110,543 $122,151 $104,038
Investing activities
Capital expenditures -$10,959 -$10,708 -$11,085
Investments $16,001 -$9,560 -$2,819
Total cash flows from investing $3,705 -$22,354 -$14,545
Financing activities
Dividends paid -$15,025 -$14,841 -$14,467
Sale and purchase of stock -$77,550 -$89,402 -$84,866
Net borrowings -$9,901 -$123 $12,665
Total cash flows from financing -$108,488 -$110,749 -$93,353
Effect of exchange rate
Change in cash and equivalents $5,760 -$10,952 -$3,860

Profit margin

Debt to assets

Cash flow

(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Current assets
Cash $22,884 $13,931 $12,498 $20,604
Short term investments $84,360 $90,818 $92,162 $104,744
Net receivables $31,279 $44,261 $32,613 $33,520
Inventory $4,268 $3,742 $3,296 $3,019
Other current assets $18,021 $16,932 $13,353 $12,301
Total current assets $160,812 $169,684 $153,922 $174,188
Long term investments $6,839 $6,891 $6,907 $6,994
Property, plant & equipment $90,384 $87,546 $83,214 $79,568
Goodwill $67,459 $67,524 $67,371 $50,921
Intangible assets $10,808 $11,298 $11,348 $7,462
Other assets $23,482 $21,897 $21,845 $21,256
Deferred long term asset charges $13,515
Total assets $359,784 $364,840 $344,607 $340,389
Current liabilities
Accounts payable $16,609 $19,000 $16,085 $15,314
Short long term debt $3,248 $2,749 $1,749 $4,998
Other current liabilities $56,848 $59,384 $47,391 $46,346
Total current liabilities $87,389 $95,082 $77,439 $77,510
Long term debt $45,374 $47,032 $48,177 $48,260
Other liabilities $28,220 $30,853 $31,159 $30,584
Deferred long term liabilities
Minority interest
Total liabilities $186,218 $198,298 $181,683 $180,379
Stockholders' equity
Stock option warrants
Common stock $88,535 $86,939 $85,767 $84,528
Retained earnings $92,374 $84,281 $79,633 $75,045
Treasury stock -$7,343 -$4,678 -$2,476 $437
Capital surplus
Other stockholder equity -$7,343 -$4,678 -$2,476 $437
Total stockholder equity $173,566 $166,542 $162,924 $160,010
Net tangible assets $95,299 $87,720 $84,205 $101,627
(in millions USD) 2022 2021 2020
Current assets
Cash $13,931 $14,224 $13,576
Short term investments $90,818 $116,032 $122,916
Net receivables $44,261 $38,043 $32,011
Inventory $3,742 $2,636 $1,895
Other current assets $16,932 $13,471 $11,517
Total current assets $169,684 $184,406 $181,915
Long term investments $6,891 $5,984 $2,965
Property, plant & equipment $87,546 $70,803 $52,904
Goodwill $67,524 $49,711 $43,351
Intangible assets $11,298 $7,800 $7,038
Other assets $21,897 $15,075 $13,138
Deferred long term asset charges $13,515 $7,181 $6,405
Total assets $364,840 $333,779 $301,311
Current liabilities
Accounts payable $19,000 $15,163 $12,530
Short long term debt $2,749 $8,072 $3,749
Other current liabilities $59,384 $52,612 $46,001
Total current liabilities $95,082 $88,657 $72,310
Long term debt $47,032 $50,074 $59,578
Other liabilities $30,853 $31,681 $34,492
Deferred long term liabilities
Minority interest
Total liabilities $198,298 $191,791 $183,007
Stockholders' equity
Stock option warrants
Common stock $86,939 $83,111 $80,552
Retained earnings $84,281 $57,055 $34,566
Treasury stock -$4,678 $1,822 $3,186
Capital surplus
Other stockholder equity -$4,678 $1,822 $3,186
Total stockholder equity $166,542 $141,988 $118,304
Net tangible assets $87,720 $84,477 $67,915

Income statement

(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Revenue
Total revenue $50,122 $51,865 $49,360 $51,728
Cost of revenue $15,452 $16,429 $15,615 $16,960
Gross profit $34,670 $35,436 $33,745 $34,768
Operating activities
Research & development $6,628 $6,849 $6,306 $5,758
Selling, general & administrative $6,524 $8,053 $7,075 $6,763
Non-recurring
Other operating expenses
Total operating expenses $28,604 $31,331 $28,996 $29,481
Operating income $21,518 $20,534 $20,364 $22,247
Income from continuing operations
Net other income $54 -$47 -$174 $268
EBIT $21,518 $20,534 $20,364 $22,247
Interest expense -$500 -$492 -$499 -$521
Income before tax $21,572 $20,487 $20,190 $22,515
Income tax expense $4,016 $3,747 $3,462 $3,750
Minority interest
Net income from continuing ops $17,556 $16,740 $16,728 $18,765
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $17,556 $16,740 $16,728 $18,765
Income (for common shares) $17,556 $16,740 $16,728 $18,765
(in millions USD) 2022 2021 2020
Revenue
Total revenue $198,270 $168,088 $143,015
Cost of revenue $62,650 $52,232 $46,078
Gross profit $135,620 $115,856 $96,937
Operating activities
Research & development $24,512 $20,716 $19,269
Selling, general & administrative $27,725 $25,224 $24,709
Non-recurring
Other operating expenses
Total operating expenses $114,887 $98,172 $90,056
Operating income $83,383 $69,916 $52,959
Income from continuing operations
Net other income $333 $1,186 $77
EBIT $83,383 $69,916 $52,959
Interest expense -$2,047 -$2,330 -$2,591
Income before tax $83,716 $71,102 $53,036
Income tax expense $10,978 $9,831 $8,755
Minority interest
Net income from continuing ops $72,738 $61,271 $44,281
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net income $72,738 $61,271 $44,281
Income (for common shares) $72,738 $61,271 $44,281
(in millions USD) 29 Sep 2022 29 Jun 2022 30 Mar 2022 30 Dec 2021
Net income $17,556 $16,740 $16,728 $18,765
Operating activities
Depreciation $2,790 $4,119 $3,773 $3,496
Net income adjustments $979 $2,297 $1,813 $1,773
Change in accounts receivable $11,729 -$12,634 $857 -$5,543
Changes in liabilities -$4,889 $15,205 $311 -$4,108
Changes in inventory -$543 -$461 -$279 $394
Changes in other operating activities -$4,834 $354 $1,092 $1,760
Total cash flows from operations $23,198 $24,629 $25,386 $14,480
Investing activities
Capital expenditures -$6,283 -$6,871 -$5,340 -$5,865
Investments $4,360 -$457 $9,069 $5,643
Other cash flows from investing -$860 -$1,138 -$1,181 -$89
Total cash flows from investing -$3,132 -$9,729 -$16,171 -$1,161
Financing activities
Dividends paid -$4,621 -$4,632 -$4,645 -$4,652
Sale and purchase of stock
Net borrowings -$1,000 -$1,000 -$4,197 -$4,197
Other cash flows from financing -$264 -$341 -$158 -$192
Total cash flows from financing -$10,883 -$13,269 -$17,345 -$11,986
Effect of exchange rate -$230 -$198 $24 $106
Change in cash and equivalents $8,953 $1,433 -$8,106 $1,439
(in millions USD) 2022 2021 2020
Net income $72,738 $61,271 $44,281
Operating activities
Depreciation $14,600 $10,900 $12,300
Net income adjustments $1,251 $5,505 $5,577
Change in accounts receivable -$6,834 -$6,481 -$2,577
Changes in liabilities $8,052 $7,431 $5,230
Changes in inventory -$1,123 -$737 $168
Changes in other operating activities -$345 $1,160 -$673
Total cash flows from operations $89,035 $76,740 $60,675
Investing activities
Capital expenditures -$23,886 -$20,622 -$15,441
Investments $18,438 $2,876 $6,980
Other cash flows from investing -$2,825 -$922 -$1,241
Total cash flows from investing -$30,311 -$27,577 -$12,223
Financing activities
Dividends paid -$18,135 -$16,521 -$15,137
Sale and purchase of stock
Net borrowings -$9,023 -$3,750 -$5,518
Other cash flows from financing -$863 -$2,523 -$3,751
Total cash flows from financing -$58,876 -$48,486 -$46,031
Effect of exchange rate -$141 -$29 -$201
Change in cash and equivalents -$293 $648 $2,220

Quarterly EPS estimates

Profit margin

Debt to assets

Cash flow

(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Current assets
Cash $80,021 $81,017 $143,951 $111,262
Short term investments
Net receivables $44,029 $42,831 $36,953 $48,688
Inventory $1,304 $1,615 $3,000 $2,500
Total current assets $147,180 $147,393 $207,586 $184,257
Long term investments $14,807 $13,367 $11,423 $9,879
Property, plant & equipment $138,746 $128,706 $117,937 $109,987
Goodwill & intangible assets $147,991 $148,827 $76,685 $77,252
Total noncurrent assets $337,095 $323,165 $238,199 $227,719
Total investments $14,807 $13,367 $11,423 $9,879
Total assets $484,275 $470,558 $445,785 $411,976
Current liabilities
Accounts payable $18,087 $17,695 $19,307 $18,095
Deferred revenue $44,833 $46,034 $49,188 $53,813
Short long term debt $22,784 $29,291 $29,556 $5,247
Total current liabilities $118,525 $121,016 $124,792 $104,149
Long term debt $57,127 $59,083 $55,433 $54,718
Total noncurrent liabilities $112,598 $111,274 $100,279 $101,604
Total debt $79,911 $88,374 $84,989 $59,965
Total liabilities $231,123 $232,290 $225,071 $205,753
Stockholders' equity
Retained earnings $159,394 $145,737 $132,143 $118,848
Other stockholder equity -$5,435 -$4,949 -$6,937 -$6,343
Total stockholder equity $253,152 $238,268 $220,714 $206,223
(in millions USD) 2023 2022 2021
Current assets
Cash $111,262 $104,757 $130,334
Short term investments
Net receivables $48,688 $44,261 $38,043
Inventory $2,500 $3,742 $2,636
Total current assets $184,257 $169,684 $184,406
Long term investments $9,879 $6,891 $5,984
Property, plant & equipment $109,987 $87,546 $70,803
Goodwill & intangible assets $77,252 $78,822 $57,511
Total noncurrent assets $227,719 $195,156 $149,373
Total investments $9,879 $6,891 $5,984
Total assets $411,976 $364,840 $333,779
Current liabilities
Accounts payable $18,095 $19,000 $15,163
Deferred revenue $53,813 $48,408 $44,141
Short long term debt $5,247 $2,749 $8,072
Total current liabilities $104,149 $95,082 $88,657
Long term debt $54,718 $58,521 $59,703
Total noncurrent liabilities $101,604 $103,216 $103,134
Total debt $59,965 $61,270 $67,775
Total liabilities $205,753 $198,298 $191,791
Stockholders' equity
Retained earnings $118,848 $84,281 $57,055
Other stockholder equity -$6,343 -$4,678 $1,822
Total stockholder equity $206,223 $166,542 $141,988

Income statement

(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Revenue
Total revenue $61,858 $62,020 $56,517 $56,189
Cost of revenue $18,505 $19,623 $16,302 $16,795
Gross profit $43,353 $42,397 $40,215 $39,394
Operating activities
Research & development $7,653 $7,142 $6,659 $6,739
Selling, general & administrative $8,119 $8,223 $6,661 $8,401
Total operating expenses $15,772 $15,365 $13,320 $15,140
Operating income $27,581 $27,032 $26,895 $24,254
Income from continuing operations
EBIT $27,527 $27,435 $27,809 $25,209
Income tax expense $4,788 $4,656 $4,993 $4,646
Interest expense $800 $909 $525 $482
Net income
Net income $21,939 $21,870 $22,291 $20,081
Income (for common shares) $21,939 $21,870 $22,291 $20,081
(in millions USD) 2023 2022 2021
Revenue
Total revenue $211,915 $198,270 $168,088
Cost of revenue $65,863 $62,650 $52,232
Gross profit $146,052 $135,620 $115,856
Operating activities
Research & development $27,195 $24,512 $20,716
Selling, general & administrative $30,334 $27,725 $25,224
Total operating expenses $57,529 $52,237 $45,940
Operating income $88,523 $83,383 $69,916
Income from continuing operations
EBIT $91,279 $85,779 $73,448
Income tax expense $16,950 $10,978 $9,831
Interest expense $1,968 $2,063 $2,346
Net income
Net income $72,361 $72,738 $61,271
Income (for common shares) $72,361 $72,738 $61,271
(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Net income $21,939 $21,870 $22,291 $20,081
Operating activities
Depreciation $6,027 $5,959 $3,921 $3,874
Business acquisitions & disposals -$1,575 -$65,029 -$1,186 -$341
Stock-based compensation $2,703 $2,828 $2,507 $2,416
Total cash flows from operations $31,917 $18,853 $30,583 $28,770
Investing activities
Capital expenditures -$10,952 -$9,735 -$9,917 -$8,943
Investments $3,108 $1,492 $12,588 $419
Total cash flows from investing -$10,700 -$71,925 $503 -$9,134
Financing activities
Dividends paid -$5,572 -$5,574 -$5,051 -$5,054
Sale and purchase of stock -$3,691 -$3,739 -$4,146 -$5,192
Net borrowings -$9,047 -$633 $24,265 -$1,000
Total cash flows from financing -$18,808 -$10,147 $14,761 -$11,413
Effect of exchange rate -$80 $72 -$99 -$81
Change in cash and equivalents $2,329 -$63,147 $45,748 $8,142
(in millions USD) 2023 2022 2021
Net income $72,361 $72,738 $61,271
Operating activities
Depreciation $13,861 $14,460 $11,686
Business acquisitions & disposals -$1,670 -$22,038 -$8,909
Stock-based compensation $9,611 $7,502 $6,118
Total cash flows from operations $87,582 $89,035 $76,740
Investing activities
Capital expenditures -$28,107 -$23,886 -$20,622
Investments $10,213 $18,438 $2,876
Total cash flows from investing -$22,680 -$30,311 -$27,577
Financing activities
Dividends paid -$19,800 -$18,135 -$16,521
Sale and purchase of stock -$20,379 -$30,855 -$25,692
Net borrowings -$2,750 -$9,023 -$5,504
Total cash flows from financing -$43,935 -$58,876 -$48,486
Effect of exchange rate -$194 -$141 -$29
Change in cash and equivalents $20,773 -$293 $648

Profit margin

Debt to assets

Cash flow

(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Current assets
Cash $19,634 $17,305 $80,452 $34,704
Short term investments $60,387 $63,677 $63,493 $76,552
Net receivables $44,029 $51,631 $47,153 $57,888
Inventory $1,304 $1,615 $3,000 $2,500
Other current assets $21,826 $13,165 $13,488 $12,613
Total current assets $147,180 $147,393 $207,586 $184,257
Long term investments $14,807 $13,367 $11,423 $9,879
Property, plant & equipment $138,746 $128,706 $117,937 $109,987
Goodwill $119,163 $118,931 $67,790 $67,886
Intangible assets $28,828 $29,896 $8,895 $9,366
Other assets $35,551 $27,465 $27,654 $5,938
Deferred long term asset charges
Total assets $484,275 $470,558 $445,785 $411,976
Current liabilities
Accounts payable $18,087 $17,695 $19,307 $18,095
Short long term debt $22,784 $33,769 $33,671 $8,853
Other current liabilities $67,222 $60,739 $64,824 $66,192
Total current liabilities $118,525 $121,016 $124,792 $104,149
Long term debt $65,929 $63,434 $58,523 $57,860
Other liabilities $23,665 $18,251 $15,478 $43,311
Deferred long term liabilities
Minority interest
Total liabilities $231,123 $232,290 $225,071 $205,753
Stockholders' equity
Stock option warrants
Common stock $99,193 $97,480 $95,508 $93,718
Retained earnings $159,394 $145,737 $132,143 $118,848
Treasury stock
Capital surplus
Other stockholder equity -$5,435 -$4,949 -$6,937 -$6,343
Total stockholder equity $253,152 $238,268 $220,714 $206,223
Net tangible assets
(in millions USD) 2023 2022 2021
Current assets
Cash $34,704 $13,931 $14,224
Short term investments $76,552 $90,818 $116,032
Net receivables $57,888 $50,361 $38,043
Inventory $2,500 $3,742 $2,636
Other current assets $12,613 $10,832 $13,471
Total current assets $184,257 $169,684 $184,406
Long term investments $9,879 $6,891 $5,984
Property, plant & equipment $109,987 $87,546 $70,803
Goodwill $67,886 $67,524 $49,711
Intangible assets $9,366 $11,298 $7,800
Other assets $5,938 $4,582 $4,494
Deferred long term asset charges
Total assets $411,976 $364,840 $333,779
Current liabilities
Accounts payable $18,095 $19,000 $15,163
Short long term debt $8,853 $6,037 $10,825
Other current liabilities $66,192 $59,384 $52,612
Total current liabilities $104,149 $95,082 $88,657
Long term debt $57,860 $60,874 $61,824
Other liabilities $43,311 $42,112 $41,112
Deferred long term liabilities
Minority interest
Total liabilities $205,753 $198,298 $191,791
Stockholders' equity
Stock option warrants
Common stock $93,718 $86,939 $83,111
Retained earnings $118,848 $84,281 $57,055
Treasury stock
Capital surplus
Other stockholder equity -$6,343 -$4,678 $1,822
Total stockholder equity $206,223 $166,542 $141,988
Net tangible assets

Income statement

(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Revenue
Total revenue $61,858 $62,020 $56,517 $56,189
Cost of revenue $18,505 $19,623 $16,302 $16,795
Gross profit $43,353 $42,397 $40,215 $39,394
Operating activities
Research & development $7,653 $7,142 $6,659 $6,739
Selling, general & administrative $8,119 $8,223 $6,661 $8,401
Non-recurring
Other operating expenses -$3,816 -$3,738 -$2,747 $8,579
Total operating expenses $34,277 $34,988 $29,622 $31,935
Operating income $27,581 $27,032 $26,895 $24,254
Income from continuing operations
Net other income -$3,816 -$3,738 -$2,747 $8,579
EBIT
Interest expense -$921 -$538 -$492
Income before tax $26,727 $26,526 $27,284 $24,727
Income tax expense $4,788 $4,656 $4,993 $4,646
Minority interest
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items $1,387 $437 -$282 -$630
Net income
Net income $21,939 $21,870 $22,291 $20,081
Income (for common shares) $21,939 $21,870 $22,291 $20,081
(in millions USD) 2023 2022 2021
Revenue
Total revenue $211,915 $198,270 $168,088
Cost of revenue $65,711 $62,650 $52,232
Gross profit $146,204 $135,620 $115,856
Operating activities
Research & development $27,195 $24,512 $20,716
Selling, general & administrative $29,534 $27,725 $25,224
Non-recurring
Other operating expenses $1,995 $2,047 $2,330
Total operating expenses $122,440 $114,887 $98,172
Operating income $89,475 $83,383 $69,916
Income from continuing operations
Net other income $1,995 $2,047 $2,330
EBIT
Interest expense -$1,995 -$2,047 -$2,330
Income before tax $89,311 $83,716 $71,102
Income tax expense $16,950 $10,978 $9,831
Minority interest
Net income from continuing ops
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items -$96 -$794 -$2,418
Net income
Net income $72,361 $72,738 $61,271
Income (for common shares) $72,361 $72,738 $61,271
(in millions USD) 31 Mar 2024 31 Dec 2023 30 Sep 2023 30 Jun 2023
Net income $21,939 $21,870 $22,291 $20,081
Operating activities
Depreciation $6,027 $4,659 $3,285 $2,913
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations $31,917 $18,853 $30,583 $28,770
Investing activities
Capital expenditures -$10,952 -$9,735 -$9,917 -$8,943
Investments
Other cash flows from investing $252 -$62,190 $10,420 -$191
Total cash flows from investing -$10,700 -$71,925 $503 -$9,134
Financing activities
Dividends paid -$5,572 -$5,574 -$5,051 -$5,054
Sale and purchase of stock -$3,691 -$3,739 -$4,146 -$5,192
Net borrowings -$9,047 -$633 $24,265 -$1,000
Other cash flows from financing -$498 -$201 -$307 -$167
Total cash flows from financing -$18,808 -$10,147 $14,761 -$11,413
Effect of exchange rate -$247 $59 $101
Change in cash and equivalents $2,329 -$63,147 $45,748 $8,142
(in millions USD) 2023 2022 2021
Net income $72,361 $72,738 $61,271
Operating activities
Depreciation $11,000 $12,600 $10,900
Net income adjustments
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities
Total cash flows from operations $87,582 $89,035 $76,740
Investing activities
Capital expenditures -$28,107 -$23,886 -$20,622
Investments
Other cash flows from investing $5,427 -$6,425 -$6,955
Total cash flows from investing -$22,680 -$30,311 -$27,577
Financing activities
Dividends paid -$19,800 -$18,135 -$16,521
Sale and purchase of stock -$20,379 -$30,855 -$25,692
Net borrowings -$2,750 -$9,023 -$3,750
Other cash flows from financing -$1,006 -$863 -$2,523
Total cash flows from financing -$43,935 -$58,876 -$48,486
Effect of exchange rate $169 $232 $133
Change in cash and equivalents $20,773 -$293 $648