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APC
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 23 Sep 2022 | 24 Jun 2022 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $23,646 | $27,502 | |||
Short term investments | $24,658 | $20,729 | |||
Net receivables | $60,932 | $42,242 | |||
Inventory | $4,946 | $5,433 | |||
Other current assets | $21,223 | $16,386 | |||
Total current assets | $135,405 | $112,292 | |||
Long term investments | $120,805 | $131,077 | |||
Property, plant & equipment | $52,534 | $40,335 | |||
Goodwill | |||||
Intangible assets | |||||
Other assets | $44,011 | $52,605 | |||
Deferred long term asset charges | |||||
Total assets | $352,755 | $336,309 | |||
Current liabilities | |||||
Accounts payable | $64,115 | $48,343 | |||
Short long term debt | $11,128 | $14,009 | |||
Other current liabilities | $67,094 | $56,539 | |||
Total current liabilities | $153,982 | $129,873 | |||
Long term debt | $98,959 | $94,700 | |||
Other liabilities | $38,394 | $53,629 | |||
Deferred long term liabilities | |||||
Minority interest | |||||
Total liabilities | $302,083 | $278,202 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | $64,849 | $62,115 | |||
Retained earnings | -$3,068 | $5,289 | |||
Treasury stock | -$11,109 | -$9,297 | |||
Capital surplus | |||||
Other stockholder equity | -$11,109 | -$9,297 | |||
Total stockholder equity | $50,672 | $58,107 | |||
Net tangible assets | $50,672 | $58,107 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $23,646 | $34,940 | ||
Short term investments | $24,658 | $27,699 | ||
Net receivables | $60,932 | $51,506 | ||
Inventory | $4,946 | $6,580 | ||
Other current assets | $21,223 | $14,111 | ||
Total current assets | $135,405 | $134,836 | ||
Long term investments | $120,805 | $127,877 | ||
Property, plant & equipment | $52,534 | $49,527 | ||
Goodwill | ||||
Intangible assets | ||||
Other assets | $44,011 | $38,762 | ||
Deferred long term asset charges | ||||
Total assets | $352,755 | $351,002 | ||
Current liabilities | ||||
Accounts payable | $64,115 | $54,763 | ||
Short long term debt | $11,128 | $9,613 | ||
Other current liabilities | $67,094 | $53,577 | ||
Total current liabilities | $153,982 | $125,481 | ||
Long term debt | $98,959 | $109,106 | ||
Other liabilities | $38,394 | $43,050 | ||
Deferred long term liabilities | ||||
Minority interest | ||||
Total liabilities | $302,083 | $287,912 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | $64,849 | $57,365 | ||
Retained earnings | -$3,068 | $5,562 | ||
Treasury stock | -$11,109 | $163 | ||
Capital surplus | ||||
Other stockholder equity | -$11,109 | $163 | ||
Total stockholder equity | $50,672 | $63,090 | ||
Net tangible assets | $50,672 | $63,090 |
Income statement
(in millions USD) | 23 Sep 2022 | 24 Jun 2022 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $90,146 | $82,959 | |||
Cost of revenue | $52,051 | $47,074 | |||
Gross profit | $38,095 | $35,885 | |||
Operating activities | |||||
Research & development | $6,761 | $6,797 | |||
Selling, general & administrative | $6,440 | $6,012 | |||
Non-recurring | |||||
Other operating expenses | |||||
Total operating expenses | $65,252 | $59,883 | |||
Operating income | $24,894 | $23,076 | |||
Income from continuing operations | |||||
Net other income | -$237 | -$10 | |||
EBIT | $24,894 | $23,076 | |||
Interest expense | -$827 | -$719 | |||
Income before tax | $24,657 | $23,066 | |||
Income tax expense | $3,936 | $3,624 | |||
Minority interest | |||||
Net income from continuing ops | $20,721 | $19,442 | |||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | |||||
Net income | |||||
Net income | $20,721 | $19,442 | |||
Income (for common shares) | $20,721 | $19,442 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $394,328 | $365,817 | ||
Cost of revenue | $223,546 | $212,981 | ||
Gross profit | $170,782 | $152,836 | ||
Operating activities | ||||
Research & development | $26,251 | $21,914 | ||
Selling, general & administrative | $25,094 | $21,973 | ||
Non-recurring | ||||
Other operating expenses | ||||
Total operating expenses | $274,891 | $256,868 | ||
Operating income | $119,437 | $108,949 | ||
Income from continuing operations | ||||
Net other income | -$334 | $258 | ||
EBIT | $119,437 | $108,949 | ||
Interest expense | -$2,931 | -$2,645 | ||
Income before tax | $119,103 | $109,207 | ||
Income tax expense | $19,300 | $14,527 | ||
Minority interest | ||||
Net income from continuing ops | $99,803 | $94,680 | ||
Non-recurring events | ||||
Discontinued operations | ||||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | ||||
Net income | ||||
Net income | $99,803 | $94,680 | ||
Income (for common shares) | $99,803 | $94,680 |
Cash flows
(in millions USD) | 23 Sep 2022 | 24 Jun 2022 | |||
---|---|---|---|---|---|
Net income | $20,721 | $19,442 | |||
Operating activities | |||||
Depreciation | $2,865 | $2,805 | |||
Net income adjustments | $589 | $3,870 | |||
Change in accounts receivable | -$6,384 | -$981 | |||
Changes in liabilities | $15,774 | -$4,725 | |||
Changes in inventory | $435 | -$16 | |||
Changes in other operating activities | -$9,873 | $2,497 | |||
Total cash flows from operations | $24,127 | $22,892 | |||
Investing activities | |||||
Capital expenditures | -$3,289 | -$2,102 | |||
Investments | $2,806 | $6,953 | |||
Other cash flows from investing | -$597 | -$615 | |||
Total cash flows from investing | -$1,217 | $4,234 | |||
Financing activities | |||||
Dividends paid | -$3,703 | -$3,811 | |||
Sale and purchase of stock | |||||
Net borrowings | $1,657 | $971 | |||
Other cash flows from financing | -$12 | -$43 | |||
Total cash flows from financing | -$26,794 | -$27,445 | |||
Effect of exchange rate | |||||
Change in cash and equivalents | -$3,884 | -$319 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Net income | $99,803 | $94,680 | ||
Operating activities | ||||
Depreciation | $11,104 | $11,284 | ||
Net income adjustments | $10,044 | $2,985 | ||
Change in accounts receivable | -$1,823 | -$10,125 | ||
Changes in liabilities | $9,926 | $14,002 | ||
Changes in inventory | $1,484 | -$2,642 | ||
Changes in other operating activities | -$8,387 | -$6,146 | ||
Total cash flows from operations | $122,151 | $104,038 | ||
Investing activities | ||||
Capital expenditures | -$10,708 | -$11,085 | ||
Investments | -$9,560 | -$3,075 | ||
Other cash flows from investing | -$1,780 | -$352 | ||
Total cash flows from investing | -$22,354 | -$14,545 | ||
Financing activities | ||||
Dividends paid | -$14,841 | -$14,467 | ||
Sale and purchase of stock | ||||
Net borrowings | -$123 | $12,665 | ||
Other cash flows from financing | -$160 | $976 | ||
Total cash flows from financing | -$110,749 | -$93,353 | ||
Effect of exchange rate | ||||
Change in cash and equivalents | -$10,952 | -$3,860 |
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $32,695 | $40,760 | |||
Short term investments | $34,455 | $32,340 | |||
Net receivables | $41,150 | $50,102 | |||
Inventory | $6,232 | $6,511 | |||
Total current assets | $128,416 | $143,692 | |||
Long term investments | $95,187 | $99,475 | |||
Property, plant & equipment | $43,546 | $43,666 | |||
Goodwill & intangible assets | |||||
Total noncurrent assets | $208,995 | $209,822 | |||
Total investments | $129,642 | $131,815 | |||
Total assets | $337,411 | $353,514 | |||
Current liabilities | |||||
Accounts payable | $45,753 | $58,146 | |||
Deferred revenue | $8,012 | $8,264 | |||
Short long term debt | $12,759 | $12,952 | |||
Total current liabilities | $123,822 | $133,973 | |||
Long term debt | $91,831 | $95,088 | |||
Total noncurrent liabilities | $139,395 | $145,441 | |||
Total debt | $104,590 | $108,040 | |||
Total liabilities | $263,217 | $279,414 | |||
Stockholders' equity | |||||
Retained earnings | $4,339 | $8,242 | |||
Other stockholder equity | -$8,960 | -$9,378 | |||
Total stockholder equity | $74,194 | $74,100 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $29,965 | $23,646 | ||
Short term investments | $31,590 | $24,658 | ||
Net receivables | $60,985 | $60,932 | ||
Inventory | $6,331 | $4,946 | ||
Total current assets | $143,566 | $135,405 | ||
Long term investments | $100,544 | $120,805 | ||
Property, plant & equipment | $43,715 | $42,117 | ||
Goodwill & intangible assets | ||||
Total noncurrent assets | $209,017 | $217,350 | ||
Total investments | $132,134 | $145,463 | ||
Total assets | $352,583 | $352,755 | ||
Current liabilities | ||||
Accounts payable | $62,611 | $64,115 | ||
Deferred revenue | $8,061 | $7,912 | ||
Short long term debt | $15,807 | $21,110 | ||
Total current liabilities | $145,308 | $153,982 | ||
Long term debt | $95,281 | $98,959 | ||
Total noncurrent liabilities | $145,129 | $148,101 | ||
Total debt | $111,088 | $120,069 | ||
Total liabilities | $290,437 | $302,083 | ||
Stockholders' equity | ||||
Retained earnings | -$214 | -$3,068 | ||
Other stockholder equity | -$11,452 | -$11,109 | ||
Total stockholder equity | $62,146 | $50,672 |
Income statement
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $90,753 | $119,575 | |||
Cost of revenue | $48,482 | $64,720 | |||
Gross profit | $42,271 | $54,855 | |||
Operating activities | |||||
Research & development | $7,903 | $7,696 | |||
Selling, general & administrative | $6,468 | $6,786 | |||
Total operating expenses | $14,371 | $14,482 | |||
Operating income | $27,900 | $40,373 | |||
Income from continuing operations | |||||
EBIT | $28,058 | $40,323 | |||
Income tax expense | $4,422 | $6,407 | |||
Interest expense | |||||
Net income | |||||
Net income | $23,636 | $33,916 | |||
Income (for common shares) | $23,636 | $33,916 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $383,285 | $394,328 | ||
Cost of revenue | $214,137 | $223,546 | ||
Gross profit | $169,148 | $170,782 | ||
Operating activities | ||||
Research & development | $29,915 | $26,251 | ||
Selling, general & administrative | $24,932 | $25,094 | ||
Total operating expenses | $54,847 | $51,345 | ||
Operating income | $114,301 | $119,437 | ||
Income from continuing operations | ||||
EBIT | $117,669 | $122,034 | ||
Income tax expense | $16,741 | $19,300 | ||
Interest expense | $3,933 | $2,931 | ||
Net income | ||||
Net income | $96,995 | $99,803 | ||
Income (for common shares) | $96,995 | $99,803 |
Cash flows
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Net income | $23,636 | $33,916 | |||
Operating activities | |||||
Depreciation | $2,836 | $2,848 | |||
Business acquisitions & disposals | |||||
Stock-based compensation | $2,964 | $2,997 | |||
Total cash flows from operations | $22,690 | $39,895 | |||
Investing activities | |||||
Capital expenditures | -$1,996 | -$2,392 | |||
Investments | $2,131 | $4,603 | |||
Total cash flows from investing | -$310 | $1,927 | |||
Financing activities | |||||
Dividends paid | -$3,710 | -$3,825 | |||
Sale and purchase of stock | -$23,205 | -$20,139 | |||
Net borrowings | -$3,148 | -$3,984 | |||
Total cash flows from financing | -$30,433 | -$30,585 | |||
Effect of exchange rate | |||||
Change in cash and equivalents | -$8,053 | $11,237 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Net income | $96,995 | $99,803 | ||
Operating activities | ||||
Depreciation | $11,519 | $11,104 | ||
Business acquisitions & disposals | -$306 | |||
Stock-based compensation | $10,833 | $9,038 | ||
Total cash flows from operations | $110,543 | $122,151 | ||
Investing activities | ||||
Capital expenditures | -$10,959 | -$10,708 | ||
Investments | $16,001 | -$9,560 | ||
Total cash flows from investing | $3,705 | -$22,354 | ||
Financing activities | ||||
Dividends paid | -$15,025 | -$14,841 | ||
Sale and purchase of stock | -$77,550 | -$89,402 | ||
Net borrowings | -$9,901 | -$123 | ||
Total cash flows from financing | -$108,488 | -$110,749 | ||
Effect of exchange rate | ||||
Change in cash and equivalents | $5,760 | -$10,952 |
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $22,884 | $13,931 | |||
Short term investments | $84,360 | $90,818 | |||
Net receivables | $31,279 | $44,261 | |||
Inventory | $4,268 | $3,742 | |||
Other current assets | $18,021 | $16,932 | |||
Total current assets | $160,812 | $169,684 | |||
Long term investments | $6,839 | $6,891 | |||
Property, plant & equipment | $90,384 | $87,546 | |||
Goodwill | $67,459 | $67,524 | |||
Intangible assets | $10,808 | $11,298 | |||
Other assets | $23,482 | $21,897 | |||
Deferred long term asset charges | $13,515 | ||||
Total assets | $359,784 | $364,840 | |||
Current liabilities | |||||
Accounts payable | $16,609 | $19,000 | |||
Short long term debt | $3,248 | $2,749 | |||
Other current liabilities | $56,848 | $59,384 | |||
Total current liabilities | $87,389 | $95,082 | |||
Long term debt | $45,374 | $47,032 | |||
Other liabilities | $28,220 | $30,853 | |||
Deferred long term liabilities | |||||
Minority interest | |||||
Total liabilities | $186,218 | $198,298 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | $88,535 | $86,939 | |||
Retained earnings | $92,374 | $84,281 | |||
Treasury stock | -$7,343 | -$4,678 | |||
Capital surplus | |||||
Other stockholder equity | -$7,343 | -$4,678 | |||
Total stockholder equity | $173,566 | $166,542 | |||
Net tangible assets | $95,299 | $87,720 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $13,931 | $14,224 | ||
Short term investments | $90,818 | $116,032 | ||
Net receivables | $44,261 | $38,043 | ||
Inventory | $3,742 | $2,636 | ||
Other current assets | $16,932 | $13,471 | ||
Total current assets | $169,684 | $184,406 | ||
Long term investments | $6,891 | $5,984 | ||
Property, plant & equipment | $87,546 | $70,803 | ||
Goodwill | $67,524 | $49,711 | ||
Intangible assets | $11,298 | $7,800 | ||
Other assets | $21,897 | $15,075 | ||
Deferred long term asset charges | $13,515 | $7,181 | ||
Total assets | $364,840 | $333,779 | ||
Current liabilities | ||||
Accounts payable | $19,000 | $15,163 | ||
Short long term debt | $2,749 | $8,072 | ||
Other current liabilities | $59,384 | $52,612 | ||
Total current liabilities | $95,082 | $88,657 | ||
Long term debt | $47,032 | $50,074 | ||
Other liabilities | $30,853 | $31,681 | ||
Deferred long term liabilities | ||||
Minority interest | ||||
Total liabilities | $198,298 | $191,791 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | $86,939 | $83,111 | ||
Retained earnings | $84,281 | $57,055 | ||
Treasury stock | -$4,678 | $1,822 | ||
Capital surplus | ||||
Other stockholder equity | -$4,678 | $1,822 | ||
Total stockholder equity | $166,542 | $141,988 | ||
Net tangible assets | $87,720 | $84,477 |
Income statement
(in millions USD) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $50,122 | $51,865 | |||
Cost of revenue | $15,452 | $16,429 | |||
Gross profit | $34,670 | $35,436 | |||
Operating activities | |||||
Research & development | $6,628 | $6,849 | |||
Selling, general & administrative | $6,524 | $8,053 | |||
Non-recurring | |||||
Other operating expenses | |||||
Total operating expenses | $28,604 | $31,331 | |||
Operating income | $21,518 | $20,534 | |||
Income from continuing operations | |||||
Net other income | $54 | -$47 | |||
EBIT | $21,518 | $20,534 | |||
Interest expense | -$500 | -$492 | |||
Income before tax | $21,572 | $20,487 | |||
Income tax expense | $4,016 | $3,747 | |||
Minority interest | |||||
Net income from continuing ops | $17,556 | $16,740 | |||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | |||||
Net income | |||||
Net income | $17,556 | $16,740 | |||
Income (for common shares) | $17,556 | $16,740 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $198,270 | $168,088 | ||
Cost of revenue | $62,650 | $52,232 | ||
Gross profit | $135,620 | $115,856 | ||
Operating activities | ||||
Research & development | $24,512 | $20,716 | ||
Selling, general & administrative | $27,725 | $25,224 | ||
Non-recurring | ||||
Other operating expenses | ||||
Total operating expenses | $114,887 | $98,172 | ||
Operating income | $83,383 | $69,916 | ||
Income from continuing operations | ||||
Net other income | $333 | $1,186 | ||
EBIT | $83,383 | $69,916 | ||
Interest expense | -$2,047 | -$2,330 | ||
Income before tax | $83,716 | $71,102 | ||
Income tax expense | $10,978 | $9,831 | ||
Minority interest | ||||
Net income from continuing ops | $72,738 | $61,271 | ||
Non-recurring events | ||||
Discontinued operations | ||||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | ||||
Net income | ||||
Net income | $72,738 | $61,271 | ||
Income (for common shares) | $72,738 | $61,271 |
Cash flows
(in millions USD) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Net income | $17,556 | $16,740 | |||
Operating activities | |||||
Depreciation | $2,790 | $4,119 | |||
Net income adjustments | $979 | $2,297 | |||
Change in accounts receivable | $11,729 | -$12,634 | |||
Changes in liabilities | -$4,889 | $15,205 | |||
Changes in inventory | -$543 | -$461 | |||
Changes in other operating activities | -$4,834 | $354 | |||
Total cash flows from operations | $23,198 | $24,629 | |||
Investing activities | |||||
Capital expenditures | -$6,283 | -$6,871 | |||
Investments | $4,360 | -$457 | |||
Other cash flows from investing | -$860 | -$1,138 | |||
Total cash flows from investing | -$3,132 | -$9,729 | |||
Financing activities | |||||
Dividends paid | -$4,621 | -$4,632 | |||
Sale and purchase of stock | |||||
Net borrowings | -$1,000 | -$1,000 | |||
Other cash flows from financing | -$264 | -$341 | |||
Total cash flows from financing | -$10,883 | -$13,269 | |||
Effect of exchange rate | -$230 | -$198 | |||
Change in cash and equivalents | $8,953 | $1,433 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Net income | $72,738 | $61,271 | ||
Operating activities | ||||
Depreciation | $14,600 | $10,900 | ||
Net income adjustments | $1,251 | $5,505 | ||
Change in accounts receivable | -$6,834 | -$6,481 | ||
Changes in liabilities | $8,052 | $7,431 | ||
Changes in inventory | -$1,123 | -$737 | ||
Changes in other operating activities | -$345 | $1,160 | ||
Total cash flows from operations | $89,035 | $76,740 | ||
Investing activities | ||||
Capital expenditures | -$23,886 | -$20,622 | ||
Investments | $18,438 | $2,876 | ||
Other cash flows from investing | -$2,825 | -$922 | ||
Total cash flows from investing | -$30,311 | -$27,577 | ||
Financing activities | ||||
Dividends paid | -$18,135 | -$16,521 | ||
Sale and purchase of stock | ||||
Net borrowings | -$9,023 | -$3,750 | ||
Other cash flows from financing | -$863 | -$2,523 | ||
Total cash flows from financing | -$58,876 | -$48,486 | ||
Effect of exchange rate | -$141 | -$29 | ||
Change in cash and equivalents | -$293 | $648 |
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $80,021 | $81,017 | |||
Short term investments | |||||
Net receivables | $44,029 | $42,831 | |||
Inventory | $1,304 | $1,615 | |||
Total current assets | $147,180 | $147,393 | |||
Long term investments | $14,807 | $13,367 | |||
Property, plant & equipment | $138,746 | $128,706 | |||
Goodwill & intangible assets | $147,991 | $148,827 | |||
Total noncurrent assets | $337,095 | $323,165 | |||
Total investments | $14,807 | $13,367 | |||
Total assets | $484,275 | $470,558 | |||
Current liabilities | |||||
Accounts payable | $18,087 | $17,695 | |||
Deferred revenue | $44,833 | $46,034 | |||
Short long term debt | $22,784 | $29,291 | |||
Total current liabilities | $118,525 | $121,016 | |||
Long term debt | $57,127 | $59,083 | |||
Total noncurrent liabilities | $112,598 | $111,274 | |||
Total debt | $79,911 | $88,374 | |||
Total liabilities | $231,123 | $232,290 | |||
Stockholders' equity | |||||
Retained earnings | $159,394 | $145,737 | |||
Other stockholder equity | -$5,435 | -$4,949 | |||
Total stockholder equity | $253,152 | $238,268 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $111,262 | $104,757 | ||
Short term investments | ||||
Net receivables | $48,688 | $44,261 | ||
Inventory | $2,500 | $3,742 | ||
Total current assets | $184,257 | $169,684 | ||
Long term investments | $9,879 | $6,891 | ||
Property, plant & equipment | $109,987 | $87,546 | ||
Goodwill & intangible assets | $77,252 | $78,822 | ||
Total noncurrent assets | $227,719 | $195,156 | ||
Total investments | $9,879 | $6,891 | ||
Total assets | $411,976 | $364,840 | ||
Current liabilities | ||||
Accounts payable | $18,095 | $19,000 | ||
Deferred revenue | $53,813 | $48,408 | ||
Short long term debt | $5,247 | $2,749 | ||
Total current liabilities | $104,149 | $95,082 | ||
Long term debt | $54,718 | $58,521 | ||
Total noncurrent liabilities | $101,604 | $103,216 | ||
Total debt | $59,965 | $61,270 | ||
Total liabilities | $205,753 | $198,298 | ||
Stockholders' equity | ||||
Retained earnings | $118,848 | $84,281 | ||
Other stockholder equity | -$6,343 | -$4,678 | ||
Total stockholder equity | $206,223 | $166,542 |
Income statement
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $61,858 | $62,020 | |||
Cost of revenue | $18,505 | $19,623 | |||
Gross profit | $43,353 | $42,397 | |||
Operating activities | |||||
Research & development | $7,653 | $7,142 | |||
Selling, general & administrative | $8,119 | $8,223 | |||
Total operating expenses | $15,772 | $15,365 | |||
Operating income | $27,581 | $27,032 | |||
Income from continuing operations | |||||
EBIT | $27,527 | $27,435 | |||
Income tax expense | $4,788 | $4,656 | |||
Interest expense | $800 | $909 | |||
Net income | |||||
Net income | $21,939 | $21,870 | |||
Income (for common shares) | $21,939 | $21,870 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $211,915 | $198,270 | ||
Cost of revenue | $65,863 | $62,650 | ||
Gross profit | $146,052 | $135,620 | ||
Operating activities | ||||
Research & development | $27,195 | $24,512 | ||
Selling, general & administrative | $30,334 | $27,725 | ||
Total operating expenses | $57,529 | $52,237 | ||
Operating income | $88,523 | $83,383 | ||
Income from continuing operations | ||||
EBIT | $91,279 | $85,779 | ||
Income tax expense | $16,950 | $10,978 | ||
Interest expense | $1,968 | $2,063 | ||
Net income | ||||
Net income | $72,361 | $72,738 | ||
Income (for common shares) | $72,361 | $72,738 |
Cash flows
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Net income | $21,939 | $21,870 | |||
Operating activities | |||||
Depreciation | $6,027 | $5,959 | |||
Business acquisitions & disposals | -$1,575 | -$65,029 | |||
Stock-based compensation | $2,703 | $2,828 | |||
Total cash flows from operations | $31,917 | $18,853 | |||
Investing activities | |||||
Capital expenditures | -$10,952 | -$9,735 | |||
Investments | $3,108 | $1,492 | |||
Total cash flows from investing | -$10,700 | -$71,925 | |||
Financing activities | |||||
Dividends paid | -$5,572 | -$5,574 | |||
Sale and purchase of stock | -$3,691 | -$3,739 | |||
Net borrowings | -$9,047 | -$633 | |||
Total cash flows from financing | -$18,808 | -$10,147 | |||
Effect of exchange rate | -$80 | $72 | |||
Change in cash and equivalents | $2,329 | -$63,147 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Net income | $72,361 | $72,738 | ||
Operating activities | ||||
Depreciation | $13,861 | $14,460 | ||
Business acquisitions & disposals | -$1,670 | -$22,038 | ||
Stock-based compensation | $9,611 | $7,502 | ||
Total cash flows from operations | $87,582 | $89,035 | ||
Investing activities | ||||
Capital expenditures | -$28,107 | -$23,886 | ||
Investments | $10,213 | $18,438 | ||
Total cash flows from investing | -$22,680 | -$30,311 | ||
Financing activities | ||||
Dividends paid | -$19,800 | -$18,135 | ||
Sale and purchase of stock | -$20,379 | -$30,855 | ||
Net borrowings | -$2,750 | -$9,023 | ||
Total cash flows from financing | -$43,935 | -$58,876 | ||
Effect of exchange rate | -$194 | -$141 | ||
Change in cash and equivalents | $20,773 | -$293 |
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $19,634 | $17,305 | |||
Short term investments | $60,387 | $63,677 | |||
Net receivables | $44,029 | $51,631 | |||
Inventory | $1,304 | $1,615 | |||
Other current assets | $21,826 | $13,165 | |||
Total current assets | $147,180 | $147,393 | |||
Long term investments | $14,807 | $13,367 | |||
Property, plant & equipment | $138,746 | $128,706 | |||
Goodwill | $119,163 | $118,931 | |||
Intangible assets | $28,828 | $29,896 | |||
Other assets | $35,551 | $27,465 | |||
Deferred long term asset charges | |||||
Total assets | $484,275 | $470,558 | |||
Current liabilities | |||||
Accounts payable | $18,087 | $17,695 | |||
Short long term debt | $22,784 | $33,769 | |||
Other current liabilities | $67,222 | $60,739 | |||
Total current liabilities | $118,525 | $121,016 | |||
Long term debt | $65,929 | $63,434 | |||
Other liabilities | $23,665 | $18,251 | |||
Deferred long term liabilities | |||||
Minority interest | |||||
Total liabilities | $231,123 | $232,290 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | $99,193 | $97,480 | |||
Retained earnings | $159,394 | $145,737 | |||
Treasury stock | |||||
Capital surplus | |||||
Other stockholder equity | -$5,435 | -$4,949 | |||
Total stockholder equity | $253,152 | $238,268 | |||
Net tangible assets |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $34,704 | $13,931 | ||
Short term investments | $76,552 | $90,818 | ||
Net receivables | $57,888 | $50,361 | ||
Inventory | $2,500 | $3,742 | ||
Other current assets | $12,613 | $10,832 | ||
Total current assets | $184,257 | $169,684 | ||
Long term investments | $9,879 | $6,891 | ||
Property, plant & equipment | $109,987 | $87,546 | ||
Goodwill | $67,886 | $67,524 | ||
Intangible assets | $9,366 | $11,298 | ||
Other assets | $5,938 | $4,582 | ||
Deferred long term asset charges | ||||
Total assets | $411,976 | $364,840 | ||
Current liabilities | ||||
Accounts payable | $18,095 | $19,000 | ||
Short long term debt | $8,853 | $6,037 | ||
Other current liabilities | $66,192 | $59,384 | ||
Total current liabilities | $104,149 | $95,082 | ||
Long term debt | $57,860 | $60,874 | ||
Other liabilities | $43,311 | $42,112 | ||
Deferred long term liabilities | ||||
Minority interest | ||||
Total liabilities | $205,753 | $198,298 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | $93,718 | $86,939 | ||
Retained earnings | $118,848 | $84,281 | ||
Treasury stock | ||||
Capital surplus | ||||
Other stockholder equity | -$6,343 | -$4,678 | ||
Total stockholder equity | $206,223 | $166,542 | ||
Net tangible assets |
Income statement
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $61,858 | $62,020 | |||
Cost of revenue | $18,505 | $19,623 | |||
Gross profit | $43,353 | $42,397 | |||
Operating activities | |||||
Research & development | $7,653 | $7,142 | |||
Selling, general & administrative | $8,119 | $8,223 | |||
Non-recurring | |||||
Other operating expenses | -$3,816 | -$3,738 | |||
Total operating expenses | $34,277 | $34,988 | |||
Operating income | $27,581 | $27,032 | |||
Income from continuing operations | |||||
Net other income | -$3,816 | -$3,738 | |||
EBIT | |||||
Interest expense | -$921 | ||||
Income before tax | $26,727 | $26,526 | |||
Income tax expense | $4,788 | $4,656 | |||
Minority interest | |||||
Net income from continuing ops | |||||
Non-recurring events | |||||
Discontinued operations | |||||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | $1,387 | $437 | |||
Net income | |||||
Net income | $21,939 | $21,870 | |||
Income (for common shares) | $21,939 | $21,870 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $211,915 | $198,270 | ||
Cost of revenue | $65,711 | $62,650 | ||
Gross profit | $146,204 | $135,620 | ||
Operating activities | ||||
Research & development | $27,195 | $24,512 | ||
Selling, general & administrative | $29,534 | $27,725 | ||
Non-recurring | ||||
Other operating expenses | $1,995 | $2,047 | ||
Total operating expenses | $122,440 | $114,887 | ||
Operating income | $89,475 | $83,383 | ||
Income from continuing operations | ||||
Net other income | $1,995 | $2,047 | ||
EBIT | ||||
Interest expense | -$1,995 | -$2,047 | ||
Income before tax | $89,311 | $83,716 | ||
Income tax expense | $16,950 | $10,978 | ||
Minority interest | ||||
Net income from continuing ops | ||||
Non-recurring events | ||||
Discontinued operations | ||||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | -$96 | -$794 | ||
Net income | ||||
Net income | $72,361 | $72,738 | ||
Income (for common shares) | $72,361 | $72,738 |
Cash flows
(in millions USD) | 31 Mar 2024 | 31 Dec 2023 | |||
---|---|---|---|---|---|
Net income | $21,939 | $21,870 | |||
Operating activities | |||||
Depreciation | $6,027 | $4,659 | |||
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 | |||
Investing activities | |||||
Capital expenditures | -$10,952 | -$9,735 | |||
Investments | |||||
Other cash flows from investing | $252 | -$62,190 | |||
Total cash flows from investing | -$10,700 | -$71,925 | |||
Financing activities | |||||
Dividends paid | -$5,572 | -$5,574 | |||
Sale and purchase of stock | -$3,691 | -$3,739 | |||
Net borrowings | -$9,047 | -$633 | |||
Other cash flows from financing | -$498 | -$201 | |||
Total cash flows from financing | -$18,808 | -$10,147 | |||
Effect of exchange rate | -$247 | ||||
Change in cash and equivalents | $2,329 | -$63,147 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Net income | $72,361 | $72,738 | ||
Operating activities | ||||
Depreciation | $11,000 | $12,600 | ||
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 | ||
Investing activities | ||||
Capital expenditures | -$28,107 | -$23,886 | ||
Investments | ||||
Other cash flows from investing | $5,427 | -$6,425 | ||
Total cash flows from investing | -$22,680 | -$30,311 | ||
Financing activities | ||||
Dividends paid | -$19,800 | -$18,135 | ||
Sale and purchase of stock | -$20,379 | -$30,855 | ||
Net borrowings | -$2,750 | -$9,023 | ||
Other cash flows from financing | -$1,006 | -$863 | ||
Total cash flows from financing | -$43,935 | -$58,876 | ||
Effect of exchange rate | $169 | $232 | ||
Change in cash and equivalents | $20,773 | -$293 |