|
Concept
|
2026 Q1 | 2025 Q4 | 2025 Q3 | 2025 Q2 | 2025 Q1 | 2024 Q4 | 2024 Q3 | 2024 Q2 | 2024 Q1 | 2023 Q4 | 2023 Q3 | 2023 Q2 | 2023 Q1 | 2022 Q4 | 2022 Q3 | 2022 Q2 | 2022 Q1 | 2021 Q4 | 2021 Q3 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| SHORT-TERM ASSETS |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Cash & Short-Term Investments |
$755.0M
-6.21%
YoY
|
$599.0M
-49.54%
YoY
|
$571.0M
-56.84%
YoY
|
$581.0M
-72.74%
YoY
|
$805.0M
-75.82%
YoY
|
$1.187B
169.77%
YoY
|
$1.323B
183.91%
YoY
|
$2.131B
7.52%
YoY
|
$3.329B
77.93%
YoY
|
$440.0M
-79.89%
YoY
|
$466.0M
-75.88%
YoY
|
$1.982B
17.42%
YoY
|
$1.871B
20.94%
YoY
|
$2.188B
8.86%
YoY
|
$1.932B
-61.06%
YoY
|
$1.688B
-60.8%
YoY
|
$1.547B
-60.91%
YoY
|
$2.010B
-61.43%
YoY
|
$4.962B
6.34%
YoY
|
| Cash & Equivalents |
$755.0M
-6.21%
YoY
|
$599.0M
-28.18%
YoY
|
$571.0M
-56.84%
YoY
|
$581.0M
-72.74%
YoY
|
$805.0M
-75.82%
YoY
|
$834.0M
89.55%
YoY
|
$1.323B
183.91%
YoY
|
$2.131B
7.52%
YoY
|
$3.329B
77.93%
YoY
|
$440.0M
-79.89%
YoY
|
$466.0M
-75.88%
YoY
|
$1.982B
17.42%
YoY
|
$1.871B
20.94%
YoY
|
$2.188B
8.86%
YoY
|
$1.932B
38.99%
YoY
|
$1.688B
29.75%
YoY
|
$1.547B
48.89%
YoY
|
$2.010B
2.6%
YoY
|
$1.390B
-23.88%
YoY
|
| Short-Term Investments |
N/A
|
$368.0M
4.25%
YoY
|
$293.0M
N/A
|
$573.0M
N/A
|
$586.0M
N/A
|
$353.0M
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
$3.572B
25.77%
YoY
|
| Other Short-Term Assets |
$304.0M
-56.82%
YoY
|
$959.0M
-45.29%
YoY
|
$209.0M
-89.2%
YoY
|
$122.0M
-92.42%
YoY
|
$704.0M
-55.02%
YoY
|
$1.753B
-83.64%
YoY
|
$1.935B
-79.95%
YoY
|
$1.609B
139.08%
YoY
|
$1.565B
121.05%
YoY
|
$10.71B
1737.74%
YoY
|
$9.653B
93.25%
YoY
|
$673.0M
-26.29%
YoY
|
$708.0M
14.01%
YoY
|
$583.0M
5.81%
YoY
|
$4.995B
921.47%
YoY
|
$913.0M
63.91%
YoY
|
$621.0M
33.26%
YoY
|
$551.0M
116.93%
YoY
|
$489.0M
-40.58%
YoY
|
| Inventory |
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
| Prepaid Expenses |
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
| Receivables |
$2.269B
18.18%
YoY
|
$1.944B
-0.82%
YoY
|
$1.921B
-0.41%
YoY
|
$2.118B
14.86%
YoY
|
$1.920B
4.46%
YoY
|
$1.960B
13.29%
YoY
|
$1.929B
12.22%
YoY
|
$1.844B
-45.8%
YoY
|
$1.838B
-47.12%
YoY
|
$1.730B
-53.23%
YoY
|
$1.719B
-49.04%
YoY
|
$3.402B
-3.35%
YoY
|
$3.476B
-4.9%
YoY
|
$3.699B
-1.94%
YoY
|
$3.373B
-2.74%
YoY
|
$3.520B
1.56%
YoY
|
$3.655B
4.19%
YoY
|
$3.772B
13.82%
YoY
|
$3.468B
10.24%
YoY
|
| Other Receivables |
$113.0M
-31.1%
YoY
|
$432.0M
170.0%
YoY
|
$97.00M
-89.01%
YoY
|
$128.0M
-85.24%
YoY
|
$164.0M
-81.9%
YoY
|
$160.0M
-82.3%
YoY
|
$883.0M
180.32%
YoY
|
$867.0M
-81.12%
YoY
|
$906.0M
-81.55%
YoY
|
$904.0M
-85.76%
YoY
|
$315.0M
7.51%
YoY
|
$4.593B
0.17%
YoY
|
$4.911B
13.63%
YoY
|
$6.348B
45.1%
YoY
|
$293.0M
-73.17%
YoY
|
$4.585B
313.44%
YoY
|
$4.322B
268.46%
YoY
|
$4.375B
346.88%
YoY
|
$1.092B
-3.79%
YoY
|
| Total Short-Term Assets |
$4.981B
12.95%
YoY
|
$4.488B
-13.46%
YoY
|
$3.972B
-34.56%
YoY
|
$4.370B
-32.26%
YoY
|
$4.410B
-42.26%
YoY
|
$5.186B
-62.39%
YoY
|
$6.070B
-50.05%
YoY
|
$6.451B
-39.43%
YoY
|
$7.638B
-30.35%
YoY
|
$13.79B
7.57%
YoY
|
$12.15B
14.73%
YoY
|
$10.65B
-0.52%
YoY
|
$10.97B
8.09%
YoY
|
$12.82B
19.7%
YoY
|
$10.59B
5.81%
YoY
|
$10.71B
13.44%
YoY
|
$10.15B
11.42%
YoY
|
$10.71B
8.18%
YoY
|
$10.01B
0.78%
YoY
|
| LONG-TERM ASSETS |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Property, Plant & Equipment |
$1.113B
61.54%
YoY
|
$691.0M
6.97%
YoY
|
$709.0M
14.35%
YoY
|
$692.0M
7.29%
YoY
|
$689.0M
3.14%
YoY
|
$646.0M
-7.05%
YoY
|
$620.0M
-9.09%
YoY
|
$645.0M
-22.2%
YoY
|
$668.0M
-20.29%
YoY
|
$695.0M
-19.37%
YoY
|
$682.0M
-18.71%
YoY
|
$829.0M
-5.9%
YoY
|
$838.0M
-6.99%
YoY
|
$862.0M
-9.17%
YoY
|
$839.0M
-0.83%
YoY
|
$881.0M
1.97%
YoY
|
$901.0M
4.4%
YoY
|
$949.0M
6.99%
YoY
|
$846.0M
-7.44%
YoY
|
| Goodwill |
$24.59B
41.88%
YoY
|
$17.76B
2.91%
YoY
|
$17.82B
4.53%
YoY
|
$17.58B
3.52%
YoY
|
$17.33B
2.09%
YoY
|
$17.26B
1.7%
YoY
|
$17.05B
1.42%
YoY
|
$16.98B
-38.66%
YoY
|
$16.97B
-50.69%
YoY
|
$16.97B
-50.49%
YoY
|
$16.81B
-67.05%
YoY
|
$27.68B
-46.77%
YoY
|
$34.42B
-35.03%
YoY
|
$34.28B
-35.73%
YoY
|
$51.01B
-3.38%
YoY
|
$52.00B
-2.23%
YoY
|
$52.99B
-0.15%
YoY
|
$53.33B
0.12%
YoY
|
$52.80B
0.44%
YoY
|
| Intangibles |
$4.450B
267.46%
YoY
|
$959.0M
-27.24%
YoY
|
$1.090B
-22.14%
YoY
|
$1.172B
-22.28%
YoY
|
$1.211B
-28.0%
YoY
|
$1.318B
-27.7%
YoY
|
$1.400B
-28.09%
YoY
|
$1.508B
-81.35%
YoY
|
$1.682B
-80.28%
YoY
|
$1.823B
-79.64%
YoY
|
$1.947B
-78.84%
YoY
|
$8.084B
-19.31%
YoY
|
$8.531B
-21.4%
YoY
|
$8.956B
-22.38%
YoY
|
$9.200B
-23.59%
YoY
|
$10.02B
-21.48%
YoY
|
$10.85B
-18.48%
YoY
|
$11.54B
-17.15%
YoY
|
$12.04B
-15.35%
YoY
|
| Long-Term Investments |
$13.00M
-99.66%
YoY
|
$3.681B
-4.59%
YoY
|
$3.759B
-9.05%
YoY
|
$3.873B
-5.21%
YoY
|
$3.795B
-8.13%
YoY
|
$3.858B
N/A
|
$4.133B
N/A
|
$4.086B
N/A
|
$4.131B
N/A
|
$0.00
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
| Other Assets |
$1.831B
13.09%
YoY
|
$1.710B
-2.23%
YoY
|
$1.690B
2.8%
YoY
|
$1.805B
13.45%
YoY
|
$1.619B
6.44%
YoY
|
$1.749B
14.46%
YoY
|
$1.644B
1.73%
YoY
|
$1.591B
-48.04%
YoY
|
$1.521B
-23.49%
YoY
|
$1.528B
-25.39%
YoY
|
$1.616B
-36.6%
YoY
|
$3.062B
63.22%
YoY
|
$1.988B
-6.75%
YoY
|
$2.048B
-4.16%
YoY
|
$2.549B
32.69%
YoY
|
$1.876B
13.35%
YoY
|
$2.132B
31.28%
YoY
|
$2.137B
35.77%
YoY
|
$1.921B
36.82%
YoY
|
| Total Long-Term Assets |
$38.50B
35.43%
YoY
|
$29.00B
1.41%
YoY
|
$29.07B
2.8%
YoY
|
$29.00B
3.04%
YoY
|
$28.43B
0.7%
YoY
|
$28.60B
-30.78%
YoY
|
$28.28B
-31.07%
YoY
|
$28.15B
-34.43%
YoY
|
$28.23B
-43.66%
YoY
|
$41.32B
-18.12%
YoY
|
$41.02B
-39.43%
YoY
|
$42.92B
-37.71%
YoY
|
$50.11B
-29.47%
YoY
|
$50.46B
-30.13%
YoY
|
$67.72B
-5.52%
YoY
|
$68.91B
-5.4%
YoY
|
$71.05B
-2.95%
YoY
|
$72.22B
-2.33%
YoY
|
$71.68B
-2.16%
YoY
|
| TOTAL ASSETS |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total Short-Term Assets |
$4.981B
12.95%
YoY
|
$4.488B
-13.46%
YoY
|
$3.972B
-34.56%
YoY
|
$4.370B
-32.26%
YoY
|
$4.410B
-42.26%
YoY
|
$5.186B
-62.39%
YoY
|
$6.070B
-50.05%
YoY
|
$6.451B
-39.43%
YoY
|
$7.638B
-30.35%
YoY
|
$13.79B
7.57%
YoY
|
$12.15B
14.73%
YoY
|
$10.65B
-0.52%
YoY
|
$10.97B
8.09%
YoY
|
$12.82B
19.7%
YoY
|
$10.59B
5.81%
YoY
|
$10.71B
13.44%
YoY
|
$10.15B
11.42%
YoY
|
$10.71B
8.18%
YoY
|
$10.01B
0.78%
YoY
|
| Total Long-Term Assets |
$38.50B
|
$29.00B
|
$29.07B
|
$29.00B
|
$28.43B
|
$28.60B
|
$28.28B
|
$28.15B
|
$28.23B
|
$41.32B
|
$41.02B
|
$42.92B
|
$50.11B
|
$50.46B
|
$67.72B
|
$68.91B
|
$71.05B
|
$72.22B
|
$71.68B
|
| Total Assets |
$43.48B
32.41%
YoY
|
$33.49B
-0.88%
YoY
|
$33.04B
-3.8%
YoY
|
$33.37B
-3.54%
YoY
|
$32.84B
-8.45%
YoY
|
$33.78B
-38.69%
YoY
|
$34.35B
-35.41%
YoY
|
$34.60B
-35.42%
YoY
|
$35.87B
-41.27%
YoY
|
$55.11B
-12.92%
YoY
|
$53.17B
-32.1%
YoY
|
$53.57B
-32.71%
YoY
|
$61.08B
-24.78%
YoY
|
$63.28B
-23.7%
YoY
|
$78.32B
-4.13%
YoY
|
$79.62B
-3.24%
YoY
|
$81.20B
-1.36%
YoY
|
$82.93B
-1.09%
YoY
|
$81.69B
-1.81%
YoY
|
| SHORT-TERM LIABILITIES |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Accounts Payable |
$2.446B
1289.77%
YoY
|
$192.0M
-10.28%
YoY
|
$257.0M
16.82%
YoY
|
$270.0M
167.33%
YoY
|
$176.0M
35.38%
YoY
|
$214.0M
-88.49%
YoY
|
$220.0M
-85.06%
YoY
|
$101.0M
-96.18%
YoY
|
$130.0M
-94.73%
YoY
|
$1.859B
-32.5%
YoY
|
$1.473B
-40.51%
YoY
|
$2.646B
-7.35%
YoY
|
$2.465B
-8.36%
YoY
|
$2.754B
-3.84%
YoY
|
$2.476B
0.24%
YoY
|
$2.856B
20.2%
YoY
|
$2.690B
13.5%
YoY
|
$2.864B
15.39%
YoY
|
$2.470B
-4.49%
YoY
|
| Accrued Expenses |
N/A
|
$1.692B
14.63%
YoY
|
$1.416B
3.28%
YoY
|
$1.191B
-21.33%
YoY
|
$1.333B
-14.22%
YoY
|
$1.476B
N/A
|
$1.371B
N/A
|
$1.514B
N/A
|
$1.554B
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
| Deferred Revenue |
$1.084B
12.45%
YoY
|
$957.0M
6.1%
YoY
|
$866.0M
3.22%
YoY
|
$918.0M
6.25%
YoY
|
$964.0M
6.4%
YoY
|
$902.0M
8.41%
YoY
|
$839.0M
13.53%
YoY
|
$864.0M
5.62%
YoY
|
$906.0M
9.82%
YoY
|
$832.0M
5.58%
YoY
|
$739.0M
3.79%
YoY
|
$818.0M
12.36%
YoY
|
$825.0M
-2.6%
YoY
|
$788.0M
1.16%
YoY
|
$712.0M
-17.97%
YoY
|
$728.0M
-21.13%
YoY
|
$847.0M
-12.14%
YoY
|
$779.0M
-11.58%
YoY
|
$868.0M
12.0%
YoY
|
| Short-Term Debt |
$4.164B
275.81%
YoY
|
$2.729B
329.09%
YoY
|
$2.075B
1752.68%
YoY
|
$1.719B
N/A
|
$1.108B
N/A
|
$636.0M
-86.64%
YoY
|
$112.0M
-97.56%
YoY
|
$0.00
-100.0%
YoY
|
$0.00
-100.0%
YoY
|
$4.760B
25.36%
YoY
|
$4.595B
89.72%
YoY
|
$5.144B
41.24%
YoY
|
$3.968B
47.95%
YoY
|
$3.797B
-2.91%
YoY
|
$2.422B
-30.48%
YoY
|
$3.642B
26.77%
YoY
|
$2.682B
5.72%
YoY
|
$3.911B
42.22%
YoY
|
$3.484B
10.81%
YoY
|
| Long-Term Debt Due |
$101.0M
-95.52%
YoY
|
$1.284B
32.64%
YoY
|
$2.026B
539.12%
YoY
|
$2.318B
301.04%
YoY
|
$2.254B
283.99%
YoY
|
$968.0M
-28.19%
YoY
|
$317.0M
-75.98%
YoY
|
$578.0M
-26.37%
YoY
|
$587.0M
-72.56%
YoY
|
$1.348B
-36.8%
YoY
|
$1.320B
-55.78%
YoY
|
$785.0M
-75.06%
YoY
|
$2.139B
-8.2%
YoY
|
$2.133B
31.91%
YoY
|
$2.985B
544.71%
YoY
|
$3.148B
553.11%
YoY
|
$2.330B
287.04%
YoY
|
$1.617B
23.06%
YoY
|
$463.0M
-74.73%
YoY
|
| Total Short-Term Liabilities |
$8.471B
21.81%
YoY
|
$7.616B
24.98%
YoY
|
$7.472B
45.31%
YoY
|
$7.448B
55.62%
YoY
|
$6.954B
38.25%
YoY
|
$6.094B
-66.73%
YoY
|
$5.142B
-68.02%
YoY
|
$4.786B
-66.86%
YoY
|
$5.030B
-65.85%
YoY
|
$18.32B
12.91%
YoY
|
$16.08B
17.63%
YoY
|
$14.44B
-6.99%
YoY
|
$14.73B
6.9%
YoY
|
$16.22B
12.15%
YoY
|
$13.67B
8.27%
YoY
|
$15.53B
35.1%
YoY
|
$13.78B
22.92%
YoY
|
$14.47B
17.03%
YoY
|
$12.63B
-1.16%
YoY
|
| LONG-TERM LIABILITIES |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Long-Term Debt |
$16.79B
93.94%
YoY
|
$9.069B
-6.37%
YoY
|
$8.900B
-15.17%
YoY
|
$8.868B
-16.21%
YoY
|
$8.658B
-18.37%
YoY
|
$9.686B
-25.32%
YoY
|
$10.49B
-17.66%
YoY
|
$10.58B
-22.11%
YoY
|
$10.61B
-23.72%
YoY
|
$12.97B
-8.71%
YoY
|
$12.74B
-5.69%
YoY
|
$13.59B
15.6%
YoY
|
$13.91B
-2.13%
YoY
|
$14.21B
-4.17%
YoY
|
$13.51B
-14.68%
YoY
|
$11.76B
-26.81%
YoY
|
$14.21B
-12.83%
YoY
|
$14.83B
-7.06%
YoY
|
$15.83B
4.08%
YoY
|
| Other Long-Term Liabilities |
$1.915B
39.68%
YoY
|
$1.686B
17.0%
YoY
|
$1.585B
11.15%
YoY
|
$1.682B
24.22%
YoY
|
$1.371B
2.93%
YoY
|
$1.441B
-0.35%
YoY
|
$1.426B
-3.52%
YoY
|
$1.354B
-28.47%
YoY
|
$1.332B
-27.88%
YoY
|
$1.446B
-23.53%
YoY
|
$1.478B
-23.46%
YoY
|
$1.893B
1.72%
YoY
|
$1.847B
-5.18%
YoY
|
$1.891B
-1.25%
YoY
|
$1.931B
9.28%
YoY
|
$1.861B
-0.21%
YoY
|
$1.948B
-1.91%
YoY
|
$1.915B
-5.48%
YoY
|
$1.767B
-0.06%
YoY
|
| Total Long-Term Liabilities |
$1.915B
-80.91%
YoY
|
$10.76B
-3.34%
YoY
|
$10.49B
-12.02%
YoY
|
$10.55B
-11.63%
YoY
|
$10.03B
-16.0%
YoY
|
$11.13B
-22.81%
YoY
|
$11.92B
-16.19%
YoY
|
$11.94B
-22.89%
YoY
|
$11.94B
-24.21%
YoY
|
$14.42B
-10.45%
YoY
|
$14.22B
-7.91%
YoY
|
$15.48B
13.7%
YoY
|
$15.75B
-2.5%
YoY
|
$16.10B
-3.84%
YoY
|
$15.44B
-12.27%
YoY
|
$13.62B
-24.05%
YoY
|
$16.16B
-11.65%
YoY
|
$16.74B
-6.88%
YoY
|
$17.60B
3.65%
YoY
|
| TOTAL LIABILITIES |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total Short-Term Liabilities |
$8.471B
21.81%
YoY
|
$7.616B
24.98%
YoY
|
$7.472B
45.31%
YoY
|
$7.448B
55.62%
YoY
|
$6.954B
38.25%
YoY
|
$6.094B
-66.73%
YoY
|
$5.142B
-68.02%
YoY
|
$4.786B
-66.86%
YoY
|
$5.030B
-65.85%
YoY
|
$18.32B
12.91%
YoY
|
$16.08B
17.63%
YoY
|
$14.44B
-6.99%
YoY
|
$14.73B
6.9%
YoY
|
$16.22B
12.15%
YoY
|
$13.67B
8.27%
YoY
|
$15.53B
35.1%
YoY
|
$13.78B
22.92%
YoY
|
$14.47B
17.03%
YoY
|
$12.63B
-1.16%
YoY
|
| Total Long-Term Liabilities |
$1.915B
-80.91%
YoY
|
$10.76B
-3.34%
YoY
|
$10.49B
-12.02%
YoY
|
$10.55B
-11.63%
YoY
|
$10.03B
-16.0%
YoY
|
$11.13B
-22.81%
YoY
|
$11.92B
-16.19%
YoY
|
$11.94B
-22.89%
YoY
|
$11.94B
-24.21%
YoY
|
$14.42B
-10.45%
YoY
|
$14.22B
-7.91%
YoY
|
$15.48B
13.7%
YoY
|
$15.75B
-2.5%
YoY
|
$16.10B
-3.84%
YoY
|
$15.44B
-12.27%
YoY
|
$13.62B
-24.05%
YoY
|
$16.16B
-11.65%
YoY
|
$16.74B
-6.88%
YoY
|
$17.60B
3.65%
YoY
|
| Total Liabilities |
$27.50B
54.75%
YoY
|
$19.59B
8.31%
YoY
|
$19.18B
7.9%
YoY
|
$19.20B
9.36%
YoY
|
$17.77B
-0.41%
YoY
|
$18.08B
-49.78%
YoY
|
$17.78B
-47.24%
YoY
|
$17.56B
-47.29%
YoY
|
$17.85B
-47.47%
YoY
|
$36.01B
0.37%
YoY
|
$33.69B
2.71%
YoY
|
$33.31B
1.15%
YoY
|
$33.97B
-0.04%
YoY
|
$35.87B
1.34%
YoY
|
$32.80B
-4.64%
YoY
|
$32.93B
-2.31%
YoY
|
$33.99B
0.95%
YoY
|
$35.40B
3.04%
YoY
|
$34.40B
1.25%
YoY
|
| SHAREHOLDERS EQUITY |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| Retained Earnings |
-$20.58B
-8.09%
YoY
|
-$22.72B
2.07%
YoY
|
-$23.02B
3.04%
YoY
|
-$23.08B
3.46%
YoY
|
-$22.39B
0.2%
YoY
|
-$22.26B
-2.65%
YoY
|
-$22.34B
-2.04%
YoY
|
-$22.30B
1.16%
YoY
|
-$22.35B
47.59%
YoY
|
-$22.86B
52.72%
YoY
|
-$22.81B
-953.27%
YoY
|
-$22.05B
-913.88%
YoY
|
-$15.14B
-656.45%
YoY
|
-$14.97B
-618.21%
YoY
|
$2.673B
-5.88%
YoY
|
$2.709B
-7.26%
YoY
|
$2.721B
-3.61%
YoY
|
$2.889B
-16.02%
YoY
|
$2.840B
-20.13%
YoY
|
| Common Stock |
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
$6.000M
0.0%
YoY
|
| Preferred Stock |
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
| Treasury Stock (at cost) |
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
$2.343B
263.26%
YoY
|
$2.266B
1410.67%
YoY
|
$2.263B
1516.43%
YoY
|
| Treasury Stock Shares |
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
N/A
|
17.00M shares
325.0%
YoY
|
16.00M shares
1500.0%
YoY
|
16.00M shares
1500.0%
YoY
|
| Shareholders Equity |
$15.98B
6.06%
YoY
|
$13.90B
-11.46%
YoY
|
$13.86B
-16.36%
YoY
|
$14.17B
-16.84%
YoY
|
$15.06B
-16.41%
YoY
|
$15.70B
-17.78%
YoY
|
$16.57B
-14.93%
YoY
|
$17.04B
-15.93%
YoY
|
$18.02B
-33.49%
YoY
|
$19.09B
-29.85%
YoY
|
$19.48B
-57.03%
YoY
|
$20.27B
-56.42%
YoY
|
$27.10B
-42.38%
YoY
|
$27.22B
-42.51%
YoY
|
$45.33B
-3.77%
YoY
|
$46.51B
-3.9%
YoY
|
$47.03B
-2.96%
YoY
|
$47.35B
-3.96%
YoY
|
$47.11B
-3.93%
YoY
|
| Total Liabilities & Shareholders Equity |
$43.48B
32.41%
YoY
|
$33.49B
-0.88%
YoY
|
$33.04B
-3.8%
YoY
|
$33.37B
-3.54%
YoY
|
$32.84B
-8.45%
YoY
|
$33.78B
-38.69%
YoY
|
$34.35B
-35.41%
YoY
|
$34.60B
-35.42%
YoY
|
$35.87B
-41.27%
YoY
|
$55.11B
-12.92%
YoY
|
$53.17B
-32.1%
YoY
|
$53.57B
-32.71%
YoY
|
$61.08B
-24.78%
YoY
|
$63.28B
-23.7%
YoY
|
$78.32B
-4.13%
YoY
|
$79.62B
-3.24%
YoY
|
$81.20B
-1.36%
YoY
|
$82.93B
-1.09%
YoY
|
$81.69B
-1.81%
YoY
|
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