Advanced Micro Devices, Inc. logo AMD - Advanced Micro Devices, Inc.

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0
BUY 50
HOLD 20
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| PRICE TARGET: $490.92 DETAILS
HIGH: $700.00
LOW: $260.00
MEDIAN: $489.00
CONSENSUS: $490.92
DOWNSIDE: 10.21%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986
Revenue
Revenue 34,639 25,785 22,680 23,601 16,434 9,763 6,731 6,475 5,253 4,319 3,991 5,506 5,299 5,422 6,568 6,494 5,403 5,808 5,858 5,627 5,847.6 5,001.4 3,519.2 2,697.0 3,891.8 4,644.2 2,857.6 2,542.1 2,356.4 1,953.0 2,468.4 2,134.7 1,648.3 1,514.5 1,226.6 1,059.2 1,104.6 1,125.9 997.1 632
Cost of Revenue 17,487 13,060 12,220 12,998 8,505 5,416 3,863 4,028 3,466 3,316 2,911 3,667 3,321 4,187 3,628 3,533 3,131 3,488 3,669 2,833 3,455.8 3,032.6 2,327.1 2,105.7 2,589.7 2,514.6 1,448.9 1,251.2 1,578.4 1,440.8 1,417.0 982.3 614.5 594.2 502.9 550.2 507 508.7 409.6 254.5
Gross Profit 17,152 12,725 10,460 10,603 7,929 4,347 2,868 2,447 1,787 1,003 1,080 1,839 1,978 1,235 2,940 2,961 2,272 2,320 2,189 2,794 2,391.8 1,968.8 1,192.1 591.4 1,302.0 2,129.6 1,408.7 1,290.9 777.9 512.2 1,051.4 1,152.4 1,033.8 920.3 723.7 509 597.6 617.2 587.5 377.5
Operating Expenses
R&D Expenses 8,091 6,456 5,872 5,005 2,845 1,983 1,547 1,434 1,196 1,008 947 1,072 1,201 1,354 1,453 1,405 1,721 1,848 1,771 1,190 1,144.0 934.6 852.1 816.1 650.9 641.8 635.8 567.4 467.9 400.7 416.5 280.0 262.8 0 0 0 0 0 0 0
SG&A Expenses 4,144 2,783 2,352 2,336 1,448 995 750 562 516 466 482 604 674 823 992 934 994 1,304 1,360 1,138 1,016.1 807.0 587.3 670.1 620.0 599.0 540.1 419.7 400.7 364.8 412.7 359.2 553.7 498.1 458.7 431.9 422.7 432.5 451 319.3
Other Expenses 1,223 1,586 1,835 1,998 (12) 0 (60) 0 (52) (98) 132 318 0 114 127 (226) (1,107) 1,123 1,368 483 0 6.5 (13.9) 330.6 89.3 0 515.5 467.5 0 0 0 0.0 (87.7) 152.3 155.9 128.3 136.4 153.2 152.7 119.9
Operating Expenses 13,458 10,825 10,059 9,339 4,281 2,978 2,237 1,996 1,660 1,376 1,561 1,994 1,875 2,291 2,572 2,113 1,608 4,275 4,499 2,811 2,160.1 1,748.0 1,425.5 1,816.8 1,360.3 1,240.8 1,691.4 1,454.6 868.6 765.5 829.2 639.3 728.8 650.4 614.6 560.2 559.1 585.7 603.7 439.2
Operating Income
Operating Income 3,694 1,900 401 1,264 3,648 1,369 631 451 127 (373) (481) (155) 103 (1,056) 368 848 664 (1,955) (2,310) (17) 231.7 220.8 (233.4) (1,225.4) (58.3) 888.7 (282.7) (163.7) (90.7) (253.3) 222.2 513.1 305 269.9 109.1 (51.2) 38.5 31.5 (16.2) (61.7)
Interest Expense 131 92 106 88 34 47 94 121 126 156 160 177 177 175 180 199 438 391 367 126 105.0 112.3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Interest Income 215 182 206 65 8 8 15 18 6 2 0 3 5 8 10 11 16 39 73 116 37.2 18.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 7,275 5,258 4,149 5,534 4,166 1,676 724 621 262 (160) (319) (18) 339 (782) 496 1,553 1,974 (730) (1,172) 1,085 1,451.0 1,450.5 748.4 (138.6) 653.9 1,467.8 232.8 303.8 303.8 79.3 486.9 729.1 480.1 422.2 265 77.1 174.9 184.7 136.5 58.2
EBIT 4,271 2,081 598 1,272 3,703 1,322 466 451 118 (293) (486) (221) 103 (1,042) 179 1,170 846 (1,953) (2,310) 399 231.7 226.3 (247.3) (894.8) 31.0 888.7 (282.7) (163.7) (90.7) (253.3) 222.2 513.1 305 269.9 109.1 (51.2) 38.5 31.5 (16.2) (61.7)
Income Before Tax 4,166 2,022 508 1,198 3,675 1,280 372 328 (15) (459) (646) (398) (74) (1,217) 491 509 408 (2,344) (2,801) (113) 158.8 97.0 (271.6) (1,258.4) (75.0) 1,262.9 78.5 (195.9) (76.2) (154.0) 286.5 459.0 317.8 271.6 145.3 (53.6) 49.9 19.3 (45.6) (95.9)
Income Tax Expense (103) 381 (346) (122) 513 (1,210) 31 (9) 18 39 14 5 9 (34) (4) 38 112 68 27 23 (6.6) 5.8 2.9 44.6 (14.5) 256.9 167.4 (91.9) (55.2) (85.0) 70.2 153.7 89 26.6 0 0 3.8 0 2.5 0
Net Income 4,335 1,641 854 1,320 3,162 2,490 341 337 (33) (498) (660) (403) (83) (1,183) 491 471 376 (3,129) (3,379) (166) 165.5 91.2 (274.5) (1,303.0) (60.6) 983.0 (88.9) (104) (21.1) (69.0) 216.3 305.3 228.8 245 145.3 (53.6) 46.1 19.3 (48.1) (95.9)
Per Share Data
EPS (Basic) 2.67 1.01 0.53 0.85 2.61 2.10 0.31 0.34 -0.03 -0.60 -0.84 -0.52 -0.11 -1.60 0.68 0.66 0.46 -5.15 -6.06 -0.34 0.41 0.25 -0.79 -3.81 -0.18 3.18 -0.30 -0.36 -0.08 -0.25 0.80 1.51 0.88 1.29 0.77 -0.39 0.22 0.06 -0.36 -0.83
EPS (Diluted) 2.65 1.00 0.53 0.84 2.57 2.06 0.30 0.32 -0.03 -0.60 -0.84 -0.52 -0.11 -1.60 0.66 0.64 0.45 -5.15 -6.06 -0.34 0.40 0.25 -0.79 -3.81 -0.18 2.89 -0.30 -0.36 -0.08 -0.25 0.79 1.46 1.12 1.25 0.76 -0.39 0.22 0.06 -0.36 -0.83
Shares Outstanding 1,624 1,620 1,614 1,561 1,213 1,184 1,091 982 952 835 783 768 754 741 727 711 673 607 558 492 400.0 358.9 346.9 342 332.4 309.3 294.6 287.3 280.9 271.4 272.4 195.0 188.7 181.9 175.2 164.1 162.3 148.3 155.3 115.5
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986
Current Assets
Cash & Cash Equivalents 5,539 3,787 3,933 4,835 2,535 1,595 1,466 1,078 1,185 1,264 785 805 869 549 869 606 1,657 933 1,432 1,380 633.1 918.4 1,185.8 397.7 427.3 591.5 294.1 361.9 240.7 166.2 126.3 121.3 60.4 52 153.9 49.1 79.7 286.8 235.2 28.9
Short-Term Investments 5,013 1,345 1,840 1,020 1,073 695 37 78 0 0 0 235 228 453 896 1,183 1,019 163 457 161 1,161.7 277.2 127.6 609.0 442.7 701.7 302.4 335.1 226.4 220.0 383.3 256.5 0 0 0 0 0 0 0 0
Net Receivables 6,315 6,933 5,385 4,128 2,708 2,076 1,879 1,269 487 343 566 931 832 630 919 968 745 320 640 1,150 948.8 719.6 564.9 395.8 659.8 547.2 429.8 415.6 329.1 220.0 284.2 337.1 263.6 202.1 189.5 153.5 183.6 167.4 176.5 290
Inventory 7,920 5,734 4,351 3,771 1,955 1,399 982 845 694 751 678 685 884 562 476 632 567 656 810 814 388.6 874.8 697.7 432.6 380.5 343.5 198.2 175.1 168.5 154.0 156.0 128.7 104.0 86 91.5 90 90.5 90.5 81.9 47.6
Other Current Assets 2,160 1,250 1,259 1,265 0 0 0 236 235 140 258 (33) 71 0 0 0 0 28 823 25 92.6 87.8 102.7 91.1 155.9 218.5 56.0 205.9 160.6 240.8 149.6 98.7 505.7 397.6 191.3 103.9 239.9 27.6 77.9 59.8
Total Current Assets 26,947 19,049 16,768 15,019 8,583 6,143 4,597 3,540 2,634 2,530 2,320 2,736 2,884 2,265 3,229 3,594 4,275 2,379 4,563 3,963 3,558.8 3,228.0 2,855.7 2,110.8 2,353.1 2,657.7 1,409.9 1,562 1,175.3 1,029.1 1,137.9 986.6 964.2 737.7 626.2 396.5 593.7 572.3 571.5 426.3
Non-Current Assets
Property, Plant & Equipment 2,312 2,425 2,222 1,973 1,069 849 705 348 261 164 188 302 346 658 726 700 3,809 4,296 4,716 3,987 2,701 4,233.8 3,848.5 2,880.8 2,739.1 2,636.5 2,523.2 2,268.5 1,990.7 1,787.4 1,641.6 1,264.2 904.3 693.3 626.3 647 505.9 495.5 524.3 414.6
Goodwill 25,126 24,839 24,262 24,177 289 289 289 289 289 289 278 320 553 553 323 323 323 323 1,286 3,217 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Intangible Assets 16,705 18,930 21,363 24,118 323 229 210 226 239 234 189 284 358 251 8 37 98 168 465 1,207 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long-Term Investments 0 149 99 83 69 63 58 58 58 59 0 0 90 181 427 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Assets 5,452 3,146 2,805 2,152 1,155 144 147 95 71 45 109 125 106 92 241 310 573 506 520 773 1,027.9 382.4 345.6 718.7 555.0 473.6 444.6 422.5 349.3 328.8 298.9 194.9 60.7 17.1 39.3 68.2 22.8 13.5 17.9 2.6
Total Non-Current Assets 49,979 50,177 51,117 52,561 3,836 2,819 1,431 1,016 918 791 764 1,031 1,453 1,735 1,725 1,370 4,803 5,293 6,987 9,184 3,728.9 4,616.2 4,194.1 3,599.5 3,294.1 3,110.0 2,967.8 2,691 2,340.0 2,116.2 1,940.5 1,459.1 965 710.4 665.6 715.2 528.7 509 542.2 417.2
Total Assets 76,926 69,226 67,885 67,580 12,419 8,962 6,028 4,556 3,552 3,321 3,084 3,767 4,337 4,000 4,954 4,964 9,078 7,672 11,550 13,147 7,287.8 7,844.2 7,049.8 5,710.3 5,647.2 5,767.7 4,377.7 4,253 3,515.3 3,145.3 3,078.5 2,445.7 1,929.2 1,448.1 1,291.8 1,111.7 1,122.4 1,081.3 1,113.7 843.5
Current Liabilities
Account Payables 2,929 1,990 2,055 2,493 1,321 468 988 834 384 440 279 415 519 278 363 581 647 631 1,009 1,338 855.8 655.1 492.6 352.4 305.0 477.4 387.2 334 359.5 224.1 241.9 149.1 127.2 61.7 74.4 84.6 67.7 0 0 0
Short-Term Debt 874 0 751 0 312 0 0 136 70 0 230 177 60 5 489 233 479 286 238 125 43.2 230.8 193.3 72.3 331.7 129.6 47.6 151.6 73.0 42.4 68.4 60.4 52.2 46.7 168.6 61 52.4 61.8 34.6 36.7
Deferred Revenue 0 0 544 859 314 0 2 11 85 63 53 72 145 108 123 143 121 50 101 169 141.9 141.7 72.4 57.2 48.0 92.8 92.9 84.5 83.5 95.5 100.1 83.8 0 0 0 0 0 0 0 0
Other Current Liabilities 5,652 1,729 778 178 489 588 314 249 213 185 219 179 186 158 233 19 168 289 270 327 146.5 181.9 161.7 110.7 56.2 247.6 109.2 102.3 76.1 118.1 162.6 216.3 191.2 244.1 212.3 171.9 155.7 204.4 220.1 152.2
Total Current Liabilities 9,455 7,281 6,689 6,369 4,240 2,417 2,359 1,984 1,513 1,346 1,403 1,440 1,618 1,397 1,774 1,674 2,210 2,226 2,625 2,852 1,822.0 1,846.4 1,407.7 1,259.5 1,313.9 1,224.1 910.7 840.7 726.8 583.5 676.4 592.2 454.6 352.5 455.3 317.5 275.8 266.2 254.7 188.9
Non-Current Liabilities
Long-Term Debt 2,973 1,721 1,717 2,467 1 330 486 1,114 1,325 1,435 2,007 2,035 1,998 2,037 1,527 2,188 4,252 4,490 5,031 3,672 1,327.1 1,628.3 1,899.7 1,568.7 672.9 1,168.0 1,427.3 1,372.4 662.7 444.8 215.0 75.8 79.5 19.7 42 131.3 126.4 130.4 135.9 134
Deferred Tax Liabilities 313 349 1,202 1,934 12 0 0 0 0 0 0 0 0 0 0 0 197 91 6 31 92.6 104.2 157.7 91.1 105.3 204.0 60.5 34.8 96.3 95.1 84.6 42.5 42.8 29.1 11 26.5 29.3 39.9 63.3 48.2
Other Non-Current Liabilities 561 1,816 1,850 1,664 321 177 157 192 118 124 86 105 177 28 63 89 695 569 633 517 459.3 414.6 428.8 323.7 0 0 0 0.1 0 0 0 0 0 0.1 0.1 0.1 0 0 (0.1) (0.1)
Total Non-Current Liabilities 4,472 4,377 5,304 6,461 682 708 842 1,306 1,443 1,559 2,093 2,140 2,175 2,065 1,590 2,277 5,144 5,150 5,670 4,220 1,879.0 2,147.1 2,486.1 1,983.5 778.2 1,372.0 1,487.8 1,407.3 759.0 539.9 299.6 118.3 122.3 48.9 53.1 157.9 155.7 170.3 199.1 182.1
Total Liabilities 13,927 11,658 11,993 12,830 4,922 3,125 3,201 3,290 2,956 2,905 3,496 3,580 3,793 3,462 3,364 3,951 7,354 7,376 8,295 7,072 3,701.0 3,993.5 3,893.8 3,243.1 2,092.2 2,596.1 2,398.4 2,248 1,485.7 1,123.4 976.0 710.4 576.9 401.4 508.4 475.4 431.5 436.5 453.8 371
Stockholders' Equity
Common Stock 17 17 17 16 12 12 12 10 9 9 8 8 7 7 7 7 7 6 6 5 4.4 3.9 3.5 3.4 3.4 3.1 3.0 1.5 1.4 1.4 1.1 1.0 0.9 0 0 0 0 0 0 0
Retained Earnings 6,699 2,364 723 (131) (1,451) (4,605) (7,095) (7,436) (7,775) (7,803) (7,306) (6,646) (6,243) (6,160) (4,977) (5,468) (5,939) (6,244) (3,100) 308 473.7 308.5 217.9 492.7 1,795.7 1,856.3 873.2 962.2 1,066.1 1,087.2 1,192.4 1,035.6 731.6 513.1 278.5 143.5 207.5 171.7 199.3 173.4
Accumulated Other Comprehensive Income (3) (69) (10) (41) (3) 17 0 (8) 6 (5) (8) (5) (2) (3) (5) 1 154 108 163 156 163.6 381.0 258.1 49.9 (133.2) (94.0) (17.4) (30.2) (56.9) (23.9) 0 0 0 0 0 0 0 0 0 0
Total Stockholders' Equity 62,999 57,568 55,892 54,750 7,497 5,837 2,827 1,266 596 416 (412) 187 544 538 1,590 1,013 648 127 2,990 5,785 3,351.8 3,010.1 2,438.3 2,467.3 3,555.1 3,171.7 1,979.3 2,005 2,029.5 2,021.9 2,102.5 1,735.3 1,352.3 1,046.7 783.4 636.3 690.9 644.8 659.9 472.5
Total Liabilities & Equity 76,926 69,226 67,885 67,580 12,419 8,962 6,028 4,556 3,552 3,321 3,084 3,767 4,337 4,000 4,954 4,964 9,078 7,672 11,550 13,147 7,287.8 7,844.2 7,049.8 5,710.3 5,647.2 5,767.7 4,377.7 4,253 3,515.3 3,145.3 3,078.5 2,445.7 1,929.2 1,448.1 1,291.8 1,111.7 1,122.4 1,081.3 1,113.7 843.5
Debt Metrics
Total Debt 4,472 2,212 3,003 2,863 661 531 728 1,250 1,395 1,435 2,237 2,212 2,058 2,042 2,016 2,421 4,731 4,776 5,269 3,797 1,370.3 1,859.1 2,092.9 1,641.0 1,004.6 1,297.5 1,474.9 1,524 735.7 487.2 283.4 136.1 131.7 66.4 210.6 192.3 178.8 192.2 170.5 170.7
Net Debt (1,067) (1,575) (930) (1,972) (1,874) (1,064) (738) 172 210 171 1,452 1,407 1,189 1,493 1,147 1,815 3,074 3,843 3,837 2,417 737.2 940.7 907.1 1,243.3 577.4 706.1 1,180.8 1,162.1 495.0 321.0 157.1 14.8 71.3 14.4 56.7 143.2 99.1 (94.6) (64.7) 141.8
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989
Operating Activities
Net Income 4,269 1,641 854 1,320 3,162 2,490 341 337 43 (497) (660) (403) (83) (1,183) 3 471 293 (3,098) (3,379) (166) 165.5 91.2 (274.5) (1,303.0) (60.6) 983.0 (88.9) (104.0) (21.1) (69.0) 300.5 305.3 228.8 245 145.3 (53.6) 46.1
Depreciation & Amortization 3,004 3,177 3,551 4,262 463 354 258 170 144 133 167 203 236 260 317 383 1,128 1,223 1,138 837 1,219.3 1,224.3 995.7 756.2 622.9 579.1 515.5 467.5 394.5 332.6 262.5 216.0 175.1 152.3 155.9 128.3 136.4
Stock-Based Compensation 1,638 1,407 1,384 1,081 379 274 197 137 97 86 63 81 91 97 90 87 75 83 77 5 5.2 1.9 1.9 2.9 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital (2,378) (2,098) (3,049) (1,846) (774) (931) (542) (727) (264) 180 102 (291) (448) 220 (252) (1,501) (1,039) (341) 27 172 219.3 (121.7) (305.8) 162.8 (428.1) (122.2) 122.4 (120.9) 32.6 (124.8) 39.7 (21.1) 10.4 16.6 (41.2) 26.8 (19.6)
Other Non-Cash Items 928 77 (54) 253 (17) 107 243 121 39 177 91 18 55 308 230 143 (114) 1,415 1,851 441 (104.6) (69.9) (124.7) 256.8 69.5 (215.3) (449.8) 8.6 11.4 (82.8) (32.4) 73.1 69.0 (6.1) 0.1 (0.1) (0.2)
Operating Cash Flow 7,709 3,041 1,667 3,565 3,521 1,071 493 34 68 90 (237) (98) (148) (338) 382 (412) 473 (692) (310) 1,287 1,482.9 1,086.5 295.6 (88.9) 167.6 1,205.6 259.9 144.4 398.8 73.2 611.9 573.2 456.2 388.7 189.1 108 155.6
Investing Activities
Capital Expenditure (974) (636) (546) (450) (301) (294) (217) (163) (113) (77) (96) (95) (84) (133) (250) (148) (466) (624) (1,685) (1,857) (1,513.2) (1,440.1) (570.3) (705.1) (678.9) (805.5) (619.8) (996.2) (685.1) (485.0) (620.8) (548.7) (323.7) (222.1) (111) (304.2) (158.8)
Acquisitions (1,760) (565) (131) 822 0 (27) 0 0 1 0 0 0 0 (281) 16 (904) 0 127 157 (3,893) 9.7 (6.3) (6.3) (26.5) 1.7 0 0 0 43.6 0 4.8 2.1 0 1.3 3 56.7 10.3
Purchases of Investments (5,972) (1,834) (3,722) (2,667) (2,056) (850) (284) (123) (222) 0 (227) (790) (1,043) (944) (1,586) (1,800) (1,486) (200) (545) (2,119) (1,720.8) (377.1) (1,029.9) (4,465.3) (4,130.8) (4,180.0) (1,579.8) (1,591.8) (537.1) (633.5) (1,326.1) (1,245.2) (715.5) (594.8) (147.3) (316.6) (401.3)
Sales/Maturities of Investments 1,845 2,032 2,987 4,310 1,678 192 325 45 222 342 462 873 1,344 1,348 1,726 1,709 617 416 307 3,263 1,096.9 227.3 1,512.1 4,333.9 4,376.7 3,781.8 1,598.9 1,482.9 545.5 840.5 1,246.0 1,416.4 566.8 432.6 96.4 449.7 320.4
Other Investing Activities 1,328 (98) (11) (16) (7) 27 27 71 (2) 2 8 0 238 (9) (19) 20 62 254 91 303 (142.2) 40.4 177.6 8.6 (122.4) 387.9 458.3 107.0 (0.1) 2.5 (18.0) (139.2) 4.6 21.2 84 (25.9) 0.1
Investing Cash Flow (5,533) (1,101) (1,423) 1,999 (686) (952) (149) (170) (114) 277 147 (12) 455 (19) (113) (1,123) (1,273) (27) (1,675) (4,303) (2,269.6) (1,555.8) 83.2 (854.4) (553.5) (815.8) (142.4) (998.1) (633.3) (275.5) (714.1) (514.6) (467.7) (361.8) (74.9) (140.3) (229.3)
Financing Activities
Net Debt Issuance 1,491 (750) 0 679 0 0 (473) (41) (40) (561) 56 40 0 2 (39) 446 477 142 1,358 2,827 (69.4) (152.2) (93.6) 802.5 234.7 (239.2) (231.7) 709.4 203.7 195.1 103.4 (26.9) (12.2) (144.2) (7.9) 4.4 (13.4)
Stock Repurchased (1,316) (1,590) (1,412) (4,108) (1,999) (78) (6) (6) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 (77.2) 0 0 0 0 0 (3.5) 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 (0.0) (10.3) (10.3) (10.4) (10.4) (10.4) (10.4)
Other Financing Activities (891) 278 266 165 104 84 522 75 7 16 (2) 6 10 21 15 23 (171) 78 (7) 210 374.2 441.4 325.5 75.7 37.5 15.4 14.4 221.5 64.8 0 0 0 0.1 0 0.1 0.1 0.1
Financing Cash Flow (431) (2,062) (1,146) (3,264) (1,895) 6 43 28 (33) 122 59 46 13 37 (6) 484 1,524 220 2,037 3,763 494.2 412.8 267.4 907.4 231.7 (100.9) (173.5) 975.0 308.9 242.2 130.9 2.3 19.9 (128.9) (9.3) 1.7 (15.2)
Cash Position
Net Change in Cash 1,859 (122) (902) 2,300 940 125 387 (108) (79) 479 (20) (64) 320 (320) 263 (1,051) 724 (499) 52 747 (285.3) (49.8) 678.3 1.5 (164.2) 297.3 (67.8) 121.2 74.5 39.9 28.7 60.9 8.4 (102) 104.9 (30.6) (88.9)
Cash at Beginning 3,680 3,933 4,835 2,535 1,595 1,470 1,083 1,191 1,264 785 805 869 549 869 606 1,657 933 1,432 1,380 633 918.4 968.2 289.8 427.3 591.5 294.1 361.9 240.7 166.2 126.3 84.6 60.4 52.0 153.9 49.1 79.7 168.6
Cash at End 5,539 3,811 3,933 4,835 2,535 1,595 1,470 1,083 1,185 1,264 785 805 869 549 869 606 1,657 933 1,432 1,380 633.1 918.4 968.2 428.7 427.3 591.5 294.1 361.9 240.7 166.2 113.4 121.3 60.4 51.9 154 49.1 79.7
Free Cash Flow 6,735 2,405 1,121 3,115 3,220 777 276 (129) (45) 13 (333) (193) (232) (471) 132 (560) 7 (1,316) (1,995) (570) (30.3) (353.6) (274.7) (794.1) (511.2) 400.1 (359.9) (851.8) (286.3) (411.8) (8.9) 24.4 132.6 166.6 78.1 (196.2) (3.2)
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986
Income Statement
Revenue 34,639 25,785 22,680 23,601 16,434 9,763 6,731 6,475 5,253 4,319 3,991 5,506 5,299 5,422 6,568 6,494 5,403 5,808 5,858 5,627 5,847.6 5,001.4 3,519.2 2,697.0 3,891.8 4,644.2 2,857.6 2,542.1 2,356.4 1,953.0 2,468.4 2,134.7 1,648.3 1,514.5 1,226.6 1,059.2 1,104.6 1,125.9 997.1 632
Gross Profit 17,152 12,725 10,460 10,603 7,929 4,347 2,868 2,447 1,787 1,003 1,080 1,839 1,978 1,235 2,940 2,961 2,272 2,320 2,189 2,794 2,391.8 1,968.8 1,192.1 591.4 1,302.0 2,129.6 1,408.7 1,290.9 777.9 512.2 1,051.4 1,152.4 1,033.8 920.3 723.7 509 597.6 617.2 587.5 377.5
Operating Income 3,694 1,900 401 1,264 3,648 1,369 631 451 127 (373) (481) (155) 103 (1,056) 368 848 664 (1,955) (2,310) (17) 231.7 220.8 (233.4) (1,225.4) (58.3) 888.7 (282.7) (163.7) (90.7) (253.3) 222.2 513.1 305 269.9 109.1 (51.2) 38.5 31.5 (16.2) (61.7)
Net Income 4,335 1,641 854 1,320 3,162 2,490 341 337 (33) (498) (660) (403) (83) (1,183) 491 471 376 (3,129) (3,379) (166) 165.5 91.2 (274.5) (1,303.0) (60.6) 983.0 (88.9) (104) (21.1) (69.0) 216.3 305.3 228.8 245 145.3 (53.6) 46.1 19.3 (48.1) (95.9)
EPS (Diluted) 2.65 1.00 0.53 0.84 2.57 2.06 0.30 0.32 -0.03 -0.60 -0.84 -0.52 -0.11 -1.60 0.66 0.64 0.45 -5.15 -6.06 -0.34 0.40 0.25 -0.79 -3.81 -0.18 2.89 -0.30 -0.36 -0.08 -0.25 0.79 1.46 1.12 1.25 0.76 -0.39 0.22 0.06 -0.36 -0.83
Balance Sheet
Cash & Equivalents 5,539 3,787 3,933 4,835 2,535 1,595 1,466 1,078 1,185 1,264 785 805 869 549 869 606 1,657 933 1,432 1,380 633.1 918.4 1,185.8 397.7 427.3 591.5 294.1 361.9 240.7 166.2 126.3 121.3 60.4 52 153.9 49.1 79.7 286.8 235.2 28.9
Total Assets 76,926 69,226 67,885 67,580 12,419 8,962 6,028 4,556 3,552 3,321 3,084 3,767 4,337 4,000 4,954 4,964 9,078 7,672 11,550 13,147 7,287.8 7,844.2 7,049.8 5,710.3 5,647.2 5,767.7 4,377.7 4,253 3,515.3 3,145.3 3,078.5 2,445.7 1,929.2 1,448.1 1,291.8 1,111.7 1,122.4 1,081.3 1,113.7 843.5
Total Debt 4,472 2,212 3,003 2,863 661 531 728 1,250 1,395 1,435 2,237 2,212 2,058 2,042 2,016 2,421 4,731 4,776 5,269 3,797 1,370.3 1,859.1 2,092.9 1,641.0 1,004.6 1,297.5 1,474.9 1,524 735.7 487.2 283.4 136.1 131.7 66.4 210.6 192.3 178.8 192.2 170.5 170.7
Stockholders' Equity 62,999 57,568 55,892 54,750 7,497 5,837 2,827 1,266 596 416 (412) 187 544 538 1,590 1,013 648 127 2,990 5,785 3,351.8 3,010.1 2,438.3 2,467.3 3,555.1 3,171.7 1,979.3 2,005 2,029.5 2,021.9 2,102.5 1,735.3 1,352.3 1,046.7 783.4 636.3 690.9 644.8 659.9 472.5
Cash Flow
Operating Cash Flow 7,709 3,041 1,667 3,565 3,521 1,071 493 34 68 90 (237) (98) (148) (338) 382 (412) 473 (692) (310) 1,287 1,482.9 1,086.5 295.6 (88.9) 167.6 1,205.6 259.9 144.4 398.8 73.2 611.9 573.2 456.2 388.7 189.1 108 155.6
Capital Expenditure (974) (636) (546) (450) (301) (294) (217) (163) (113) (77) (96) (95) (84) (133) (250) (148) (466) (624) (1,685) (1,857) (1,513.2) (1,440.1) (570.3) (705.1) (678.9) (805.5) (619.8) (996.2) (685.1) (485.0) (620.8) (548.7) (323.7) (222.1) (111) (304.2) (158.8)
Free Cash Flow 6,735 2,405 1,121 3,115 3,220 777 276 (129) (45) 13 (333) (193) (232) (471) 132 (560) 7 (1,316) (1,995) (570) (30.3) (353.6) (274.7) (794.1) (511.2) 400.1 (359.9) (851.8) (286.3) (411.8) (8.9) 24.4 132.6 166.6 78.1 (196.2) (3.2)