American Water Works Company, Inc. logo AWK - American Water Works Company, Inc.

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 14
HOLD 14
SELL 2
STRONG
SELL
0
| PRICE TARGET: $131.67 DETAILS
HIGH: $140.00
LOW: $124.00
MEDIAN: $131.00
CONSENSUS: $131.67
UPSIDE: 5.28%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986 1985
Revenue
Revenue 5,140 4,684 4,234 3,792 3,930 3,777 3,610 3,440 3,357 3,302 3,159 3,011.3 2,901.9 2,876.9 2,666.2 2,710.7 2,440.7 2,336.9 2,214.2 2,093.1 2,136.7 1,438.9 1,350.6 1,260.9 1,017.8 954.2 894.6 802.8 770.2 717.5 657.4 633 570.7 527.5 511.9 483.4 466.5 429.7
Cost of Revenue 2,913 1,858 1,720 1,589 1,777 1,622 1,544 1,479 1,378 1,504 1,404 1,349.9 1,312.7 1,350.0 1,301.8 1,389.2 1,324.4 1,303.8 0 0 0 664.5 592.6 553.0 437.1 421.6 418.2 396.7 385 355.8 333.2 318.3 294.7 285.6 271.6 246.5 232.7 213
Gross Profit 2,227 2,826 2,514 2,203 2,153 2,155 2,066 1,961 1,979 1,798 1,755 1,661.5 1,589.1 1,526.8 1,364.4 1,321.5 1,116.3 1,033.1 2,214.2 2,093.1 2,136.7 774.3 758.0 707.9 580.7 532.6 476.4 406.1 385.2 361.7 324.2 314.7 276 241.9 240.3 236.9 233.8 216.7
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0 0 0 5 3 3 2.8 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 0 28 32 77 78 49 16 20 9 5 14 15 16 16.9 0 0 0 0 0 (6.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 5.4
Other Expenses 348 1,080 978 853 879 858 836 839 726 713 664 642.8 623.4 583.0 561.3 1,962.6 2,267.1 2,530.1 2,211.3 1,845.5 2,136.7 982.1 894.4 841.3 659.7 622 602.1 559.9 538.7 498.8 122 110.4 99.1 86.7 80.3 77.1 73.1 68.2
Operating Expenses 348 1,108 1,010 930 957 907 852 859 735 718 683 660.8 642.4 602.7 561.3 1,962.6 2,267.1 2,530.1 2,211.3 1,839.6 2,136.7 982.1 894.4 841.3 659.7 622 602.1 559.9 538.7 498.8 122 110.4 99.1 86.7 80.3 77.1 73.1 73.6
Operating Income
Operating Income 1,879 1,718 1,504 1,273 1,196 1,248 1,214 1,102 1,253 1,080 1,075 1,002.6 945.8 925.0 803.1 748.1 173.6 (186.9) 2.9 253.5 2,136.7 (207.7) (136.5) 419.6 (120.1) (127.7) 294 (153.8) (153.5) (137.1) 202.2 204.3 176.9 155.2 160 159.8 160.7 143.1
Interest Expense 615 523 460 433 403 397 386 361 356 339 321 309.3 319.9 322.0 311.5 308.8 296.5 285.2 279.7 363.3 347.2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Interest Income 90 94 73 52 4 2 4 11 14 14 13 11.4 11.8 12.7 10.9 5.8 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 2,931 2,670 2,360 1,999 1,910 1,925 1,801 1,693 1,760 1,579 1,512 1,425 1,356 1,334.8 1,167.0 1,112.8 520.1 147.3 307.2 511.8 2,136.7 (21.3) 40.1 62.4 30.3 3.1 395.9 (66.8) (73.4) (62) 257.2 251.5 220.4 192 195.5 194.8 193.5 172.7
EBIT 2,037 1,882 1,656 1,350 1,274 1,321 1,219 1,148 1,268 1,109 1,072 1,001 949 953.8 827.0 758.2 184.9 (173.4) 2.9 254.6 2,136.7 (207.7) (136.5) 419.6 (120.1) (127.7) 294 (153.8) (153.5) (137.1) 202.2 204.3 176.9 155.2 160 159.8 160.7 143.1
Income Before Tax 1,422 1,359 1,196 1,008 1,640 924 833 787 912 770 782 709.8 605.5 631.3 503.7 449.4 (111.7) (450.6) (255.5) (108.9) 0 271.8 266.4 230.3 214.3 193.8 165.5 149.7 128.6 123.3 105.9 111.8 86.7 74.8 87.9 97.1 103.2 84
Income Tax Expense 311 308 252 188 377 215 212 222 486 302 306 280.0 236.2 257.0 198.8 181.6 121.4 111.8 86.8 46.9 325.0 110.3 105.3 91.4 83.3 74.7 63.8 57.6 49.9 47.9 37.7 38.2 29.6 26.5 31 41.1 47.4 37.1
Net Income 1,111 1,051 944 820 1,263 709 621 567 426 468 476 423.1 369.3 358.1 309.6 267.8 (233.1) (562.4) (342.8) (162.2) (325.0) 161.5 161.1 138.9 131 119.1 101.7 92.1 78.7 75.4 68.2 73.6 57.1 48.3 56.9 56 55.8 46.9
Per Share Data
EPS (Basic) 5.70 5.39 4.89 4.51 6.94 3.92 3.43 3.15 2.39 2.63 2.66 2.36 2.08 2.03 1.77 1.53 -1.39 -3.52 -2.14 -1.01 -2.03 1.62 1.61 1.40 1.54 1.51 1.31 1.32 1.17 1.15 1.04 1.14 0.92 0.78 0.92 0.91 0.91 0.77
EPS (Diluted) 5.70 5.39 4.89 4.51 6.94 3.90 3.43 3.15 2.38 2.62 2.64 2.35 2.06 2.01 1.76 1.53 -1.39 -3.52 -2.14 -1.01 -1.72 1.61 1.61 1.40 1.54 1.51 1.31 1.32 1.17 1.15 1.04 1.14 0.92 0.78 0.92 0.91 0.90 0.76
Shares Outstanding 195 195 193 182 182 181 181 180 178 178 179 178.9 178 176.4 175.5 174.8 168.2 160.0 160 160 160.1 99.5 98.0 96.5 95.2 79.0 74.6 66.7 63.8 62.1 61.7 61.3 61.3 61.0 61.0 60.5 60.3 59.6
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986 1985
Current Assets
Cash & Cash Equivalents 119 125 330 85 116 547 60 130 55 75 45 23 27.0 24.4 14.2 13.1 22.3 9.5 13.5 31.9 19.7 28.6 43.1 39.9 12.7 13 23.7 31.5 53.4 29.1 10.2 13.6 11.9 18.5 19.9 28.4 33.7
Short-Term Investments 55 71 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 0 0 0
Net Receivables 1,632 756 727 723 523 527 466 487 484 532 522 453 429.6 385.0 338.4 18.7 353.6 333.6 350.7 308.2 239.2 187.9 169.6 161.0 127.5 124.9 113.1 112.4 110 96.6 98.1 96 90.4 81.1 78.2 84.2 73.1
Inventory 112 103 112 98 57 47 44 41 41 39 38 37.2 33.0 29.8 28.6 28.9 29.5 28.9 27.5 23.0 32.3 20.7 20.1 11.9 11.4 11.1 9.6 9.8 9 8.3 7.9 7.6 7.6 7.3 7.1 6.6 6.1
Other Current Assets 273 160 220 344 858 785 715 123 140 138 52 62 82.3 60.2 980.4 1,077.7 93.7 45.5 61.8 103.9 39.4 40.6 46.0 42.6 21.3 18.3 18 16.9 17.3 16.6 16.5 14.7 13.9 12 12.2 11.2 10.1
Total Current Assets 2,191 1,215 1,389 1,250 1,554 1,906 1,285 781 720 784 657 661.4 550.4 499.4 467.8 534.3 499.1 417.7 430.4 412.4 330.6 277.7 278.7 211.8 172.9 167.3 164.4 170.6 189.7 150.6 132.7 131.9 123.8 118.9 117.4 130.4 123
Non-Current Assets
Property, Plant & Equipment 30,661 28,127 25,524 23,305 21,176 19,805 18,335 17,409 16,246 14,992 13,933 13,029.3 12,391.2 11,739.4 11,021.1 11,201.6 10,677.4 10,123.9 9,318.0 8,720.6 5,642.7 5,371.5 5,084.5 4,128.8 3,805.4 3,537.4 2,940 2,703.4 2,506.4 2,157.6 2,011.7 1,881 1,722.4 1,569.3 1,452.3 1,323.3 1,213.6
Goodwill 1,156 1,144 1,143 1,143 1,139 1,504 1,501 1,575 1,379 1,345 1,302 1,208.0 1,207.8 1,207.2 1,195.1 1,250.7 1,250.4 1,699.5 350.7 308.2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Intangible Assets 0 0 0 0 0 55 67 84 9 10 12 0 0 0 0 0 0 0 0 0 23.4 0 0 24.4 22.7 22.7 22.6 22.7 22.7 22.6 22.6 22.5 22.3 22.2 22.1 22.1 22
Long-Term Investments 57 88 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 0 0 0
Other Non-Current Assets 1,377 2,256 2,242 2,089 2,206 1,496 1,494 1,374 1,128 1,361 1,349 1,226 920.2 1,272.9 1,162.6 1,051.2 1,025.8 990.7 746.1 687.6 610.4 485.6 589.0 449.1 313.3 304.7 276.1 275.5 275.2 85 73.5 57.2 47.8 26.7 23.8 22.2 24.4
Total Non-Current Assets 34,334 31,615 28,909 26,537 24,521 22,860 21,397 20,442 18,762 17,698 16,584 15,469.6 14,519.1 14,219.5 14,308.6 13,545.5 12,953.5 12,814.1 12,503.7 12,370.6 6,276.5 5,857.1 5,673.5 4,496.5 4,141.4 3,864.9 3,238.7 3,036.1 2,804.3 2,265.2 2,107.8 1,960.7 1,792.5 1,618.2 1,498.2 1,367.6 1,260
Total Assets 36,525 32,830 30,298 27,787 26,075 24,766 22,682 21,223 19,482 18,482 17,241 16,131.0 15,069.5 14,719.0 14,776.4 14,079.8 13,452.7 13,231.8 12,934.1 12,783.1 6,607.1 6,134.8 5,952.2 4,708.3 4,314.3 4,032.2 3,403.1 3,206.7 2,994 2,415.8 2,240.5 2,092.6 1,916.3 1,737.1 1,615.6 1,498 1,383
Current Liabilities
Account Payables 378 346 294 254 235 189 203 175 195 154 126 100 231.7 279.6 243.7 188.3 138.6 149.8 168.9 140.7 68.0 52.4 67.1 63.3 42.8 36.8 43.3 43.6 31.6 27.1 28.7 32.9 42.6 0 0 0 0
Short-Term Debt 3,067 1,516 654 1,456 641 1,611 814 1,035 1,227 1,423 682 511 644.5 385.9 543.9 274.5 173.6 654.8 317.0 1,007.1 580.2 573.6 278.2 142.4 159.9 204.5 192.9 156.4 199 226.3 113.9 241.2 138.1 107.3 96 76.3 46.1
Deferred Revenue 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 0 0 0 0 0
Other Current Liabilities 1,168 230 252 255 300 352 302 196 167 112 144 153 242.7 239.9 605.8 556.0 189.5 194.0 0 0 0 0 0 0 0.1 0.1 0.2 0 0.1 72.3 72.8 68.8 64.2 86.9 90.2 88.9 61.2
Total Current Liabilities 4,747 3,150 2,151 2,811 2,141 2,881 2,045 2,094 2,325 2,392 1,533 1,241.0 1,235.5 994.8 1,106.9 774.5 607.4 1,104.8 774.5 1,363.7 824.7 774.1 491.7 301.3 306.5 335 321.1 276.8 302.4 325.7 215.4 342.9 244.9 194.2 186.2 165.2 107.3
Non-Current Liabilities
Long-Term Debt 12,851 12,518 11,715 10,926 10,341 9,329 8,639 7,569 6,490 5,749 5,862 5,427 5,212.9 5,190.5 5,339.9 5,394.1 5,312.1 4,648.2 4,674.8 3,096.4 2,550.0 2,271.2 2,767.9 2,332.2 1,870 1,716.4 1,384.6 1,308 1,185.4 944.1 948 799.7 775.3 684.3 623.5 576.3 585.4
Deferred Tax Liabilities 4,273 2,881 2,717 2,437 2,421 2,113 1,893 1,740 1,573 2,619 2,334 2,059 1,867.1 1,573.4 1,271.3 1,141.2 884.3 739.6 638.9 583.4 663.1 645.4 610.5 577.1 454.4 382.6 395.1 379.1 350.8 139.6 126.9 113.5 96 89.3 84.3 73.2 58.9
Other Non-Current Liabilities 3,721 3,873 3,845 3,850 3,794 3,908 3,895 3,956 3,709 2,504 2,463 2,396 2,044.8 2,515.2 2,435.7 2,311.9 2,643.4 (5,387.8) (5,313.8) (3,679.8) (3,627.0) (3,320.1) (3,753.2) (3,263.7) (2,325.2) (2,100) (1,781) (1,688.7) (1,538.2) (1,083.7) (1,074.9) (913.2) (871.3) (773.6) (707.8) (649.5) (644.3)
Total Non-Current Liabilities 20,941 19,348 18,350 17,283 16,636 15,431 14,516 13,265 11,772 10,872 10,659 9,974.4 9,106.2 9,279.2 9,429.1 9,173.0 8,839.8 3,869.1 5,313.8 3,679.8 3,213.1 2,916.6 3,044.1 2,590.3 2,324.4 2,135.3 1,778.4 1,678 1,536.2 1,083.7 1,074.9 913.2 871.3 773.6 707.8 649.5 644.3
Total Liabilities 25,688 22,498 20,501 20,094 18,777 18,312 16,561 15,359 14,097 13,264 12,192 11,215.4 10,341.7 10,274.0 10,536.0 9,947.5 9,447.2 9,101.1 8,363.2 7,186.6 4,799.7 4,412.4 4,223.6 3,372 3,074.2 2,875.3 2,483.9 2,371.6 2,273.8 1,696.7 1,565.1 1,522.8 1,378.4 1,274.7 1,188.7 1,108.7 1,018.5
Stockholders' Equity
Common Stock 2 2 2 2 2 2 2 2 2 2 2 1.8 1.8 1.8 1.8 1.8 1.7 1.6 1.6 1.6 125.0 123.5 121.6 101.1 99.6 98 42.4 40.8 39.1 0 0 0 0 0 0 0 0
Retained Earnings 2,575 2,112 1,659 1,267 925 102 (207) (464) (723) (873) (1,073) (1,295.5) (1,495.7) (1,665.0) (1,848.8) (1,959.2) (2,076.3) (1,705.6) (1,079.1) (736.3) 1,137.8 1,069.5 1,001.0 778.5 717.2 662.2 664.5 618.9 578.6 538.3 502.8 459.3 427.4 402.3 366.9 331.1 306.7
Accumulated Other Comprehensive Income 6 12 (26) (23) (45) (49) (36) (34) (79) (86) (88) (81.9) (34.6) (116.2) (97.7) (71.4) (64.7) (82.3) (18.4) (18.8) (183.8) (1,276.4) (1,152.6) (848.5) (755.4) (682.8) (590.8) (535.1) (484.2) (406.2) (371.5) (338.5) (309) (283.1) (261.4) (244.4) (228.4)
Total Stockholders' Equity 10,837 10,332 9,797 7,693 7,298 6,454 6,121 5,864 5,385 5,218 5,049 4,915.6 4,727.8 4,445.0 4,240.4 4,132.3 4,005.4 4,130.7 4,570.9 5,596.4 1,807.4 1,722.4 1,728.6 1,336.3 1,240.1 1,156.9 919.2 835.1 720.2 719.1 675.4 569.8 537.9 462.4 426.9 389.3 364.5
Total Liabilities & Equity 36,525 32,830 30,298 27,787 26,075 24,766 22,682 21,223 19,482 18,482 17,241 16,131.0 15,069.5 14,719.0 14,776.4 14,079.8 13,452.7 13,231.8 12,934.1 12,783.1 6,607.1 6,134.8 5,952.2 4,708.3 4,314.3 4,032.2 3,403.1 3,206.7 2,994 2,415.8 2,240.5 2,092.6 1,916.3 1,737.1 1,615.6 1,498 1,383
Debt Metrics
Total Debt 15,918 14,110 12,442 12,452 11,062 11,021 9,542 8,604 7,717 7,182 6,556 5,959.3 5,874.5 5,595.3 5,905.0 5,708.0 5,485.7 5,278.9 4,991.8 4,103.5 3,544.0 3,248.2 3,046.2 2,247.9 2,030.7 1,920.9 1,577.5 1,464.4 1,386.4 1,170.4 1,061.9 1,040.9 913.4 791.6 719.5 652.6 631.5
Net Debt 15,799 14,014 12,112 12,367 10,946 10,474 9,482 8,474 7,662 7,107 6,511 5,936.3 5,847.6 5,570.8 5,890.8 5,694.9 5,463.4 5,269.4 4,975.1 4,071.7 3,524.4 3,219.6 3,003.1 2,208.8 2,018 1,907.9 1,553.8 1,432.9 1,333 1,141.3 1,051.7 1,027.3 901.5 773.1 699.6 624.2 597.8
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989
Operating Activities
Net Income 1,111 1,051 944 820 1,263 709 621 567 426 468 476 430 369.1 374.1 304.9 267.8 (233.1) (562.2) (342.3) (155.6) 161.5 161.1 138.9 131 119.1 101.7 92.1 78.7 75.4 68.2 73.6 57.1 48.3
Depreciation & Amortization 894 788 704 649 636 604 582 545 492 470 440 424 407.7 381.5 351.8 354.6 294.2 271.3 267.3 259.2 (201.2) (176.6) (165.6) (129.8) (112.5) (101.9) (87) (80.6) (75.1) (58.4) (52.1) (47) (39.7)
Stock-Based Compensation 0 36 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
Change in Working Capital (100) (12) 27 (406) 86 (94) (66) (32) 53 21 (70) (49) (234.9) (118.0) (175.1) (91.5) (187.6) (99.5) 16.8 (96.6) (19.0) (48.3) (5.2) (5.8) 3.7 (7.5) 2 10.4 (15.5) (4.8) (10.1) (15.4) 8.5
Other Non-Cash Items 19 26 (9) (35) (774) 0 38 111 16 35 37 38 103.7 117.5 131.2 86.4 722.6 847.0 490.0 282.3 402.4 353.1 331.3 259.7 224.9 203.6 173.9 161.3 150.2 118.9 99.6 89.8 78.6
Operating Cash Flow 2,059 2,045 1,874 1,108 1,441 1,426 1,383 1,386 1,449 1,276 1,179 1,097.3 896.2 955.6 808.4 774.9 596.2 552.2 473.7 323.7 327.6 303.1 329.4 269.9 267.1 208.5 179.1 177.3 140.4 142.6 127.4 96.4 104.8
Investing Activities
Capital Expenditure (3,126) (2,856) (2,734) (2,420) (1,873) (1,928) (1,758) (1,673) (1,510) (1,395) (1,267) (1,034.3) (1,045.0) (985.7) (978.0) (809.3) (815.2) (1,033.6) (768.4) (709.3) (397.3) (391.5) (482.8) (390.6) (352.4) (273.7) (330.8) (265.7) (193.1) (197.5) (182.6) (198.9) (210.3)
Acquisitions (71) (417) (81) 293 337 (133) (187) (363) (162) (195) (192) 5 (22.7) 517.2 2.8 0 (18.1) 0.1 0.5 (8.9) (214.4) (51.8) (41.8) (45.7) (3.1) (302.4) (5.7) (6) (65.9) 0 0 0 0
Purchases of Investments (46) (135) 0 0 0 0 0 0 0 0 (6) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 16.3 (1) (0.1) 0 0 0 (1.2)
Sales/Maturities of Investments 109 181 0 0 0 0 0 0 0 3 0 15 14.4 86.1 0 0 0 0 0 0 0 0 0 0 0 0 0.9 3 2.2 0.1 6.5 0.7 0
Other Investing Activities (175) (152) (159) (123) (109) (106) (104) (87) (76) (84) (107) (78) (64.7) (57.1) 9.7 20.5 129.7 (0.2) 11.5 6.3 28.4 27.2 16.3 (3.9) (1.7) 11 16.9 (20.8) (3.8) (12) (4.3) 3.8 11.7
Investing Cash Flow (3,309) (3,379) (2,815) (2,127) (1,536) (2,061) (1,945) (2,036) (1,672) (1,587) (1,465) (1,014.0) (1,053.3) (382.4) (912.4) (746.7) (703.6) (1,033.7) (746.6) (691.4) (583.2) (416.2) (508.2) (440.2) (357.2) (565.1) (302.4) (290.5) (260.7) (209.4) (180.4) (194.4) (199.8)
Financing Activities
Net Debt Issuance 1,809 1,648 (30) 1,398 22 1,487 842 892 554 625 608 76 266.9 (409.8) 228.1 88.9 5.3 296.9 1,004.0 285.5 0 0 0 0 0 0 0 0 0 0 0 0 0
Stock Repurchased 0 0 0 0 0 0 (36) (45) (54) (65) (126) 0 (3.4) (4.4) (1.9) (0.2) 0 0 (1,750.4) (0.5) 0 0 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid (633) (585) (532) (467) (428) (389) (353) (319) (289) (261) (239) (216.4) (149.4) (213.5) (157.9) (150.3) (137.3) (64.1) 0 0 (94.0) (91.8) (83.4) (69.8) (64.1) (55.3) (46.5) (38.4) (33) (29.6) (28.4) (24.1) (23.3)
Other Financing Activities 73 47 62 69 62 13 26 (1) (19) 16 26 32 19.3 36.8 22.9 24.2 7.8 (1.2) 35.8 47.4 340.8 190.3 265.4 266.4 153.8 401.2 162.9 128.7 177.2 115.4 78 123.8 111.8
Financing Cash Flow 1,249 1,110 1,188 1,000 (345) 1,120 494 726 207 341 308 (87) 159.7 (563.0) 105.1 (37.3) 120.2 477.6 256.6 332.4 246.8 98.5 182.1 196.6 89.7 345.9 116.4 90.3 144.2 85.8 49.6 99.7 88.5
Cash Position
Net Change in Cash (6) (239) 247 (19) (440) 485 (67) 76 (13) 29 29 (18.5) 1.3 7.5 (60.5) 43.9 53.3 (6.7) (15.1) (40.7) (8.9) (14.5) 3.2 26.4 (0.3) (10.7) (6.9) (22.9) 23.9 85.8 49.6 99.7 88.5
Cash at Beginning 125 364 117 136 576 91 158 82 95 66 37 55.5 54.2 46.6 107.2 63.3 10.0 16.7 31.9 72.6 28.6 43.1 39.9 12.7 13 23.7 30.1 53 29.1 10.2 13.6 11.9 18.5
Cash at End 119 125 364 117 136 576 91 158 82 95 66 37 55.5 54.2 46.6 107.2 63.3 10.0 16.7 31.9 19.7 28.6 43.1 39.1 12.7 13 23.2 30.1 53 96 63.2 111.6 107
Free Cash Flow (1,067) (811) (860) (1,312) (432) (502) (375) (287) (61) (119) (88) 63.0 (148.8) (30.1) (169.6) (34.4) (219.0) (481.4) (294.7) (385.5) (69.7) (88.4) (153.4) (120.7) (85.3) (65.2) (151.7) (88.4) (52.7) (54.9) (55.2) (102.5) (105.5)
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986 1985
Income Statement
Revenue 5,140 4,684 4,234 3,792 3,930 3,777 3,610 3,440 3,357 3,302 3,159 3,011.3 2,901.9 2,876.9 2,666.2 2,710.7 2,440.7 2,336.9 2,214.2 2,093.1 2,136.7 1,438.9 1,350.6 1,260.9 1,017.8 954.2 894.6 802.8 770.2 717.5 657.4 633 570.7 527.5 511.9 483.4 466.5 429.7
Gross Profit 2,227 2,826 2,514 2,203 2,153 2,155 2,066 1,961 1,979 1,798 1,755 1,661.5 1,589.1 1,526.8 1,364.4 1,321.5 1,116.3 1,033.1 2,214.2 2,093.1 2,136.7 774.3 758.0 707.9 580.7 532.6 476.4 406.1 385.2 361.7 324.2 314.7 276 241.9 240.3 236.9 233.8 216.7
Operating Income 1,879 1,718 1,504 1,273 1,196 1,248 1,214 1,102 1,253 1,080 1,075 1,002.6 945.8 925.0 803.1 748.1 173.6 (186.9) 2.9 253.5 2,136.7 (207.7) (136.5) 419.6 (120.1) (127.7) 294 (153.8) (153.5) (137.1) 202.2 204.3 176.9 155.2 160 159.8 160.7 143.1
Net Income 1,111 1,051 944 820 1,263 709 621 567 426 468 476 423.1 369.3 358.1 309.6 267.8 (233.1) (562.4) (342.8) (162.2) (325.0) 161.5 161.1 138.9 131 119.1 101.7 92.1 78.7 75.4 68.2 73.6 57.1 48.3 56.9 56 55.8 46.9
EPS (Diluted) 5.70 5.39 4.89 4.51 6.94 3.90 3.43 3.15 2.38 2.62 2.64 2.35 2.06 2.01 1.76 1.53 -1.39 -3.52 -2.14 -1.01 -1.72 1.61 1.61 1.40 1.54 1.51 1.31 1.32 1.17 1.15 1.04 1.14 0.92 0.78 0.92 0.91 0.90 0.76
Balance Sheet
Cash & Equivalents 119 125 330 85 116 547 60 130 55 75 45 23 27.0 24.4 14.2 13.1 22.3 9.5 13.5 31.9 19.7 28.6 43.1 39.9 12.7 13 23.7 31.5 53.4 29.1 10.2 13.6 11.9 18.5 19.9 28.4 33.7
Total Assets 36,525 32,830 30,298 27,787 26,075 24,766 22,682 21,223 19,482 18,482 17,241 16,131.0 15,069.5 14,719.0 14,776.4 14,079.8 13,452.7 13,231.8 12,934.1 12,783.1 6,607.1 6,134.8 5,952.2 4,708.3 4,314.3 4,032.2 3,403.1 3,206.7 2,994 2,415.8 2,240.5 2,092.6 1,916.3 1,737.1 1,615.6 1,498 1,383
Total Debt 15,918 14,110 12,442 12,452 11,062 11,021 9,542 8,604 7,717 7,182 6,556 5,959.3 5,874.5 5,595.3 5,905.0 5,708.0 5,485.7 5,278.9 4,991.8 4,103.5 3,544.0 3,248.2 3,046.2 2,247.9 2,030.7 1,920.9 1,577.5 1,464.4 1,386.4 1,170.4 1,061.9 1,040.9 913.4 791.6 719.5 652.6 631.5
Stockholders' Equity 10,837 10,332 9,797 7,693 7,298 6,454 6,121 5,864 5,385 5,218 5,049 4,915.6 4,727.8 4,445.0 4,240.4 4,132.3 4,005.4 4,130.7 4,570.9 5,596.4 1,807.4 1,722.4 1,728.6 1,336.3 1,240.1 1,156.9 919.2 835.1 720.2 719.1 675.4 569.8 537.9 462.4 426.9 389.3 364.5
Cash Flow
Operating Cash Flow 2,059 2,045 1,874 1,108 1,441 1,426 1,383 1,386 1,449 1,276 1,179 1,097.3 896.2 955.6 808.4 774.9 596.2 552.2 473.7 323.7 327.6 303.1 329.4 269.9 267.1 208.5 179.1 177.3 140.4 142.6 127.4 96.4 104.8
Capital Expenditure (3,126) (2,856) (2,734) (2,420) (1,873) (1,928) (1,758) (1,673) (1,510) (1,395) (1,267) (1,034.3) (1,045.0) (985.7) (978.0) (809.3) (815.2) (1,033.6) (768.4) (709.3) (397.3) (391.5) (482.8) (390.6) (352.4) (273.7) (330.8) (265.7) (193.1) (197.5) (182.6) (198.9) (210.3)
Free Cash Flow (1,067) (811) (860) (1,312) (432) (502) (375) (287) (61) (119) (88) 63.0 (148.8) (30.1) (169.6) (34.4) (219.0) (481.4) (294.7) (385.5) (69.7) (88.4) (153.4) (120.7) (85.3) (65.2) (151.7) (88.4) (52.7) (54.9) (55.2) (102.5) (105.5)