IAC InterActive Corp. logo IAC - IAC InterActive Corp.

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 28
HOLD 5
SELL 0
STRONG
SELL
0
| PRICE TARGET: $51.33 DETAILS
HIGH: $57.00
LOW: $44.00
MEDIAN: $51.50
CONSENSUS: $51.33
UPSIDE: 20.15%
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
Revenue
Revenue 2,393.2 3,807.2 4,365.2 5,235.3 3,699.6 2,764.5 2,510.0 2,533.0 3,307.2 1,745.6 3,230.9 3,109.5 3,023 2,800.9 2,059.4 1,636.8 1,346.7 1,410.1 1,332.6 1,000.6 5,024.6 3,911.1 3,823.5 3,029.4 3,434.6 2,964.6 3,371.7 2,759.9 1,261.8 75.1
Cost of Revenue 794.3 1,060.0 1,343.3 1,933.7 1,296.3 745.4 547.7 501.2 651.0 383.6 778.2 860.2 977.4 991.7 761.2 593.8 429.8 457 521.7 369.1 2,607.4 2,173.9 2,248.4 1,928.9 2,305.4 1,977 1,995.9 1,644 645.3 21
Gross Profit 1,598.9 2,747.2 3,022.0 3,301.6 2,403.3 2,019.2 1,962.3 2,031.9 2,656.2 1,362.0 2,452.8 2,249.3 2,045.6 1,809.2 1,298.2 1,043 916.9 953.1 810.9 631.5 2,417.2 1,737.2 1,575.1 1,100.5 1,129.2 987.6 1,375.8 1,115.9 616.5 54.1
Operating Expenses
R&D Expenses 149.5 323.7 334.5 318.0 230.8 185.3 132.6 177.3 250.9 128.8 196.6 160.5 139.8 116.5 78.8 65.1 57.8 63.8 61.2 37.7 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 1,447.1 2,156.4 2,468.2 2,906.9 2,159.7 1,910.7 1,690.9 1,669.3 2,100.5 1,197.1 1,860.3 1,591 1,360.9 1,280.9 942.9 808.7 761.7 811.2 732.5 610 1,691 1,178.8 976.3 676.9 723.7 665.8 688.3 555.6 347.1 33.2
Other Expenses 99.4 271.4 480.1 551.5 149.9 460.8 133.0 (3.8) (16.2) 437.2 222.9 185.7 124 97 78.8 127.3 1,198.4 359.8 90.5 95.1 400 397.7 460.5 460.1 545.8 671.6 417.6 310.4 174.8 17.4
Operating Expenses 1,696.0 2,751.5 3,282.7 3,776.3 2,540.4 2,556.8 1,956.6 1,996.1 2,467.8 1,670.7 2,279.9 1,937.2 1,624.7 1,494.4 1,100.5 1,001.1 2,017.9 1,234.8 884.2 742.8 2,091 1,576.5 1,436.8 1,137 1,269.5 1,337.4 1,105.9 866 521.9 50.6
Operating Income
Operating Income (97.1) (4.2) (260.8) (474.8) (137.1) (537.7) 5.7 35.8 188.5 (57.8) 172.9 312.1 420.9 314.9 197.8 42 (1,101) (281.7) (73.3) (111.3) 326.3 160.6 138.3 (36.6) (140.3) (349.7) 269.9 249.9 94.5 3.6
Interest Expense 93.1 155.9 157.6 110.2 34.3 16.2 11.9 13.1 105.3 109.1 73.6 56.3 33.6 6.1 5.4 5.4 5.8 32.4 61.1 60.3 77.7 87.4 92.9 44.8 (69.1) (66.7) 41.2 (103.8) (26.3) (8.6)
Interest Income 37.2 86.5 71.1 24.9 1.4 7.2 15.2 9.1 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 285.9 (265.1) 1,097.5 (977.4) 913.9 456.0 175.9 190.6 288.7 36.1 424.8 625.7 572.6 373.0 254.4 228.3 (756.1) 24.7 (125.5) 217.4 868.5 385.3 526.4 2,246.0 740.4 249.3 1,010.3 795.8 105.6 5.5
EBIT (68.1) (536.5) 524.8 (1,416.1) 764.1 260.3 46.2 318.6 172.3 (57.8) 216.5 326.2 449.9 295.2 176.9 28.1 (941.2) 143.6 57.0 (15.6) 1,023.9 400.5 85.3 (40.9) (278.6) (374.8) 358.1 138 30.2 (13.5)
Income Before Tax (161.2) (692.4) 367.1 (1,526.2) 729.8 244.2 34.3 305.6 67.0 (277.0) 142.9 269.9 416.3 289.1 171.5 22.7 (947) 111.2 (4.1) (75.9) 946.2 313.1 (7.6) (85.7) (209.5) (308.1) 316.9 241.8 56.5 (4.9)
Income Tax Expense (43.5) (159.1) 108.8 (331.1) 139.0 (45.7) (47.3) 13.2 (291.1) (89.5) 29.5 35.4 134.5 119.2 (4.0) 32.1 (1.5) 37.7 (138.1) (125.1) (391.1) (179.2) (70.7) (5.6) 9.2 43.9 103.1 98.6 41.1 1.9
Net Income (104.0) (539.9) 265.9 (1,170.2) 597.5 269.7 22.9 246.8 304.9 (182.9) 119.5 414.9 285.8 159.3 174.2 99.4 (978.8) (156.2) (144.1) 187.1 869.7 164.9 167.4 1,953.1 383.6 (148) (27.6) 76.9 13.1 (6.5)
Per Share Data
EPS (Basic) -1.30 -6.49 3.07 -13.55 6.72 3.16 0.27 2.90 0.42 -2.26 1.45 4.65 3.37 1.69 1.87 1.05 -6.97 -1.11 -1.03 1.33 6.19 1.17 1.19 20.89 4.10 -1.65 -0.30 0.52 0.23 -0.60
EPS (Diluted) -1.33 -6.49 2.97 -13.55 6.33 2.97 0.27 2.90 0.42 -2.26 1.45 4.65 3.37 1.69 1.87 1.05 -6.97 -1.11 -1.03 1.33 6.19 1.17 1.19 20.89 4.10 -1.65 -0.30 0.52 0.23 -0.60
Shares Outstanding 77.6 83.2 86.6 86.4 89.2 85.4 85.1 85.1 88.4 80.8 82.5 89.2 84.8 94.3 93.2 95.1 140.4 140.4 140.4 140.4 140.4 162.2 140.4 93.5 93.5 89.9 92 148.5 56.1 10.8
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
Current Assets
Cash & Cash Equivalents 960.2 1,798.2 1,297.4 1,417.4 2,118.7 3,366.2 839.8 2,131.6 757.2 1,329.2 1,481.4 990 1,100 750 704 742 1,246 1,745 1,585 1,428 987 1,000 760 1,998 978 244 423 445 116 43
Short-Term Investments 0 0 149.0 239.4 19.8 225.0 0 123.7 0 89.3 39.2 161 6 21 166 564 488 126 327 898 1,488 2,410 2,420 1,929 171 127 12 28 0 0
Net Receivables 448.8 519.7 536.6 607.8 695.5 257.7 237.1 289.3 187.2 261.5 276.9 241 220 257 185 139 168 214 169 412 427 354 273 308 854 646 442 372 97 57
Inventory 0 0 0 0 30.7 0.3 0 158.8 0 0 0 0 0 0 0 0 0 0 332.0 326 336 241 216 193 197 404 462 422 151 101
Other Current Assets 135.7 115.4 166.4 216.5 138.0 224.1 110.4 162.5 77.6 162.7 147.5 144 149 129 104 99 98 100 1,013.0 894 931 1,111 546 196 173 107 58 28 57 48
Total Current Assets 1,544.8 2,485.0 2,240.6 2,561.1 3,076.2 4,119.3 1,229.3 2,762.7 1,055.5 1,842.7 1,945.0 1,536 1,475 1,157 1,159 1,544 2,000 2,185 3,426 3,958 4,169 5,116 4,215 4,624 2,373 1,528 1,397 1,295 421 249
Non-Current Assets
Property, Plant & Equipment 287.4 392.8 455.3 510.6 570.5 274.9 305.4 318.8 253.5 306.2 302.8 302 294 271 260 268 290 330 334 595 521 427 392 430 399 444 292 255 180 122
Goodwill 1,791.5 2,877.1 3,024.3 3,030.2 3,226.6 1,660.1 1,616.9 2,726.9 1,313.5 1,924.1 2,245.4 1,755 1,675 1,616 1,359 989 968 1,910 1,824 6,850 7,222 5,362 5,325 5,998 3,070 7,181 6,401 6,233 1,520 1,193
Intangible Assets 465.9 722.1 874.7 1,170.0 1,414.9 395.0 350.1 631.4 433.4 355.5 440.8 492 445 483 378 245 261 387 402 1,464 1,558 1,132 1,276 1,425 390 440 476 110 342 353
Long-Term Investments 2,811.1 2,681.2 3,303.1 2,495.9 2,977.3 2,157.8 348.0 235.1 53.8 122.8 137.4 115 180 161 174 201 273 121 301 169 122 1,469 1,401 1,582 65 49 121 36 48 30
Other Non-Current Assets 230.2 388.9 473.3 625.8 1,037.1 554.6 80.7 134.9 27.0 (134.2) (231.5) (335) (155) (205) (222) (189) (157) 318 6,304 (952) (940) 6,763 6,901 (774) 20 734 538 387 160 169
Total Non-Current Assets 5,586.0 7,062.1 8,130.6 7,832.5 9,226.4 5,042.4 2,868.2 4,111.8 2,116.4 2,803.1 3,243.7 2,721 2,760 2,649 2,251 1,785 1,914 3,066 9,165 9,239 9,749 17,283 17,353 11,035 4,154 8,946 7,836 7,021 2,250 1,867
Total Assets 7,130.7 9,547.2 10,371.2 10,393.6 12,302.6 9,161.7 4,097.4 6,874.6 3,171.9 4,645.9 5,188.7 4,257 4,235 3,806 3,410 3,329 3,914 5,251 12,591 13,197 13,918 22,399 21,568 15,659 6,527 10,474 9,233 8,316 2,671 2,116
Current Liabilities
Account Payables 37.5 72.0 105.5 133.1 203.2 88.8 72.5 74.9 61.3 62.9 86.9 81 78 98 64 56 38 49 42 559 574 436 373 609 399 361 285 258 185 95
Short-Term Debt 24.5 35 30 30 30 0 13.8 13.8 13.8 5.8 33.0 41.2 16.2 17.7 351.6 475.7 450.1 403.0 111.9 358.8 375.3 565.3 96.8 177.1 0 0 0 0 0 0
Deferred Revenue 0 217.0 262.0 282.6 311.7 137.7 178.6 360.0 342.5 285.6 258.4 195.0 158.2 155.5 126.3 78.2 57.8 50.9 97.4 33.4 66.7 110.0 180.2 264.9 0 0 0 0 0 0
Other Current Liabilities 50.3 499.5 496.9 555.7 690.7 429.4 230.6 329.4 253.8 359.1 390.2 356.9 334.6 353.8 (7.9) (252.9) (256.0) (222.9) 1,482.7 1,315.7 1,217.1 1,780.7 1,228.0 504.0 593 812 731 594 175 178
Total Current Liabilities 560.9 886.2 950.5 1,080.0 1,381.5 750.9 585.3 883.6 473.6 713.4 768.5 674 587 625 534 357 290 280 1,734 2,267 2,233 2,892 1,878 1,555 992 1,173 1,016 852 360 273
Non-Current Liabilities
Long-Term Debt 1,401.3 1,931.8 1,993.2 2,019.8 2,046.2 712.3 231.9 2,245.5 258.3 1,582.5 1,727.0 1,080 1,080 580 96 96 96 96 835 856 959 797 1,118 1,211 544 553 575 776 448 271
Deferred Tax Liabilities 148.6 13.9 164.6 76.3 385.9 78.8 44.5 23.6 35.1 228.8 348.8 409.5 320.7 323.4 302.2 270.5 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Liabilities 230.9 410.9 474.5 617.8 721.3 236.8 186.7 104.4 146.8 252.0 539.9 101.5 560.3 621.6 572.8 555.5 781 448 1,438 1,334 1,495 4,105 4,157 4,962 1,046 5,308 4,872 4,117 415 413
Total Non-Current Liabilities 1,780.8 2,356.6 2,632.3 2,713.9 3,153.4 1,027.9 463.1 2,373.5 405.2 2,063.3 2,615.6 1,591 1,961 1,525 971 922 877 544 2,273 2,190 2,454 4,902 5,275 6,173 1,590 5,861 5,447 4,893 863 684
Total Liabilities 2,341.7 3,242.8 3,582.8 3,793.9 4,534.9 1,778.8 1,048.4 3,257.1 878.7 2,776.7 3,384.2 2,265 2,548 2,150 1,505 1,279 1,167 824 4,007 4,457 4,687 7,794 7,153 7,728 2,582 7,034 6,463 5,745 1,223 957
Stockholders' Equity
Common Stock 0.0 0.0 0.0 0.0 0.0 0.1 2,547.3 0.3 2,007.4 0.3 0.3 0.3 0.3 0.3 0.2 0.2 0.2 0.2 0.4 0.4 0.4 4 4 4 4 4 3 3 1 1
Retained Earnings (643) (539.0) 0.9 (265.0) 905.2 694.0 0 1,258.8 595.0 290.1 331.4 325 (33) (319) (478) (652) (751) 227 568 291 128 2,429 2,277 2,123 181 (202) (54) (27) (104) (117)
Accumulated Other Comprehensive Income (11.8) (11.4) (10.9) (13.1) 4.4 (6.2) (12.2) (128.7) (7.5) (166.1) (152.1) (88) (13) (64) (12) 18 24 2 40 154 52 162 74 32 (24) (22) 10 14 (121) (10)
Total Stockholders' Equity 4,733.8 5,577.9 6,077.9 5,931.6 7,175.2 6,597.6 2,535.0 2,843.1 1,999.9 1,869.2 1,804.5 1,992 1,687 1,656 1,905 2,050 2,747 4,428 8,584 8,739 9,231 14,605 14,416 7,931 3,946 3,440 2,770 2,571 1,447 1,159
Total Liabilities & Equity 7,130.7 9,547.2 10,371.2 10,393.6 12,302.6 9,161.7 4,097.4 6,874.6 3,171.9 4,645.9 5,188.7 4,257 4,235 3,806 3,410 3,329 3,914 5,252 12,591 13,196 13,918 22,399 21,569 15,659 6,528 10,474 9,233 8,316 2,670 2,116
Debt Metrics
Total Debt 1,425.8 1,966.8 2,023.2 2,049.8 2,076.2 712.3 245.7 2,259.3 272.1 1,602.5 1,767.0 1,080 1,080 596 96 96 96 96 946.9 1,214.8 1,334.3 1,362.3 1,120 1,236 578 862 851 997 461 355
Net Debt 465.6 168.7 725.7 632.4 (42.5) (2,653.9) (594.1) 127.7 (485.1) 273.3 285.5 90 (20) (154) (608) (646) (1,150) (1,649) (638.1) (213.2) 347.3 362.3 360 (762) (400) 618 428 552 345 312
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
Operating Activities
Net Income (104.0) (533.3) 258.3 (1,195.1) 596.6 289.9 22.9 292.4 358.0 (182.9) 119.5 414.9 285.8 159.3 174.2 99.4 (978.8) (156.2) (144.1) 187.1 869.7 164.9 167.4 1,953.1 383.6 (148) (27.6) 76.9 13.1 (6.5)
Depreciation & Amortization 130.6 271.4 471.1 438.7 149.9 195.7 129.7 149.5 116.4 93.9 202.2 119.1 118.7 88.3 78.8 91.4 218.4 110.8 95.6 95.1 312.2 312.2 336.8 253.7 416.7 420.1 893.6 724.1 77.7 18.7
Stock-Based Compensation 32.3 112.5 117.2 123.5 79.5 189.0 130.2 148.4 264.6 50.7 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital (141.1) (42.4) (226.9) (387.3) (111.4) (112.6) (101.3) (5.6) (95.0) (3.4) 314.5 (26) 356 (93) (562) (523) (195) 213 1 (245) (288) (113) (732) 1,688 1,026 (26) (62) 382 85 (31)
Other Non-Cash Items 118.6 727.3 (519.0) 1,275.2 (712.8) (389.0) 70.2 (224.0) 57.9 162.6 (276.1) (220.6) (395.3) 73.8 619.9 587.2 1,181.6 18.3 817.1 620.8 726.7 639.6 1,401.1 (3,564.3) (1,146.5) (93.9) (478.2) (1,023.8) (150.6) 30.4
Operating Cash Flow 64.0 354.5 189.5 (82.8) 137.0 154.6 251.8 369.4 416.7 120.8 405.7 423.9 409.1 351.1 364 333.2 323.8 118.9 870.8 827.4 681.4 1,240.3 1,188.3 308.9 691.6 173.6 335.3 236.4 47.7 12
Investing Activities
Capital Expenditure (19.2) (65.5) (141.4) (139.8) (90.2) (60.7) (95.1) (54.7) (75.5) (26.3) (62.0) (57.2) (80.3) (51.2) (40.0) (39.8) (33.9) (59) (112.9) (144.9) (216.7) (156) (138.5) (114.1) (127.4) (160.4) (108.9) (76.5) (45.9) (1.1)
Acquisitions 0 174.0 11.9 90.8 (2,683.2) (1,678.8) (28.4) 70.7 39.2 (16.7) (617.4) (259.4) (40.7) (411.0) (278.5) (17.3) (85.5) (148.6) (191.9) (117.6) (693.4) (486.0) (1,092.0) (560.5) 0 0 0 0 0 0
Purchases of Investments 0 (237.8) (559.0) (481.2) (24.3) (651.0) 0 (108.9) (39.0) (622.9) (293.1) (175.8) (264.2) (745.8) (711.7) (539.6) (586.3) (170.0) (783.8) (934.8) (2,158.7) (3,373.1) (497.0) (728.6) 0 0 0 0 0 0
Sales/Maturities of Investments 43.0 377.3 550 51.8 225 475 0 35 114.3 252.4 218.5 21.6 12.5 195.5 584.9 763.3 229.6 356.3 1,367.2 1,543.8 3,124.1 0 0 0 0 0 0 0 0 0
Other Investing Activities (428.4) 28.8 51.0 (16.4) (327.2) 43.3 (298.3) 13.2 3.0 77.8 171.4 31.0 292.9 671.2 420.0 (284.7) 53.5 955.3 (206.8) 134.5 2,028.8 3,263.6 (42.0) 2,074.0 (394.5) (247.6) (305.1) (1,125.4) (36.4) (1.5)
Investing Cash Flow (404.6) 276.8 (87.5) (494.8) (2,899.9) (1,872.1) (421.9) (44.7) 42.0 34.8 (582.7) (439.8) (79.8) (341.3) (25.2) (118.1) (422.6) 934 71.8 481.1 2,084.2 (751.6) (1,769.5) 670.8 (521.9) (408) (414) (1,201.9) (82.3) (2.6)
Financing Activities
Net Debt Issuance (43.1) (60) (30) (30) 1,380 472.5 (16.2) (11.2) 275 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Stock Repurchased (315.0) (28.6) (176.6) (93.5) (35.4) (63.7) (35.3) 0 (56.4) (243.7) 256.1 0 (264.2) (691.8) (507.8) (539.6) (393.6) (156.2) (607.1) (889.4) (2,523.9) (283) (397.1) 145.4 79 80.7 413.6 831.7 7.2 1.2
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
Other Financing Activities (92.9) (40.5) (16.5) (23.9) 160.7 2,534.8 175.6 (186.5) (415.4) 68.4 678.4 (81) 17.7 33.5 (372.2) (717.2) (405.8) (674.1) (808.7) (899.3) (2,751.1) (254.1) (567.6) 612.2 7 58.2 55.9 1,297.7 108.1 14.1
Financing Cash Flow (451.0) (129.1) (223.0) (112.7) 1,409.3 4,351.9 124.1 (197.7) (196.9) 68.4 678.4 (81) 17.7 33.5 (372.2) (717.2) (405.8) (674.1) (808.7) (899.3) (2,751.1) (254.1) (567.6) 612.2 7 58.2 55.9 1,297.7 108.1 14.1
Cash Position
Net Change in Cash (846.9) 501.0 (119.8) (695.8) (1,355.2) 2,636.4 (46.1) 126.9 273.5 (949.3) 491.0 (110) 350.5 45.8 (37.9) (503.9) (499) 355.8 157.2 441.1 (12.6) 240.1 (1,134.2) 1,601.7 173.1 (179) (22.8) 330.7 73.4 23.5
Cash at Beginning 1,807.1 1,306.2 1,426.1 2,121.9 3,477.1 840.7 886.8 759.9 1,360.2 1,481.4 990 1,100 750 704 742 1,246 1,745 1,585 1,428 987 1,000 760 1,998 978 244 423 445 116 43 19
Cash at End 960.2 1,807.3 1,306.2 1,426.1 2,121.9 3,477.1 840.7 886.8 1,633.7 532.2 1,481.0 990 1,100.5 749.8 704.1 742.1 1,246 1,940.8 1,585.2 1,428.1 987.4 1,000.1 863.8 2,579.7 417.1 244 422.2 446.7 116.4 42.5
Free Cash Flow 44.8 289.0 48.2 (222.5) 46.7 93.9 156.7 314.8 341.2 94.6 343.6 366.7 328.8 299.9 324.0 293.4 289.9 59.9 757.9 682.5 464.7 1,084.3 1,049.8 194.8 564.2 13.2 226.4 159.9 1.8 10.9
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
Income Statement
Revenue 2,393.2 3,807.2 4,365.2 5,235.3 3,699.6 2,764.5 2,510.0 2,533.0 3,307.2 1,745.6 3,230.9 3,109.5 3,023 2,800.9 2,059.4 1,636.8 1,346.7 1,410.1 1,332.6 1,000.6 5,024.6 3,911.1 3,823.5 3,029.4 3,434.6 2,964.6 3,371.7 2,759.9 1,261.8 75.1
Gross Profit 1,598.9 2,747.2 3,022.0 3,301.6 2,403.3 2,019.2 1,962.3 2,031.9 2,656.2 1,362.0 2,452.8 2,249.3 2,045.6 1,809.2 1,298.2 1,043 916.9 953.1 810.9 631.5 2,417.2 1,737.2 1,575.1 1,100.5 1,129.2 987.6 1,375.8 1,115.9 616.5 54.1
Operating Income (97.1) (4.2) (260.8) (474.8) (137.1) (537.7) 5.7 35.8 188.5 (57.8) 172.9 312.1 420.9 314.9 197.8 42 (1,101) (281.7) (73.3) (111.3) 326.3 160.6 138.3 (36.6) (140.3) (349.7) 269.9 249.9 94.5 3.6
Net Income (104.0) (539.9) 265.9 (1,170.2) 597.5 269.7 22.9 246.8 304.9 (182.9) 119.5 414.9 285.8 159.3 174.2 99.4 (978.8) (156.2) (144.1) 187.1 869.7 164.9 167.4 1,953.1 383.6 (148) (27.6) 76.9 13.1 (6.5)
EPS (Diluted) -1.33 -6.49 2.97 -13.55 6.33 2.97 0.27 2.90 0.42 -2.26 1.45 4.65 3.37 1.69 1.87 1.05 -6.97 -1.11 -1.03 1.33 6.19 1.17 1.19 20.89 4.10 -1.65 -0.30 0.52 0.23 -0.60
Balance Sheet
Cash & Equivalents 960.2 1,798.2 1,297.4 1,417.4 2,118.7 3,366.2 839.8 2,131.6 757.2 1,329.2 1,481.4 990 1,100 750 704 742 1,246 1,745 1,585 1,428 987 1,000 760 1,998 978 244 423 445 116 43
Total Assets 7,130.7 9,547.2 10,371.2 10,393.6 12,302.6 9,161.7 4,097.4 6,874.6 3,171.9 4,645.9 5,188.7 4,257 4,235 3,806 3,410 3,329 3,914 5,251 12,591 13,197 13,918 22,399 21,568 15,659 6,527 10,474 9,233 8,316 2,671 2,116
Total Debt 1,425.8 1,966.8 2,023.2 2,049.8 2,076.2 712.3 245.7 2,259.3 272.1 1,602.5 1,767.0 1,080 1,080 596 96 96 96 96 946.9 1,214.8 1,334.3 1,362.3 1,120 1,236 578 862 851 997 461 355
Stockholders' Equity 4,733.8 5,577.9 6,077.9 5,931.6 7,175.2 6,597.6 2,535.0 2,843.1 1,999.9 1,869.2 1,804.5 1,992 1,687 1,656 1,905 2,050 2,747 4,428 8,584 8,739 9,231 14,605 14,416 7,931 3,946 3,440 2,770 2,571 1,447 1,159
Cash Flow
Operating Cash Flow 64.0 354.5 189.5 (82.8) 137.0 154.6 251.8 369.4 416.7 120.8 405.7 423.9 409.1 351.1 364 333.2 323.8 118.9 870.8 827.4 681.4 1,240.3 1,188.3 308.9 691.6 173.6 335.3 236.4 47.7 12
Capital Expenditure (19.2) (65.5) (141.4) (139.8) (90.2) (60.7) (95.1) (54.7) (75.5) (26.3) (62.0) (57.2) (80.3) (51.2) (40.0) (39.8) (33.9) (59) (112.9) (144.9) (216.7) (156) (138.5) (114.1) (127.4) (160.4) (108.9) (76.5) (45.9) (1.1)
Free Cash Flow 44.8 289.0 48.2 (222.5) 46.7 93.9 156.7 314.8 341.2 94.6 343.6 366.7 328.8 299.9 324.0 293.4 289.9 59.9 757.9 682.5 464.7 1,084.3 1,049.8 194.8 564.2 13.2 226.4 159.9 1.8 10.9