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JD

JD.com, Inc.

Price Chart
Latest Quote

$25.19

-0.29 (-1.14%)
Current Price
Previous Close $25.48
Open $25.14
Day High $25.23
Day Low $24.76
Volume 13,700,507
Fetched: 2026-06-26T03:25:45
Stock Information
Note: Financial values converted from CNY to USD
Quarterly Dividend / Yield $1.00 / 3.97%
Shares Outstanding 1.35B
Quarterly Dividend Yield 3.97%
Quarterly Dividend $1.00
Total Debt $15.88B
Cash Equivalents $29.72B
Revenue $194.61B
Net Income $2.04B
Sector Consumer Cyclical
Industry Internet Retail
Market Cap $34.02B
P/E Ratio 18.52
EPS (TTM) $1.36
Exchange NMS
🌐 Visit Website
📊 Comprehensive Analysis
Company Data
Enterprise Value$4.68B
Sales$194.61B
Income$2.04B
Book/sh$23.24
Cash/sh$149.67
Employees900K
Financial Ratios
Quick Ratio0.74
Current Ratio1.18
Debt/Eq38.48
EPS Growth TTM-53.20%
Returns & Margins
ROA-0.28%
ROE6.00%
Gross Margin9.32%
Operating Margin1.21%
Profit Margin1.05%
Ownership
Insider Ownership0.95%
Institutional Ownership24.35%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E5.86
PEG0.81
P/S0.03
P/B1.08
Analyst Data
Recommendationstrong_buy
Target Price$40.55
Technical Indicators
SMA20$28.17
SMA50$29.79
SMA200$29.38
RSI13.77
ATR0.6886
Shares Float1.20B
Short Float2.33%
Short Ratio3.67
Volatility0.38
Rel Volume1.67
Performance History
Week-9.75%
Month-16.01%
Quarter-12.31%
6 Months-10.32%
YTD-11.66%
Year-19.93%
3 Years-25.67%
5 Years-60.88%
10 Years+42.05%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-25 $25.19 13,700,507
2026-06-24 $25.48 10,738,400
2026-06-23 $26.12 12,356,200
2026-06-22 $27.02 9,597,700
2026-06-18 $27.57 7,942,600
2026-06-17 $27.91 6,400,700
2026-06-16 $28.38 10,461,700
2026-06-15 $28.68 5,676,800
2026-06-12 $28.56 7,678,400
2026-06-11 $28.06 8,241,100
2026-06-10 $28.45 3,999,200
2026-06-09 $28.73 5,478,800
2026-06-08 $28.59 5,149,500
2026-06-05 $28.88 7,306,800
2026-06-04 $29.19 5,548,700
2026-06-03 $29.41 6,868,300
2026-06-02 $30.15 10,855,500
2026-06-01 $29.09 10,319,400
2026-05-29 $28.83 6,071,600
2026-05-28 $29.14 9,490,000
2026-05-27 $29.84 7,252,300
2026-05-26 $29.99 13,539,700
About JD.com, Inc.

JD.com, Inc. operates as a supply chain-based technology and service provider in the People's Republic of China and Europe. It operates through three segments: JD Retail, JD Logistics, and New Businesses. The company provides home appliances; mobile handsets and other digital products; computers, including desktop, laptop, and other various products, as well as printers and other office equipment; furniture and household goods; apparel; cosmetics and other personal care items; and pet products. It offers women's shoes, bags, watches, jewelry, and luxury goods; men's shoes, sports gear, and fitness equipment; automobiles and accessories; maternal and childcare products; toys and musical instruments; food, beverages, and fresh produce; gifts, flowers, and plants; and pharmaceutical and healthcare products, such as OCT pharmaceutical products, nutritional supplements, healthcare services, and other healthcare equipment. In addition, the company provides books, e-books, music, movies, and other media products; virtual goods consisting of online travel agency, attraction tickets, and prepaid phone cards and game cards; industrial products; and installation and maintenance services. Further, it offers online marketplace services for third-party merchants; marketing services; and omni-channel solutions to customers and offline retailers, as well as online healthcare services. Additionally, the company develops, owns, and manages its logistics facilities and other real estate properties to support third parties; and offers asset management services and integrated service platform; leasing of storage facilities and related management services, as well as engages in online retail business; technology-driven supply chain solutions; and logistics services. The company was formerly known as 360buy Jingdong Inc. and changed its name to JD.com, Inc. in January 2014. JD.com, Inc. was incorporated in 2006 and is headquartered in Beijing, the People's Republic of China.

Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $162,387,825,902 $144,050,921,154 $136,664,357,418 $132,853,095,609
Cost Of Revenue $162,387,825,902 $144,050,921,154 $136,664,357,418 $132,853,095,609
Total Revenue $193,419,874,557 $171,217,778,535 $160,260,936,438 $154,583,419,623
Operating Revenue $193,419,874,557 $171,217,778,535 $160,260,936,438 $154,583,419,623
Expenses
Interest Expense $414,148,744 $427,889,676 $425,673,397 $311,165,628
Total Expenses $192,874,669,824 $165,371,233,478 $155,989,427,274 $151,873,057,668
Other Income Expense $2,272,425,145 $814,261,052 $-584,359,002 $-1,198,711,651
Other Non Operating Income Expenses $1,231,808,091 $800,963,375 $259,600,194 $326,827,336
Net Non Operating Interest Income Expense $923,893,006 $954,034,406 $989,199,372 $537,226,127
Interest Expense Non Operating $414,148,744 $427,889,676 $425,673,397 $311,165,628
Operating Expense $30,486,843,922 $21,320,312,324 $19,325,069,856 $19,019,962,059
Other Operating Expenses $13,028,176,825 $10,405,579,535 $9,538,571,034 $9,309,998,752
Selling And Marketing Expense $12,404,220,298 $7,085,149,738 $5,929,729,411 $5,580,887,033
General And Administrative Expense $1,770,068,481 $1,313,219,420 $1,434,671,532 $1,633,102,414
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $2,900,518,727 $6,110,873,314 $3,570,721,617 $1,533,665,345
Net Interest Income $923,893,006 $954,034,406 $989,199,372 $537,226,127
Interest Income $1,338,041,750 $1,381,924,082 $1,414,872,769 $848,391,754
Normalized Income $3,033,114,742 $6,397,284,774 $4,300,715,294 $2,373,320,526
Net Income From Continuing And Discontinued Operation $2,900,518,727 $6,110,873,314 $3,570,721,617 $1,533,665,345
Total Operating Income As Reported $409,863,937 $5,723,319,923 $3,845,244,759 $2,914,111,907
Average Dilution Earnings $-62,203,575 $-7,387,598 $-4,432,559 $-25,117,833
Net Income Common Stockholders $2,900,518,727 $6,110,873,314 $3,570,721,617 $1,533,665,345
Net Income $2,900,518,727 $6,110,873,314 $3,570,721,617 $1,533,665,345
Net Income Including Noncontrolling Interests $3,419,275,858 $6,598,602,534 $3,436,267,334 $1,431,864,244
Net Income Continuous Operations $3,419,275,858 $6,598,602,534 $3,436,267,334 $1,431,864,244
Pretax Income $3,741,522,883 $7,614,840,514 $4,676,349,534 $2,048,876,429
Special Income Charges $-306,585,317 $-739,941,816 $-1,200,041,419 $-816,625,083
Earnings From Equity Interest $1,185,709,479 $343,818,811 $149,229,480 $-324,315,552
Interest Income Non Operating $1,338,041,750 $1,381,924,082 $1,414,872,769 $848,391,754
Operating Income $545,204,732 $5,846,545,057 $4,271,509,164 $2,710,361,954
Gross Profit $31,032,048,655 $27,166,857,381 $23,596,579,020 $21,730,324,013
Per Share
Diluted EPS $1.91 $3.97 $2.25 $0.95
Basic EPS $2.04 $4.09 $2.27 $0.98
Other
Tax Effect Of Unusual Items $-12,496,410 $-44,109,674 $-263,194,999 $-361,568,254
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $5,740,902,406 $9,688,834,777 $7,320,370,858 $4,630,398,674
Total Unusual Items $-145,092,425 $-330,521,135 $-993,188,675 $-1,201,223,435
Total Unusual Items Excluding Goodwill $-145,092,425 $-330,521,135 $-993,188,675 $-1,201,223,435
Reconciled Depreciation $1,440,138,354 $1,315,583,452 $1,225,159,252 $1,069,133,183
EBITDA (Bullshit earnings) $5,595,809,981 $9,358,313,642 $6,327,182,183 $3,429,175,240
EBIT $4,155,671,627 $8,042,730,191 $5,102,022,931 $2,360,042,057
Diluted Average Shares $220,002,668 $227,242,514 $234,260,733 $234,999,492
Basic Average Shares $210,324,915 $220,889,180 $232,266,081 $230,936,313
Diluted NI Availto Com Stockholders $2,838,315,152 $6,103,485,716 $3,566,289,059 $1,508,547,512
Minority Interests $-518,757,132 $-487,729,220 $134,454,284 $101,801,100
Tax Provision $322,247,025 $1,016,237,981 $1,240,082,200 $617,012,185
Write Off $122,190,871 $487,433,716 $449,609,214 $290,923,609
Impairment Of Capital Assets $192,520,804 $348,842,378 $763,582,129 $0
Restructuring And Mergern Acquisition $-8,126,358 $-96,334,278 $-13,149,924 $525,701,474
Gain On Sale Of Security $161,492,892 $409,420,681 $206,852,744 $-384,598,352
Research And Development $3,284,378,319 $2,516,363,631 $2,422,097,880 $2,495,973,860
Selling General And Administration $14,174,288,779 $8,398,369,158 $7,364,400,942 $7,213,989,447
Other Gand A $1,770,068,481 $1,313,219,420 $1,434,671,532 $1,633,102,414
Gain On Sale Of Business - - - $-525,701,474
Fetched: 2026-06-20
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $22,775,669,130 $24,971,854,264 $24,435,219,145 $21,757,362,622
Total Assets $102,717,310,344 $103,165,442,039 $92,929,777,258 $87,949,354,190
Total Non Current Assets $47,395,873,729 $46,030,054,611 $47,450,246,450 $36,077,482,585
Other Non Current Assets $1,751,303,982 $1,342,917,564 $2,145,653,963 $2,367,134,151
Non Current Deferred Assets $773,777,015 $363,322,070 $257,679,418 $226,947,011
Non Current Deferred Taxes Assets $773,777,015 $363,322,070 $257,679,418 $226,947,011
Investmentin Financial Assets $7,659,461,606 $8,772,033,865 $11,944,268,446 $2,121,718,146
Goodwill And Other Intangible Assets $10,474,431,948 $10,392,134,107 $9,822,254,797 $9,767,882,076
Other Intangible Assets $6,589,885,168 $6,593,578,967 $6,870,170,636 $6,351,413,505
Current Assets $55,321,436,615 $57,135,387,428 $45,479,530,808 $51,871,871,605
Other Current Assets $2,644,464,580 $2,356,791,514 $2,310,692,902 $2,239,328,706
Assets Held For Sale Current $58,362,024 $301,413,998 $190,895,532 $177,745,608
Restricted Cash $1,793,265,539 $1,088,340,937 $1,109,026,212 $924,040,758
Prepaid Assets $865,235,478 $1,125,722,183 $406,761,146 $567,072,022
Inventory $14,099,674,039 $13,198,091,579 $10,055,702,894 $11,517,117,530
Receivables $4,354,989,021 $4,491,807,336 $3,312,007,935 $3,947,636,867
Accounts Receivable $4,038,504,323 $3,781,859,168 $2,999,660,292 $3,040,144,329
Allowance For Doubtful Accounts Receivable $-308,653,844 $-305,107,797 $-278,955,700 $-233,743,601
Gross Accounts Receivable $4,347,158,167 $4,086,966,966 $3,278,615,992 $3,273,887,930
Cash Cash Equivalents And Short Term Investments $31,505,445,935 $34,573,219,880 $28,094,444,186 $32,498,930,114
Cash And Cash Equivalents $20,314,121,476 $16,008,924,866 $10,622,183,908 $11,651,867,318
Non Current Accounts Receivable - - - -
Debt
Total Debt $15,824,973,676 $13,263,397,945 $10,110,814,375 $9,610,526,238
Long Term Debt And Capital Lease Obligation $12,733,411,665 $11,019,488,929 $8,221,214,558 $6,680,013,864
Long Term Debt $9,230,508,197 $8,344,291,941 $6,200,558,753 $4,466,985,007
Current Debt And Capital Lease Obligation $3,091,562,011 $2,243,909,017 $1,889,599,816 $2,930,512,375
Current Debt $1,702,841,339 $1,120,107,609 $743,783,367 $1,794,595,306
Other Current Borrowings $1,702,841,339 $1,120,107,609 $743,783,367 $1,794,595,306
Liabilities
Total Liabilities Net Minority Interest $59,310,296,279 $56,875,196,227 $49,139,051,353 $47,447,143,659
Total Non Current Liabilities Net Minority Interest $14,087,558,378 $12,620,381,415 $9,888,743,179 $8,062,233,449
Other Non Current Liabilities $169,323,746 $197,544,371 $155,878,318 $256,645,155
Non Current Deferred Liabilities $1,184,822,967 $1,403,348,116 $1,511,650,303 $1,125,574,431
Non Current Deferred Taxes Liabilities $1,184,822,967 $1,403,348,116 $1,369,217,413 $962,013,012
Current Liabilities $45,222,737,901 $44,254,814,811 $39,250,308,174 $39,384,910,210
Other Current Liabilities $3,682,126,595 $3,614,899,453 $3,732,805,517 $3,402,136,631
Current Deferred Liabilities $5,775,919,620 $5,102,466,187 $4,982,491,595 $5,476,278,645
Payables And Accrued Expenses $32,516,069,341 $33,141,503,388 $28,505,046,883 $27,466,202,852
Interest Payable $44,621,092 $30,732,408 $19,798,763 $24,674,577
Payables $29,233,464,046 $30,380,167,007 $26,166,281,108 $25,151,816,151
Other Payable $272,454,614 $281,024,228 $294,912,912 $474,136,040
Total Tax Payable $1,035,445,736 $1,401,722,845 $1,080,510,083 $875,578,115
Accounts Payable $27,833,366,473 $28,495,443,006 $24,551,499,937 $23,729,999,040
Equity
Common Stock Equity $33,250,101,078 $35,363,988,370 $34,257,473,942 $31,525,244,697
Total Equity Gross Minority Interest $43,407,014,065 $46,290,245,812 $43,790,725,905 $40,502,210,531
Stockholders Equity $33,250,101,078 $35,363,988,370 $34,257,473,942 $31,525,244,697
Gains Losses Not Affecting Retained Earnings $951,818,126 $1,198,120,644 $1,036,036,744 $371,448,427
Other Equity Adjustments $951,818,126 $1,198,120,644 $1,036,036,744 $371,448,427
Retained Earnings $12,552,563,266 $11,313,810,833 $6,508,621,590 $4,329,723,436
Long Term Equity Investment $7,679,851,377 $8,399,698,926 $8,384,332,722 $8,516,570,726
Preferred Securities Outside Stock Equity - - - -
Other
Treasury Shares Number $11,295,310 $41,979,363 $6,762,670 $6,500,173
Ordinary Shares Number $405,113,305 $428,987,954 $463,595,993 $463,302,755
Share Issued $415,481,245 $470,029,516 $469,394,322 $468,745,874
Tangible Book Value $22,775,669,130 $24,971,854,264 $24,435,219,145 $21,757,362,622
Invested Capital $44,183,450,614 $44,828,387,920 $41,201,816,062 $37,786,825,010
Working Capital $10,098,698,714 $12,880,572,617 $6,229,222,634 $12,486,961,395
Capital Lease Obligations $4,891,624,140 $3,798,998,396 $3,166,472,255 $3,348,945,925
Total Capitalization $42,480,609,275 $43,708,280,311 $40,458,032,695 $35,992,229,704
Minority Interest $10,156,912,986 $10,926,257,442 $9,533,251,963 $8,976,965,834
Treasury Stock $1,163,398,933 $4,098,491,618 $503,686,432 $368,345,636
Additional Paid In Capital $20,909,118,619 $26,950,548,512 $27,216,502,040 $27,192,418,470
Capital Stock $0 $0 $0 $0
Common Stock $0 $0 $0 $0
Long Term Capital Lease Obligation $3,502,903,468 $2,675,196,988 $2,020,655,805 $2,213,028,857
Current Deferred Revenue $5,775,919,620 $5,102,466,187 $4,982,491,595 $5,476,278,645
Current Capital Lease Obligation $1,388,720,672 $1,123,801,408 $1,145,816,450 $1,135,917,068
Current Provisions $157,060,333 $152,036,767 $140,364,362 $109,779,706
Current Accrued Expenses $3,282,605,295 $2,761,336,380 $2,338,765,775 $2,314,386,701
Dueto Related Parties Current $92,197,223 $201,976,929 $239,358,175 $72,102,956
Investments And Advances $15,339,312,983 $17,171,732,791 $20,328,601,169 $10,638,288,872
Goodwill $3,884,546,780 $3,798,555,140 $2,952,084,161 $3,416,468,571
Net PPE $19,057,047,801 $16,759,948,079 $14,896,057,103 $13,077,230,476
Accumulated Depreciation $-4,791,300,559 $-3,834,606,618 $-2,930,955,631 $-2,111,080,004
Gross PPE $23,848,348,360 $20,594,554,697 $17,827,012,734 $15,188,310,480
Leases $1,131,189,006 $870,997,804 $756,046,779 $672,271,418
Construction In Progress $960,830,996 $910,743,081 $1,465,699,443 $1,649,059,626
Other Properties $5,080,746,649 $4,060,076,109 $3,473,205,324 $3,683,456,363
Machinery Furniture Equipment $5,045,138,426 $4,265,746,837 $3,792,201,805 $3,178,587,915
Land And Improvements $11,630,443,283 $10,486,990,865 $8,339,859,382 $6,004,935,158
Properties $0 $0 $0 $0
Inventories Adjustments Allowances $-707,288,633 $-603,862,261 $-645,676,065 $-607,999,315
Other Inventories $302,005,006 $263,293,993 $167,107,467 $162,231,652
Finished Goods $14,504,957,665 $13,538,659,847 $10,534,271,492 $11,962,885,193
Duefrom Related Parties Current $316,484,698 $709,948,168 $312,347,643 $907,492,538
Other Short Term Investments $11,191,324,458 $18,564,295,014 $17,472,260,278 $20,847,062,796
Non Current Deferred Revenue - $74,171,484 $142,432,889 $163,561,420
Raw Materials - - $167,107,467 $162,231,652
Duefrom Related Parties Non Current - - - $0
Buildings And Improvements - - - -
Fetched: 2026-06-20
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $710,243,672 $6,541,865,781 $5,837,088,932 $5,157,429,916
Operating Activities
Operating Cash Flow $2,805,957,472 $8,583,650,116 $8,794,344,411 $8,542,870,575
Cash Flow From Continuing Operating Activities $2,805,957,472 $8,583,650,116 $8,794,344,411 $8,542,870,575
Operating Gains Losses $-1,245,253,519 $-548,750,779 $-478,420,846 $180,700,647
Investing Activities
Capital Expenditure $-2,095,713,801 $-2,041,784,335 $-2,957,255,479 $-3,385,440,659
Investing Cash Flow $6,180,759,991 $-128,691,957 $-8,797,594,954 $-7,982,447,391
Cash Flow From Continuing Investing Activities $6,180,759,991 $-128,691,957 $-8,797,594,954 $-7,982,447,391
Net Other Investing Changes $-908,526,802 $-746,442,902 $-385,780,368 $-384,893,856
Financing Activities
Repurchase Of Capital Stock $-3,166,324,503 $-3,828,548,788 $-368,936,644 $-269,351,823
Financing Cash Flow $-3,949,114,387 $-3,103,382,168 $-858,143,384 $174,347,313
Cash Flow From Continuing Financing Activities $-3,949,114,387 $-3,103,382,168 $-858,143,384 $174,347,313
Net Other Financing Charges $-771,265,231 $-181,734,911 $41,961,557 $473,988,288
Cash Dividends Paid $-1,533,517,593 $-1,220,874,445 $-995,995,962 $-1,933,629,901
Common Stock Dividend Paid $-1,533,517,593 $-1,220,874,445 $-995,995,962 $-1,933,629,901
Net Common Stock Issuance $-3,166,324,503 $-3,828,548,788 $-368,936,644 $-269,351,823
Issuance Of Capital Stock - - - $0
Net Preferred Stock Issuance - - - $0
Preferred Stock Issuance - - - $0
Common Stock Issuance - - - $0
Other
Repayment Of Debt $-3,546,490,296 $-1,958,156,726 $-4,046,482,929 $-5,240,762,021
Issuance Of Debt $5,063,607,421 $4,081,943,399 $4,506,434,780 $6,989,997,476
End Cash Position $22,107,387,015 $17,097,265,803 $11,731,210,120 $12,575,908,075
Other Cash Adjustment Outside Changein Cash $0 $0 $-7,830,854 $-6,057,830
Beginning Cash Position $17,097,265,803 $11,731,210,120 $12,575,908,075 $11,331,541,068
Effect Of Exchange Rate Changes $-27,481,865 $14,479,692 $18,468,995 $515,654,340
Changes In Cash $5,037,603,076 $5,351,575,991 $-855,336,096 $734,770,497
Proceeds From Stock Option Exercised $4,875,815 $3,989,303 $4,875,815 $154,105,294
Common Stock Payments $-3,166,324,503 $-3,828,548,788 $-368,936,644 $-269,351,823
Net Issuance Payments Of Debt $1,517,117,125 $2,123,786,673 $459,951,851 $1,749,235,454
Net Long Term Debt Issuance $1,517,117,125 $2,123,786,673 $459,951,851 $1,749,235,454
Long Term Debt Payments $-3,546,490,296 $-1,958,156,726 $-4,046,482,929 $-5,240,762,021
Long Term Debt Issuance $5,063,607,421 $4,081,943,399 $4,506,434,780 $6,989,997,476
Net Investment Purchase And Sale $8,313,707,285 $2,872,741,358 $-6,357,323,583 $-1,749,235,454
Sale Of Investment $20,171,245,331 $24,808,292,844 $33,318,362,484 $25,335,176,333
Purchase Of Investment $-11,857,538,046 $-21,935,551,486 $-39,675,686,067 $-27,084,411,788
Net Business Purchase And Sale $124,259,398 $-789,881,978 $-147,013,200 $-2,921,499,505
Sale Of Business $425,673,397 $85,105,129 $57,180,009 $60,873,808
Purchase Of Business $-301,413,998 $-874,987,107 $-204,193,209 $-2,982,373,313
Net Intangibles Purchase And Sale $-58,657,528 $-91,310,711 $-735,952,513 $-775,106,782
Purchase Of Intangibles $-58,657,528 $-91,310,711 $-735,952,513 $-775,106,782
Net PPE Purchase And Sale $-1,290,022,363 $-1,373,797,724 $-1,171,525,291 $-2,151,711,793
Sale Of PPE $747,033,910 $576,675,900 $1,049,777,676 $458,622,084
Purchase Of PPE $-2,037,056,273 $-1,950,473,624 $-2,221,302,967 $-2,610,333,877
Change In Working Capital $-1,040,617,054 $760,627,090 $2,377,329,036 $3,451,485,786
Change In Other Working Capital $558,502,409 $35,755,974 $-514,915,581 $621,592,496
Change In Other Current Liabilities $975,015,184 $598,690,942 $-20,537,522 $120,417,847
Change In Other Current Assets $-1,032,786,200 $-453,155,261 $36,199,230 $266,396,784
Change In Payables And Accrued Expense $-674,783,201 $4,537,462,692 $1,360,204,544 $3,694,685,512
Change In Accrued Expense $515,949,844 $331,112,142 $317,518,962 $486,842,708
Change In Payable $-1,190,733,046 $4,206,350,549 $1,042,685,582 $3,207,842,804
Change In Account Payable $-725,314,372 $4,114,005,574 $681,727,543 $2,609,004,110
Change In Tax Payable $-336,135,709 $282,649,499 $193,702,820 $473,692,784
Change In Income Tax Payable $-336,135,709 $282,649,499 $193,702,820 $473,692,784
Change In Prepaid Assets $440,744,097 $-230,788,562 $211,580,807 $-112,291,490
Change In Inventory $-854,006,329 $-2,977,793,002 $1,461,414,636 $-336,578,965
Change In Receivables $-453,303,013 $-749,545,693 $-156,617,078 $-802,736,399
Changes In Account Receivables $-373,221,451 $-671,680,410 $-45,803,108 $-1,063,223,104
Other Non Cash Items $-71,511,949 $-501,765,656 $-38,415,510 $342,636,795
Stock Based Compensation $698,275,763 $443,108,128 $709,800,416 $1,115,231,794
Unrealized Gain Loss On Investment Securities $-58,657,528 $-200,203,906 $126,327,926 $605,192,028
Provisionand Write Offof Assets $50,235,666 $49,201,403 $94,709,006 $136,818,315
Asset Impairment Charge $314,711,675 $836,276,094 $1,213,191,344 $290,923,609
Deferred Tax $-700,639,794 $-169,028,242 $128,396,453 $-81,115,826
Deferred Income Tax $-700,639,794 $-169,028,242 $128,396,453 $-81,115,826
Depreciation Amortization Depletion $1,440,138,354 $1,315,583,452 $1,225,159,252 $1,069,133,183
Depreciation And Amortization $1,440,138,354 $1,315,583,452 $1,225,159,252 $1,069,133,183
Earnings Losses From Equity Investments $-1,185,709,479 $-343,818,811 $-149,229,480 $324,315,552
Gain Loss On Sale Of PPE $-59,544,040 $-204,931,969 $-329,191,367 $-143,614,905
Net Income From Continuing Operations $3,419,275,858 $6,598,602,534 $3,436,267,334 $1,431,864,244
Interest Paid Supplemental Data - $409,863,937 $414,887,504 $353,570,440
Income Tax Paid Supplemental Data - $1,301,251,512 $807,021,206 $377,506,258
Net Short Term Debt Issuance - - $170,062,506 $207,443,752
Short Term Debt Payments - - $-2,392,399,736 $-4,699,103,336
Short Term Debt Issuance - - $2,562,462,242 $4,906,547,088
Net Foreign Currency Exchange Gain Loss - - $4,137,055 $-16,843,723
Gain Loss On Sale Of Business - - - $525,701,474
Fetched: 2026-06-20