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TMHC
(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
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Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 48.15%694.71M | -19.56%492.93M | -13.86%434.47M | 16.08%517.79M | 16.08%517.79M | 15.70%468.93M | 50.20%612.83M | 6.57%504.37M | 0.59%446.06M | 0.59%446.06M |
-Cash and cash equivalents | 122.72%622.77M | 33.93%410.42M | 62.65%354.06M | 210.56%467.29M | 210.56%467.29M | 108.32%279.62M | 103.26%306.45M | -5.27%217.69M | -22.07%150.47M | -22.07%150.47M |
-Short-term investments | -62.00%71.94M | -73.07%82.51M | -71.95%80.41M | -82.92%50.5M | -82.92%50.5M | -30.16%189.31M | 19.10%306.38M | 17.73%286.69M | 18.06%295.59M | 18.06%295.59M |
Receivables | 19.63%593.2M | 153.90%614.28M | 136.78%534.7M | 132.33%504.87M | 132.33%504.87M | 137.81%495.85M | 21.86%241.94M | 32.97%225.83M | 31.18%217.31M | 31.18%217.31M |
-Accounts receivable | 19.01%588.05M | 154.71%611.78M | 139.84%534.33M | 135.99%503.24M | 135.99%503.24M | 139.50%494.11M | 24.57%240.18M | 34.03%222.78M | 29.68%213.25M | 29.68%213.25M |
-Taxes receivable | 195.92%5.15M | 42.09%2.5M | -87.97%366K | -59.74%1.64M | -59.74%1.64M | -20.80%1.74M | -69.28%1.76M | -15.71%3.04M | 234.24%4.06M | 234.24%4.06M |
Inventory | -20.69%717.7M | 129.61%770.46M | 154.24%816.2M | 183.68%848.14M | 183.68%848.14M | 220.45%904.98M | 26.13%335.56M | 26.45%321.03M | 26.15%298.98M | 26.15%298.98M |
Other current assets | 7.04%50.92M | 134.77%46.21M | 125.04%43.21M | 112.32%44.58M | 112.32%44.58M | 99.87%47.57M | 5.95%19.68M | -1.97%19.2M | 14.01%21M | 14.01%21M |
Total current assets | 7.26%2.06B | 59.00%1.92B | 70.83%1.83B | 94.78%1.92B | 94.78%1.92B | 108.41%1.92B | 35.78%1.21B | 16.78%1.07B | 13.75%983.34M | 13.75%983.34M |
Non current assets | ||||||||||
Net PPE | -11.56%620.65M | 152.23%625.66M | 159.18%635.23M | 159.04%646.86M | 159.04%646.86M | 196.92%701.74M | 3.84%248.05M | 7.72%245.1M | 12.96%249.72M | 12.96%249.72M |
-Gross PPE | 3.40%1.13B | 80.63%1.11B | 80.70%1.08B | 80.95%1.07B | 80.95%1.07B | 91.40%1.09B | 9.16%612.26M | 10.70%598.97M | 12.55%592.75M | 12.55%592.75M |
-Accumulated depreciation | -30.47%-505.98M | -31.87%-480.29M | -26.35%-447.12M | -24.10%-425.7M | -24.10%-425.7M | -16.49%-387.82M | -13.11%-364.22M | -12.87%-353.87M | -12.26%-343.04M | -12.26%-343.04M |
Goodwill and other intangible assets | -4.60%2.27B | 814.26%2.32B | 807.05%2.34B | 803.73%2.36B | 803.73%2.36B | 910.91%2.38B | 4.96%253.83M | 5.95%257.9M | 5.10%261.05M | 5.10%261.05M |
-Goodwill | 27.55%1.43B | 630.96%1.45B | 630.26%1.45B | 626.46%1.43B | 626.46%1.43B | 517.49%1.12B | 8.88%198.93M | 10.98%198.71M | 9.88%197.47M | 9.88%197.47M |
-Other intangible assets | -33.20%842.78M | 1,478.41%866.57M | 1,400.50%888.21M | 1,354.37%924.6M | 1,354.37%924.6M | 2,233.86%1.26B | -7.15%54.9M | -8.06%59.19M | -7.41%63.57M | -7.41%63.57M |
Investments and advances | -95.54%12.3M | -92.90%27.8M | -89.32%51.26M | -84.79%75.43M | -84.79%75.43M | -45.24%275.96M | -17.34%391.52M | -12.22%480.03M | -11.84%495.85M | -11.84%495.85M |
Non current deferred assets | 521.80%45.49M | -70.57%18.2M | -78.47%11.02M | -78.12%10.69M | -78.12%10.69M | -83.64%7.32M | 75.88%61.84M | 70.96%51.18M | 99.42%48.85M | 99.42%48.85M |
Other non current assets | 10.31%76.64M | 64.29%77.57M | 73.87%78.22M | 110.57%78.59M | 110.57%78.59M | 94.87%69.48M | 38.84%47.22M | 31.12%44.99M | 2.72%37.32M | 2.72%37.32M |
Total non current assets | -11.90%3.03B | 206.24%3.07B | 188.65%3.12B | 190.15%3.17B | 190.15%3.17B | 225.46%3.44B | -2.06%1B | -0.27%1.08B | 0.00%1.09B | 0.00%1.09B |
Total assets | -5.04%5.09B | 125.71%4.99B | 129.98%4.94B | 144.98%5.09B | 144.98%5.09B | 170.98%5.36B | 15.55%2.21B | 7.55%2.15B | 6.07%2.08B | 6.07%2.08B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -29.01%104.19M | 124.08%106.04M | 77.99%115.37M | 78.78%84.24M | 78.78%84.24M | 218.93%146.76M | 0.05%47.32M | 31.18%64.82M | 49.04%47.12M | 49.04%47.12M |
-accounts payable | -33.82%57.54M | 98.64%67.16M | 26.74%50.49M | 56.98%56.67M | 56.98%56.67M | 171.92%86.93M | -1.12%33.81M | 52.67%39.84M | 64.43%36.1M | 64.43%36.1M |
-Total tax payable | -22.02%46.66M | 223.82%38.88M | 158.72%64.63M | 150.21%27.57M | 150.21%27.57M | 325.94%59.83M | -8.36%12.01M | 7.14%24.98M | 47.69%11.02M | 47.69%11.02M |
-Other payable | ---- | ---- | --249K | ---- | ---- | ---- | --1.51M | ---- | ---- | ---- |
Current accrued expenses | 24.68%74.33M | 126.43%73.88M | 139.52%78.48M | 163.71%75.92M | 163.71%75.92M | 120.72%59.61M | 22.94%32.63M | 17.28%32.77M | -11.00%28.79M | -11.00%28.79M |
Current debt and capital lease obligation | 3,248.39%448.18M | --441.6M | --435.79M | 371.88%11.97M | 371.88%11.97M | --13.39M | ---- | ---- | --2.54M | --2.54M |
-Current debt | --437.14M | --430.49M | --424.04M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Current capital lease obligation | -17.52%11.04M | --11.12M | --11.75M | 371.88%11.97M | 371.88%11.97M | --13.39M | ---- | ---- | --2.54M | --2.54M |
Current deferred liabilities | 15.62%20.8M | 32.79%19.85M | 26.11%17.08M | 30.28%18.37M | 30.28%18.37M | 46.44%17.99M | 13.35%14.95M | 14.69%13.54M | 17.26%14.1M | 17.26%14.1M |
Other current liabilities | -40.91%32.11M | 181.14%38.22M | 115.10%29.65M | 358.63%61.04M | 358.63%61.04M | 379.65%54.34M | 7.70%13.6M | 19.50%13.78M | 13.07%13.31M | 13.07%13.31M |
Current liabilities | 90.81%818.07M | 411.63%794.15M | 369.32%786.32M | 146.44%392.35M | 146.44%392.35M | 195.15%428.72M | 6.30%155.22M | 18.42%167.55M | 13.58%159.2M | 13.58%159.2M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -83.05%86.38M | --87.7M | --89.81M | 14,531.28%508.44M | 14,531.28%508.44M | --509.65M | ---- | ---- | --3.48M | --3.48M |
-Long term debt | ---- | ---- | ---- | --417.4M | --417.4M | --409.72M | ---- | ---- | ---- | ---- |
-Long term capital lease obligation | -13.56%86.38M | --87.7M | --89.81M | 2,519.77%91.04M | 2,519.77%91.04M | --99.93M | ---- | ---- | --3.48M | --3.48M |
Non current deferred liabilities | -94.35%7.48M | 414.51%27.26M | 2,818.33%39.95M | 4,645.42%84.42M | 4,645.42%84.42M | 8,277.12%132.19M | 111.03%5.3M | -64.08%1.37M | -58.76%1.78M | -58.76%1.78M |
Other non current liabilities | 6.84%104.73M | 61.95%108.32M | 59.62%105.17M | 57.62%102.92M | 57.62%102.92M | 49.50%98.03M | -0.31%66.88M | -3.14%65.88M | -8.55%65.3M | -8.55%65.3M |
Total non current liabilities | -73.16%198.58M | 209.34%223.28M | 249.32%234.93M | 886.23%695.78M | 886.23%695.78M | 1,001.88%739.87M | 3.70%72.18M | -6.37%67.25M | -6.82%70.55M | -6.82%70.55M |
Total liabilities | -13.00%1.02B | 347.42%1.02B | 334.95%1.02B | 373.61%1.09B | 373.61%1.09B | 450.18%1.17B | 5.46%227.4M | 10.07%234.8M | 6.43%229.75M | 6.43%229.75M |
Shareholders'equity | ||||||||||
Share capital | -3.57%135K | 35.00%135K | 35.00%135K | 36.00%136K | 36.00%136K | 41.41%140K | 1.01%100K | -0.99%100K | -0.99%100K | -0.99%100K |
-common stock | -3.57%135K | 35.00%135K | 35.00%135K | 36.00%136K | 36.00%136K | 41.41%140K | 1.01%100K | -0.99%100K | -0.99%100K | -0.99%100K |
Retained earnings | -16.43%1.13B | -20.22%1.07B | -18.79%1.05B | -8.28%1.14B | -8.28%1.14B | 13.27%1.35B | 17.89%1.35B | 4.60%1.29B | 3.82%1.24B | 3.82%1.24B |
Paid-in capital | 3.21%2.95B | 343.31%2.91B | 347.47%2.89B | 354.99%2.87B | 354.99%2.87B | 371.36%2.86B | 12.95%657.24M | 13.15%645.06M | 13.93%630.95M | 13.93%630.95M |
Gains losses not affecting retained earnings | 62.84%-6.96M | 37.85%-11.85M | 43.13%-11.05M | 58.62%-10.19M | 58.62%-10.19M | 41.86%-18.74M | 24.84%-19.07M | -13.14%-19.42M | -263.70%-24.63M | -263.70%-24.63M |
Total stockholders'equity | -2.82%4.07B | 100.31%3.98B | 104.84%3.92B | 116.53%4B | 116.53%4B | 137.36%4.19B | 16.83%1.99B | 7.25%1.91B | 6.03%1.85B | 6.03%1.85B |
Total equity | -2.82%4.07B | 100.31%3.98B | 104.84%3.92B | 116.53%4B | 116.53%4B | 137.36%4.19B | 16.83%1.99B | 7.25%1.91B | 6.03%1.85B | 6.03%1.85B |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |