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NVDA
(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -7.76%121.87M | -22.43%124.65M | 20.97%167.32M | -15.92%135.06M | -15.92%135.06M | -57.81%132.13M | -40.51%160.7M | -58.37%138.31M | -76.39%160.63M | -76.39%160.63M |
-Cash and cash equivalents | -7.59%121.22M | -22.50%123.72M | 22.30%166.47M | -12.48%134.21M | -12.48%134.21M | -57.62%131.18M | -39.57%159.64M | -58.26%136.12M | -77.22%153.35M | -77.22%153.35M |
-Money market investments | -31.48%653K | -12.38%927K | -61.49%845K | -88.35%849K | -88.35%849K | -73.94%953K | -82.20%1.06M | -64.49%2.19M | 3.00%7.29M | 3.00%7.29M |
Receivables | -11.13%444.63M | -12.86%454.42M | -9.19%481.81M | -2.69%498.28M | -2.69%498.28M | 6.80%500.31M | 14.42%521.49M | 18.21%530.56M | 15.65%512.06M | 15.65%512.06M |
-Accounts receivable | 11.60%27.1M | 22.65%25.76M | 26.28%25.93M | 22.75%24.93M | 22.75%24.93M | 38.47%24.28M | 26.87%21M | 3.54%20.53M | 4.33%20.31M | 4.33%20.31M |
-Other receivables | -12.29%417.53M | -14.35%428.66M | -10.62%455.88M | -3.74%473.35M | -3.74%473.35M | 5.56%476.02M | 13.95%500.49M | 18.89%510.03M | 16.17%491.74M | 16.17%491.74M |
Net loan | -8.54%5.25B | -8.11%5.34B | -6.14%5.43B | -2.81%5.59B | -2.81%5.59B | 0.90%5.74B | 9.44%5.81B | 14.17%5.78B | 20.33%5.75B | 20.33%5.75B |
-Gross loan | -7.97%5.34B | -7.55%5.43B | -5.80%5.51B | -2.66%5.66B | -2.66%5.66B | 0.98%5.8B | 9.53%5.87B | 14.20%5.85B | 20.33%5.82B | 20.33%5.82B |
-Allowance for loans and lease losses | 49.92%85.8M | 41.93%92.18M | 25.76%78.06M | 12.20%68.5M | 12.20%68.5M | 10.15%57.23M | 18.31%64.95M | 17.24%62.07M | 19.56%61.05M | 19.56%61.05M |
Securities and investments | 42.21%1.26B | 23.00%1.15B | 23.36%1.08B | 17.10%963.82M | 17.10%963.82M | 21.14%884.56M | 16.01%933.88M | -2.30%874.14M | -13.59%823.06M | -13.59%823.06M |
-Available for sale securities | -7.41%45.88M | 4.69%53.56M | -38.61%37.97M | -12.59%47.92M | -12.59%47.92M | 2.56%49.55M | 15.13%51.16M | 35.57%61.85M | 19.53%54.83M | 19.53%54.83M |
-Short term investments | 45.16%1.21B | 24.06%1.1B | 28.08%1.04B | 19.22%915.9M | 19.22%915.9M | 22.46%835.01M | 16.06%882.72M | -4.33%812.29M | -15.26%768.23M | -15.26%768.23M |
Bank owned life insurance | 0.39%209.19M | 36.13%207.21M | 35.66%205.29M | 35.26%203.49M | 35.26%203.49M | 39.25%208.39M | 2.22%152.21M | 2.20%151.32M | 1.39%150.44M | 1.39%150.44M |
Net PPE | 2.33%84.67M | 2.51%83.04M | 1.55%81.83M | 5.77%82.81M | 5.77%82.81M | 6.74%82.74M | 4.30%81.01M | 3.50%80.58M | -1.17%78.29M | -1.17%78.29M |
-Gross PPE | 4.48%142.37M | 4.47%139.57M | 3.57%137.12M | 6.69%137.54M | 6.69%137.54M | 7.37%136.26M | 6.03%133.61M | 5.91%132.39M | 3.29%128.92M | 3.29%128.92M |
-Accumulated depreciation | -7.81%-57.7M | -7.48%-56.53M | -6.72%-55.29M | -8.09%-54.73M | -8.09%-54.73M | -8.38%-53.52M | -8.82%-52.6M | -9.90%-51.81M | -11.05%-50.63M | -11.05%-50.63M |
Foreclosed assets | 1,701.25%8.65M | 4,010.89%8.3M | 32.56%8.92M | 35.41%9.11M | 35.41%9.11M | -95.69%480K | -98.19%202K | -41.67%6.73M | -44.20%6.73M | -44.20%6.73M |
Assets held for sale | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --20.75M | --20.75M | --20.75M |
Goodwill and other intangible assets | -3.36%193.36M | -3.50%194.81M | 7.61%196.5M | 7.77%198.27M | 7.77%198.27M | 7.92%200.08M | -4.48%201.88M | -14.02%182.6M | -14.49%183.98M | -14.49%183.98M |
-Goodwill | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M | 0.00%161.9M |
-Other intangible assets | -17.60%31.45M | -17.69%32.91M | 67.20%34.6M | 64.75%36.36M | 64.75%36.36M | 62.46%38.17M | -19.14%39.98M | -58.99%20.69M | -58.54%22.07M | -58.54%22.07M |
Other assets | -20.32%177.66M | 13.46%199.49M | 13.68%182.2M | 11.17%182.99M | 11.17%182.99M | 31.85%222.97M | 17.86%175.82M | 9.66%160.27M | 25.74%164.61M | 25.74%164.61M |
Total assets | -2.81%7.75B | -3.45%7.76B | -1.24%7.83B | 0.14%7.87B | 0.14%7.87B | 1.97%7.98B | 8.05%8.03B | 8.06%7.93B | 5.53%7.86B | 5.53%7.86B |
Liabilities | ||||||||||
Total deposits | -2.31%6.26B | -4.80%6.12B | -1.58%6.32B | -0.87%6.31B | -0.87%6.31B | 0.15%6.41B | 3.91%6.43B | 6.07%6.43B | 4.16%6.36B | 4.16%6.36B |
Federal funds purchased and securities sold under agreement to repurchase | -23.05%13.85M | -66.91%7.21M | 587.92%214.45M | ---- | ---- | -69.24%18M | -67.82%21.78M | -48.35%31.17M | ---- | ---- |
Payables | -2.82%103.74M | 14.11%103.69M | 55.60%102.97M | 37.70%110.46M | 37.70%110.46M | 34.04%106.74M | 23.55%90.87M | --66.17M | -14.55%80.22M | -14.55%80.22M |
-Accounts payable | -2.82%103.74M | 14.11%103.69M | 55.60%102.97M | 37.70%110.46M | 37.70%110.46M | 34.04%106.74M | 23.55%90.87M | --66.17M | -14.55%80.22M | -14.55%80.22M |
Current debt and capital lease obligation | -53.56%150M | 172.73%150M | 81.82%100M | 29.90%184.87M | 29.90%184.87M | 115.33%323M | -26.67%55M | --55M | --142.31M | --142.31M |
-Current debt | -53.56%150M | 172.73%150M | 81.82%100M | 29.90%184.87M | 29.90%184.87M | 115.33%323M | -26.67%55M | --55M | --142.31M | --142.31M |
Long term debt and capital lease obligation | 15.97%357.74M | -11.70%541.66M | -52.81%248.62M | -8.75%419.55M | -8.75%419.55M | -11.71%308.48M | 75.62%613.4M | 14.67%526.85M | 2.38%459.77M | 2.38%459.77M |
-Long term debt | 15.97%357.74M | -11.70%541.66M | -52.81%248.62M | -8.75%419.55M | -8.75%419.55M | -11.71%308.48M | 75.62%613.4M | 17.29%526.85M | 2.38%459.77M | 2.38%459.77M |
Preferred securities outside stock equity | 1.19%51.06M | 1.24%50.92M | 1.31%50.79M | 1.28%50.62M | 1.28%50.62M | 1.27%50.46M | 1.25%50.3M | 0.89%50.14M | 0.87%49.98M | 0.87%49.98M |
Total liabilities | -3.86%6.93B | -3.95%6.97B | -1.59%7.04B | -0.31%7.08B | -0.31%7.08B | 1.82%7.21B | 6.74%7.26B | 6.88%7.15B | 4.67%7.1B | 4.67%7.1B |
Shareholders'equity | ||||||||||
Share capital | -0.00%110.76M | -0.00%110.76M | -0.01%110.76M | -0.01%110.76M | -0.01%110.76M | -0.00%110.76M | 50,020.36%110.77M | 50,249.55%110.77M | 50,022.17%110.77M | 50,022.17%110.77M |
-common stock | -0.93%214K | -1.83%214K | -2.71%215K | -2.70%216K | -2.70%216K | -2.26%216K | -1.36%218K | 0.45%221K | 0.45%222K | 0.45%222K |
-Preferred stock | 0.00%110.55M | 0.00%110.55M | 0.00%110.55M | 0.00%110.55M | 0.00%110.55M | 0.00%110.55M | --110.55M | --110.55M | --110.55M | --110.55M |
Paid-in capital | -0.90%433.62M | -2.33%432.57M | -2.92%434.4M | -3.06%435.46M | -3.06%435.46M | -2.26%437.57M | -0.90%442.89M | 0.32%447.47M | 0.74%449.2M | 0.74%449.2M |
Retained earnings | 5.49%334.52M | 5.57%325.02M | 10.86%327.26M | 14.15%322.38M | 14.15%322.38M | 22.33%317.1M | 27.14%307.89M | 30.18%295.2M | 32.91%282.41M | 32.91%282.41M |
Gains losses not affecting retained earnings | 40.07%-60.64M | 2.52%-82.58M | -4.66%-81.42M | 8.41%-76.75M | 8.41%-76.75M | -29.09%-101.18M | -59.56%-84.72M | -177.50%-77.8M | -1,700.10%-83.8M | -1,700.10%-83.8M |
Total stockholders'equity | 7.07%818.26M | 1.15%785.77M | 1.98%791.01M | 4.39%791.85M | 4.39%791.85M | 3.38%764.25M | 22.11%776.82M | 20.26%775.64M | 14.27%758.57M | 14.27%758.57M |
Total equity | 7.07%818.26M | 1.15%785.77M | 1.98%791.01M | 4.39%791.85M | 4.39%791.85M | 3.38%764.25M | 22.11%776.82M | 20.26%775.64M | 14.27%758.57M | 14.27%758.57M |
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 |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |