(FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | (Q1)Dec 31, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jun 30, 2023 | (Q2)Mar 31, 2023 | (Q1)Dec 31, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -3.88%19.95B | -3.80%6.66B | -11.44%5.13B | 17.56%4.54B | -13.35%3.61B | 10.11%20.76B | 17.89%6.93B | 10.38%5.8B | 10.63%3.86B | -1.44%4.17B |
Net income from continuing operations | 14.30%19.74B | 13.61%5.32B | 17.23%4.87B | 9.54%4.66B | 17.01%4.89B | 15.48%17.27B | 18.81%4.68B | 21.84%4.16B | 16.73%4.26B | 5.56%4.18B |
Operating gains losses | -9.62%94M | 757.14%46M | 125.88%22M | -66.67%30M | -103.77%-4M | -60.61%104M | -105.74%-7M | -134.55%-85M | -29.13%90M | 145.89%106M |
Depreciation and amortization | 9.65%1.03B | 10.93%274M | 12.34%264M | 6.41%249M | 8.81%247M | 9.52%943M | 9.29%247M | 2.17%235M | 13.04%234M | 14.65%227M |
Deferred tax | 79.30%-100M | 99.57%-1M | 68.69%-31M | -477.27%-127M | 144.70%59M | -43.75%-483M | -72.93%-230M | 55.80%-99M | -161.11%-22M | -780.00%-132M |
Other non cash items | 13.03%13.76B | 7.17%3.59B | 12.50%3.57B | 12.61%3.27B | 21.18%3.34B | 19.86%12.18B | 18.41%3.35B | 24.79%3.18B | 18.16%2.9B | 18.01%2.75B |
Change In working capital | -53.98%-15.43B | -114.03%-2.75B | -112.55%-3.78B | 0.97%-3.79B | -63.22%-5.12B | -30.89%-10.02B | -3.80%-1.28B | -60.38%-1.78B | -20.48%-3.82B | -46.70%-3.14B |
-Change in receivables | -488.29%-2.41B | -1,298.95%-2.29B | 273.13%1.18B | -537.63%-849M | -296.49%-452M | 17.00%-410M | 215.06%191M | -331.01%-681M | 63.03%194M | 60.55%-114M |
-Change in payables and accrued expense | -12.62%1.25B | 153.44%3.32B | -216.15%-1.81B | 160.12%603M | -96.15%-865M | -50.04%1.43B | -9.90%1.31B | -10.81%1.56B | -0.20%-1B | -167.64%-441M |
-Change in other current assets | -729.17%-199M | -161.90%-26M | 672.73%85M | 77.22%-54M | -227.50%-204M | 96.40%-24M | 119.91%42M | 106.71%11M | -85.16%-237M | 198.16%160M |
-Change in other working capital | -27.72%-14.07B | -32.70%-3.75B | -21.07%-3.23B | -25.52%-3.49B | -31.28%-3.6B | -17.78%-11.01B | -22.18%-2.83B | -5.21%-2.67B | -28.37%-2.78B | -17.27%-2.74B |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -3.88%19.95B | -3.80%6.66B | -11.44%5.13B | 17.56%4.54B | -13.35%3.61B | 10.11%20.76B | 17.89%6.93B | 10.38%5.8B | 10.63%3.86B | -1.44%4.17B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 3.99%-1.93B | 149.16%584M | 3,164.71%555M | -261.85%-1.18B | -270.39%-1.89B | 53.22%-2.01B | -1,210.28%-1.19B | 100.82%17M | 81.79%-325M | 6.76%-510M |
Net PPE purchase and sale | -18.70%-1.26B | -1.31%-309M | -35.59%-400M | -33.81%-281M | -7.23%-267M | -9.18%-1.06B | -3.39%-305M | -25.53%-295M | 21.35%-210M | -43.93%-249M |
Net business purchase and sale | ---915M | --0 | --0 | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
Net investment purchase and sale | 136.77%339M | 211.84%935M | 210.36%959M | 167.39%62M | -433.66%-1.62B | 38.45%-922M | -306.42%-836M | 116.48%309M | 77.78%-92M | -178.50%-303M |
Net other investing changes | -272.00%-93M | 10.64%-42M | -233.33%-4M | -82.61%-42M | -111.90%-5M | -119.53%-25M | ---47M | -93.62%3M | -355.56%-23M | -41.67%42M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 3.99%-1.93B | 149.16%584M | 3,164.71%555M | -261.85%-1.18B | -270.39%-1.89B | 53.22%-2.01B | -1,210.28%-1.19B | 100.82%17M | 81.79%-325M | 6.76%-510M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -16.10%-20.63B | -54.34%-7.07B | -35.52%-5.31B | -32.40%-3.87B | 31.01%-4.38B | -39.98%-17.77B | -13.37%-4.58B | -1,256.06%-3.92B | 13.94%-2.93B | -27.78%-6.35B |
Net issuance payments of debt | --0 | --0 | --0 | --0 | --0 | -201.44%-2.25B | --0 | --0 | --0 | ---2.25B |
Net common stock issuance | -38.11%-16.71B | -55.91%-5.85B | -48.87%-4.53B | -25.71%-2.76B | -14.93%-3.58B | -4.42%-12.1B | -78.36%-3.75B | -24.99%-3.04B | 25.60%-2.19B | 24.10%-3.12B |
Cash dividends paid | -12.42%-4.22B | -12.18%-1.04B | -12.70%-1.06B | -12.65%-1.06B | -12.17%-1.06B | -17.11%-3.75B | -16.88%-928M | -17.42%-937M | -17.33%-941M | -16.81%-945M |
Proceeds from stock option exercised by employees | 28.85%335M | 31.12%257M | 18.75%76M | 25.00%70M | -21.43%-68M | 32.65%260M | 22.50%196M | 64.10%64M | 9.80%56M | -3.70%-56M |
Net other financing activities | -154.29%-38M | -350.52%-437M | 4,020.00%196M | -182.35%-126M | 1,631.58%329M | 122.01%70M | 67.99%-97M | ---5M | --153M | --19M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -16.10%-20.63B | -54.34%-7.07B | -35.52%-5.31B | -32.40%-3.87B | 31.01%-4.38B | -39.98%-17.77B | -13.37%-4.58B | -1,256.06%-3.92B | 13.94%-2.93B | -27.78%-6.35B |
Net cash flow | ||||||||||
Beginning cash position | 7.92%21.99B | -8.38%19.28B | -0.94%18.95B | 6.82%19.64B | 7.92%21.99B | 2.92%20.38B | 10.75%21.04B | 15.81%19.13B | 0.33%18.38B | 2.92%20.38B |
Current changes in cash | -367.04%-2.61B | -84.56%179M | -80.05%378M | -184.07%-512M | 1.19%-2.65B | -47.61%977M | -40.35%1.16B | -34.66%1.9B | 135.91%609M | -109.52%-2.69B |
Effect of exchange rate changes | -39.94%382M | 248.08%308M | -412.50%-50M | -229.41%-176M | -56.65%300M | 149.42%636M | 62.99%-208M | 103.81%16M | 222.52%136M | 456.70%692M |
End cash Position | -10.13%19.76B | -10.13%19.76B | -8.38%19.28B | -0.94%18.95B | 6.82%19.64B | 7.92%21.99B | 7.92%21.99B | 10.75%21.04B | 15.81%19.13B | 0.33%18.38B |
Free cash flow | -5.09%18.69B | -4.03%6.36B | -13.96%4.73B | 16.63%4.26B | -14.66%3.35B | 10.16%19.7B | 18.65%6.62B | 9.67%5.5B | 13.28%3.65B | -3.38%3.92B |
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 | -- | -- | -- | -- |
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