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Revenue $394.328B
EBITDA $130.541B
Income $99.803B
Revenue Q/Q 8.14%
Revenue Y/Y 7.79%
P/E 27.76
Forward P/E 23.47
EV/Sales 5.74
EV/EBITDA 17.34
EV/EBIT 18.95
PEG 2.80
Price/Sales 5.02
P/FCF 17.78
Price/Book 45.96
Book/Share 4.32
Cash/Share 4.12
FCF yield 5.62%
Employees 154,000
RPE $2.561M
Volume 17.491k / 58.642k
Relative vol. 0.30 ×
EPS 7.16
EPS Q/Q N/A
Est. EPS Q/Q N/A
Profit margin 25.31%
Oper. margin 30.29%
Gross margin 43.31%
EBIT margin 30.29%
EBITDA margin 33.10%
Ret. on assets 28.10%
Ret. on equity 160.90%
ROIC 28.44%
ROCE 60.09%
Volatility 2.28%
Beta 1.22
RSI 44.65
Range €201.70 – €202.80
52 weeks €153.32 – €217.30
SMA 50 €202 +0.35%
SMA 200 €181 +10.77%
Shares outst. 15.908B
Shares float 15.891B 99.90%
Short % of float N/A
Short ratio N/A
Revenue $385.603B
EBITDA $131.781B
Income $101.956B
Revenue Q/Q 4.87%
Revenue Y/Y 0.43%
P/E 33.79
Forward P/E 34.33
EV/Sales 9.03
EV/EBITDA 26.42
EV/EBIT 28.57
PEG 2.75
Price/Sales 5.12
P/FCF 18.91
Price/Book 31.74
Book/Share 7.01
Cash/Share 6.95
FCF yield 5.29%
Employees 164,000
RPE $2.351M
Volume 0.000 / 52.958M
Relative vol. 0.00 ×
EPS 6.59
EPS Q/Q 4.03%
Est. EPS Q/Q -5.71%
Profit margin 25.31%
Oper. margin 31.27%
Gross margin 44.13%
EBIT margin 31.61%
EBITDA margin 34.18%
Ret. on assets 29.66%
Ret. on equity 147.15%
ROIC 33.37%
ROCE 60.94%
Volatility 2.32%
Beta 1.02
RSI 49.16
Range $217.89 – $223.09
52 weeks $164.08 – $237.23
SMA 50 $221 +0.54%
SMA 200 $196 +11.92%
1 year target $125 -43.95%
Mean Recomm. 1.95
Shares outst. 15.204B
Shares float 0.000 0.00%
Short % of float 0.68%
Short ratio 1.11
Revenue $203.075B
EBITDA $98.841B
Income $69.789B
Revenue Q/Q 10.60%
Revenue Y/Y 15.22%
P/E 36.46
Forward P/E 26.32
EV/Sales 9.21
EV/EBITDA 18.92
EV/EBIT 22.09
PEG 2.29
Price/Sales 9.44
P/FCF 30.28
Price/Book 11.51
Book/Share 27.72
Cash/Share 17.44
FCF yield 3.30%
Employees 221,000
RPE $918.891k
Volume 3.000 / 3.000
Relative vol. 1.00 ×
EPS 8.76
EPS Q/Q N/A
Est. EPS Q/Q N/A
Profit margin 36.69%
Oper. margin 41.69%
Gross margin 68.40%
EBIT margin 41.69%
EBITDA margin 48.67%
Ret. on assets 19.80%
Ret. on equity 42.10%
ROIC 20.74%
ROCE 31.08%
Volatility 1.57%
Beta 0.93
RSI 44.74
Range $319.20 – $319.20
52 weeks $311.25 – $340.00
SMA 50 $323 -1.20%
SMA 200 $315 +1.37%
Revenue $245.122B
EBITDA $131.720B
Income $88.136B
Revenue Q/Q 15.20%
Revenue Y/Y 15.67%
P/E 35.67
Forward P/E 39.44
EV/Sales 12.76
EV/EBITDA 23.75
EV/EBIT 28.26
PEG 2.17
Price/Sales 7.62
P/FCF 25.23
Price/Book 6.96
Book/Share 60.77
Cash/Share 17.10
FCF yield 3.96%
Employees 221,000
RPE $1.109M
Volume 0.000 / 22.110M
Relative vol. 0.00 ×
EPS 11.86
EPS Q/Q 3.52%
Est. EPS Q/Q -5.24%
Profit margin 35.96%
Oper. margin 44.64%
Gross margin 69.76%
EBIT margin 45.17%
EBITDA margin 53.74%
Ret. on assets 18.43%
Ret. on equity 35.95%
ROIC 23.96%
ROCE 28.62%
Volatility 1.93%
Beta 1.11
RSI 53.82
Range $409.58 – $423.99
52 weeks $309.45 – $468.33
SMA 50 $418 +1.15%
SMA 200 $423 +0.06%
1 year target $244 -42.22%
Mean Recomm. 1.19
Shares outst. 7.433B
Shares float 0.000 0.00%
Short % of float 0.51%
Short ratio 1.28
Revenue $245.122B
EBITDA $97.983B
Income $88.136B
Revenue Q/Q 15.20%
Revenue Y/Y 15.67%
P/E 20.35
Forward P/E 21.55
EV/Sales 7.13
EV/EBITDA 17.83
EV/EBIT 21.77
PEG 1.81
Price/Sales 7.32
P/FCF 24.22
Price/Book 6.68
Book/Share 239.49
Cash/Share 67.38
FCF yield 4.13%
Employees 221,000
RPE $1.109M
Volume 30.000 / 0.000
Relative vol. N/A
EPS 78.62
EPS Q/Q N/A
Est. EPS Q/Q N/A
Profit margin 35.96%
Oper. margin 44.64%
Gross margin 69.76%
EBIT margin 42.06%
EBITDA margin 39.97%
Ret. on assets 18.43%
Ret. on equity 35.95%
ROIC 20.74%
ROCE 0.00%
Volatility 0.00%
Beta 0.96
RSI N/A
Range HKD$1,600.00 – HKD$1,600.00
52 weeks HKD$1,600.00 – HKD$1,600.00
SMA 50 HKD$1,600 +0.00%
SMA 200 HKD$1,600 +0.00%
Revenue $328.284B
EBITDA $110.006B
Income $66.990B
Revenue Q/Q 6.10%
Revenue Y/Y 17.94%
P/E 3.07
Forward P/E 27.68
EV/Sales 5.55
EV/EBITDA 16.55
EV/EBIT 30.85
PEG 1.34
Price/Sales 4.37
P/FCF 19.70
Price/Book 7.03
Book/Share 21.63
Cash/Share 18.03
FCF yield 5.08%
Employees 190,234
RPE $1.726M
Volume 0.000 / 26.509M
Relative vol. 0.00 ×
EPS 49.59
EPS Q/Q -24.29%
Est. EPS Q/Q -20.26%
Profit margin 26.70%
Oper. margin 27.85%
Gross margin 57.36%
EBIT margin 27.85%
EBITDA margin 33.51%
Ret. on assets 18.74%
Ret. on equity 26.41%
ROIC 19.43%
ROCE 26.88%
Volatility 2.91%
Beta 1.28
RSI 28.45
Range $148.70 – $152.48
52 weeks $121.46 – $193.30
SMA 50 $168 -10.53%
SMA 200 $166 -8.85%
1 year target $1,839 +1,108.79%
Mean Recomm. 1.34
Shares outst. 5.585B
Shares float 0.000 0.00%
Short % of float 0.00%
Short ratio 1.07
1 year target $1,839 +1,108.79%
Mean Recomm. 1.34
Dividend $0.20
Dividend yield 0.13%
Payout ratio 0.40%
Payment date 16 Sep 2024
Ex-dividend date 9 Sep 2024
Earnings date 22 Oct 2024
IPO year 2004
Country United States
Revenue $328.284B
EBITDA $110.006B
Income $87.657B
Revenue Q/Q 13.59%
Revenue Y/Y 13.38%
P/E 21.50
Forward P/E 27.28
EV/Sales 5.55
EV/EBITDA 16.55
EV/EBIT 17.88
PEG 1.34
Price/Sales 3.75
P/FCF 20.27
Price/Book 4.35
Book/Share 34.77
Cash/Share 13.61
FCF yield 4.93%
Employees 190,234
RPE $1.726M
Volume 0.000 / N/A
Relative vol. N/A
EPS 7.03
EPS Q/Q -24.29%
Est. EPS Q/Q -22.22%
Profit margin 24.01%
Oper. margin 29.83%
Gross margin 56.63%
EBIT margin 31.02%
EBITDA margin 33.51%
Ret. on assets 21.63%
Ret. on equity 30.48%
ROIC 22.41%
ROCE 30.23%
Volatility 3.06%
Beta 1.29
RSI 29.26
Range $147.52 – $151.50
52 weeks $120.21 – $191.75
SMA 50 $167 -10.31%
SMA 200 $164 -8.61%
1 year target $1,894 +1,153.08%
Mean Recomm. 1.33
Shares outst. 12.609B
Shares float 0.000 0.00%
Short % of float 0.82%
Short ratio 1.44
1 year target $1,894 +1,153.08%
Mean Recomm. 1.33
Dividend $0.20
Dividend yield 0.12%
Payout ratio 2.84%
Payment date 16 Sep 2024
Ex-dividend date 9 Sep 2024
Earnings date 22 Oct 2024
IPO year 2004
Country United States
Market cap $862.31B
Enterprise value $949.13B
Revenue $502.191B
EBITDA $51.549B
Income $11.323B
Revenue Q/Q 14.70%
Revenue Y/Y 9.66%
P/E 144.85
Forward P/E 44.25
EV/Sales 1.89
EV/EBITDA 18.41
EV/EBIT 73.17
PEG 5.00
Price/Sales 1.72
P/FCF N/A
Price/Book 10.69
Book/Share 15.65
Cash/Share 10.88
FCF yield -3.05%
Employees 1,468,000
RPE $342.092k
Volume 49.673k / 64.098k
Relative vol. 0.77 ×
EPS 1.16
EPS Q/Q N/A
Est. EPS Q/Q N/A
Ret. on assets 2.70%
Ret. on equity 8.37%
ROIC 5.87%
ROCE 4.50%
Volatility 2.58%
Beta 1.19
RSI 60.81
Range €166.74 – €168.18
52 weeks €112.00 – €186.76
SMA 50 €161 +4.05%
SMA 200 €168 +0.10%
Shares outst. 10.202B
Shares float 9.191B 90.09%
Short % of float N/A
Short ratio N/A
Revenue $282.113B
EBITDA $96.887B
Income $66.990B
Revenue Q/Q 6.10%
Revenue Y/Y 17.94%
P/E 18.29
Forward P/E N/A
EV/Sales N/A
EV/EBITDA N/A
EV/EBIT N/A
PEG N/A
Price/Sales 3.05
P/FCF 13.75
Price/Book 5.26
Book/Share 31.12
Cash/Share 17.27
FCF yield 7.28%
Employees 174,014
RPE $1.621M
Volume 811.000 / 135.510k
Relative vol. 0.01 ×
EPS 8.96
EPS Q/Q N/A
Est. EPS Q/Q N/A
Profit margin 29.51%
Oper. margin 27.85%
Gross margin 56.94%
EBIT margin 27.85%
EBITDA margin 34.34%
Ret. on assets 18.74%
Ret. on equity 26.41%
ROIC 19.43%
ROCE 26.88%
Volatility 3.03%
Beta 1.10
RSI 39.59
Range $114.53 – $115.00
52 weeks $114.94 – $192.98
SMA 50 $169 -46.89%
SMA 200 $166 -44.05%
Shares outst. 695.466M
Shares float 11.361B 1633.53%
Short % of float N/A
Short ratio N/A
Market cap $682.01B
Enterprise value $772.04B
Revenue $402.877B
EBITDA $26.516B
Income $67.857B
Revenue Q/Q -6.41%
Revenue Y/Y 0.27%
P/E 14.43
Forward P/E 21.46
EV/Sales 1.92
EV/EBITDA 29.12
EV/EBIT 8.75
PEG 10.17
Price/Sales 1.69
P/FCF 21.12
Price/Book 1.22
Book/Share 372.89
Cash/Share 71,837.86
FCF yield 4.74%
Employees 360,000
RPE $1.119M
Volume 4.397M / 3.566M
Relative vol. 1.23 ×
EPS 31.40
EPS Q/Q 43.69%
Est. EPS Q/Q -6.97%
Ret. on assets 6.36%
Ret. on equity 12.01%
ROIC 12.42%
ROCE 7.96%
Volatility 1.69%
Beta 0.90
RSI 58.29
Range $445.25 – $457.62
52 weeks $332.17 – $468.38
SMA 50 $440 +2.94%
SMA 200 $417 +7.99%
1 year target $351 -22.53%
Mean Recomm. 2.70
Shares outst. 1.303B
Shares float 1.207M 0.09%
Short % of float 0.54%
Short ratio 1.41