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Revenue $381.623B
EBITDA $129.629B
Income $100.389B
Revenue Q/Q -4.31%
Revenue Y/Y -0.90%
P/E 35.27
Forward P/E 31.46
EV/Sales 8.44
EV/EBITDA 24.83
EV/EBIT 26.80
PEG 2.75
Price/Sales 5.17
P/FCF 19.36
Price/Book 31.74
Book/Share 7.18
Cash/Share 7.11
FCF yield 5.17%
Employees 147,000
RPE $2.596M
Volume 0.000 / 65.587M
Relative vol. 0.00 ×
EPS 6.46
EPS Q/Q 4.03%
Est. EPS Q/Q -5.71%
Profit margin 25.31%
Oper. margin 30.98%
Gross margin 44.13%
EBIT margin 31.47%
EBITDA margin 33.97%
Ret. on assets 29.13%
Ret. on equity 148.33%
ROIC 33.37%
ROCE 56.24%
Volatility 2.10%
Beta 1.09
RSI 75.58
Range $223.25 – $227.84
52 weeks $164.08 – $227.82
SMA 50 $202 +11.52%
SMA 200 $185 +18.63%
1 year target $125 -45.22%
Mean Recomm. 1.95
Shares outst. 15.334B
Shares float 0.000 0.00%
Short % of float 0.68%
Short ratio 1.11
Revenue $236.584B
EBITDA $125.543B
Income $86.181B
Revenue Q/Q 17.03%
Revenue Y/Y 13.97%
P/E 40.23
Forward P/E 41.83
EV/Sales 14.07
EV/EBITDA 26.51
EV/EBIT 30.82
PEG 2.17
Price/Sales 7.90
P/FCF 26.48
Price/Book 9.06
Book/Share 51.45
Cash/Share 27.76
FCF yield 3.78%
Employees 166,475
RPE $1.421M
Volume 12.765M / 26.774M
Relative vol. 0.48 ×
EPS 11.59
EPS Q/Q 3.52%
Est. EPS Q/Q -5.24%
Profit margin 34.15%
Oper. margin 44.70%
Gross margin 68.92%
EBIT margin 45.64%
EBITDA margin 53.06%
Ret. on assets 19.02%
Ret. on equity 37.54%
ROIC 23.50%
ROCE 29.52%
Volatility 1.40%
Beta 1.23
RSI 73.60
Range $464.46 – $467.70
52 weeks $309.45 – $468.33
SMA 50 $435 +6.72%
SMA 200 $412 +11.70%
1 year target $244 -47.58%
Mean Recomm. 1.19
Shares outst. 7.432B
Shares float 0.000 0.00%
Short % of float 0.51%
Short ratio 1.28
1 year target $244 -47.58%
Mean Recomm. 1.19
Dividend $2.93
Dividend yield 0.63%
Payout ratio 25.28%
Payment date 12 Sep 2024
Ex-dividend date 15 Aug 2024
Earnings date 30 Jul 2024
IPO year 1986
Country United States
Revenue $318.146B
EBITDA $103.970B
Income $66.990B
Revenue Q/Q 6.10%
Revenue Y/Y 17.94%
P/E 3.84
Forward P/E 29.76
EV/Sales 6.20
EV/EBITDA 18.97
EV/EBIT 30.85
PEG 1.34
Price/Sales 4.37
P/FCF 19.70
Price/Book 8.81
Book/Share 21.63
Cash/Share 19.24
FCF yield 5.08%
Employees 135,301
RPE $2.351M
Volume 12.078M / 14.560M
Relative vol. 0.83 ×
EPS 49.59
EPS Q/Q -24.29%
Est. EPS Q/Q -20.26%
Profit margin 25.90%
Oper. margin 27.85%
Gross margin 57.13%
EBIT margin 27.85%
EBITDA margin 32.68%
Ret. on assets 18.74%
Ret. on equity 26.41%
ROIC 19.43%
ROCE 26.88%
Volatility 1.68%
Beta 1.36
RSI 68.40
Range $189.32 – $191.68
52 weeks $115.83 – $192.26
SMA 50 $179 +6.16%
SMA 200 $157 +17.72%
1 year target $1,839 +865.54%
Mean Recomm. 1.34
Shares outst. 5.617B
Shares float 0.000 0.00%
Short % of float 0.00%
Short ratio 1.07
Revenue $318.146B
EBITDA $103.970B
Income $82.406B
Revenue Q/Q 15.41%
Revenue Y/Y 11.78%
P/E 28.77
Forward P/E 29.55
EV/Sales 6.20
EV/EBITDA 18.97
EV/EBIT 20.52
PEG 1.34
Price/Sales 3.87
P/FCF 17.83
Price/Book 4.35
Book/Share 43.48
Cash/Share 17.02
FCF yield 5.61%
Employees 135,301
RPE $2.351M
Volume 19.967M / 38.188M
Relative vol. 0.52 ×
EPS 6.57
EPS Q/Q -24.29%
Est. EPS Q/Q -22.22%
Profit margin 24.01%
Oper. margin 29.03%
Gross margin 56.63%
EBIT margin 30.22%
EBITDA margin 32.68%
Ret. on assets 20.74%
Ret. on equity 29.52%
ROIC 22.41%
ROCE 29.10%
Volatility 1.72%
Beta 1.37
RSI 68.49
Range $187.79 – $190.17
52 weeks $115.35 – $190.85
SMA 50 $177 +6.22%
SMA 200 $155 +17.83%
1 year target $1,894 +902.04%
Mean Recomm. 1.33
Shares outst. 12.609B
Shares float 0.000 0.00%
Short % of float 0.82%
Short ratio 1.44
Market cap $682.01B
Enterprise value $772.04B
Revenue $410.931B
EBITDA $26.516B
Income $73.421B
Revenue Q/Q -23.64%
Revenue Y/Y 43.93%
P/E 12.09
Forward P/E 21.46
EV/Sales 1.88
EV/EBITDA 29.12
EV/EBIT 8.09
PEG 10.17
Price/Sales 1.66
P/FCF 22.01
Price/Book 1.22
Book/Share 336.66
Cash/Share 71,837.86
FCF yield 4.54%
Employees 360,000
RPE $1.141M
Volume 0.000 / 2.977M
Relative vol. 0.00 ×
EPS 33.84
EPS Q/Q 43.69%
Est. EPS Q/Q -6.97%
Ret. on assets 6.99%
Ret. on equity 13.36%
ROIC 12.42%
ROCE 8.92%
Volatility 1.10%
Beta 0.90
RSI 51.32
Range $408.00 – $413.79
52 weeks $332.17 – $430.00
SMA 50 $409 -0.10%
SMA 200 $398 +2.67%
1 year target $351 -14.20%
Mean Recomm. 2.70
Shares outst. 1.303B
Shares float 1.207M 0.09%
Short % of float 0.54%
Short ratio 1.41
Market cap $673.66B
Enterprise value $786.58B
Revenue $224.912B
EBITDA $26.516B
Income -$50.55
Revenue Q/Q 9.00%
Revenue Y/Y N/A
P/E 37.45
Forward P/E 21.88
EV/Sales 3.50
EV/EBITDA 29.66
EV/EBIT N/A
PEG 9.68
Price/Sales 3.00
P/FCF 32.19
Price/Book 1.65
Book/Share 373,008.18
Cash/Share 108,114.37
FCF yield 3.11%
Employees 360,000
RPE $624.756k
Volume 2.760k / 10.745k
Relative vol. 0.26 ×
EPS 16,408.39
EPS Q/Q 39.00%
Est. EPS Q/Q 6.46%
Profit margin 32.52%
Oper. margin -28.01%
Gross margin 41.60%
EBIT margin -3.72%
EBITDA margin 11.79%
Ret. on assets 1.08%
Ret. on equity 2.69%
ROIC 10.29%
ROCE -1.08%
Volatility 1.41%
Beta 0.90
RSI 49.04
Range $613,205.00 – $622,760.00
52 weeks $504,050.06 – $741,971.00
SMA 50 $618,061 -0.59%
SMA 200 $600,884 +2.20%
1 year target $521,284 -15.16%
Mean Recomm. 2.50
Shares outst. 619.938k
Shares float 1.207M 194.67%
Short % of float 0.20%
Short ratio 0.25
Market cap $542.80B
Enterprise value $1.10T
Revenue $142.711B
EBITDA $65.370B
Income $45.757B
Revenue Q/Q 27.26%
Revenue Y/Y 21.62%
P/E 29.65
Forward P/E 40.80
EV/Sales 7.67
EV/EBITDA 16.75
EV/EBIT 20.17
PEG 1.15
Price/Sales 3.80
P/FCF 10.91
Price/Book 3.54
Book/Share 149.36
Cash/Share 63.78
FCF yield 9.16%
Employees 52,534
RPE $2.717M
Volume 14.821M / N/A
Relative vol. N/A
EPS 17.85
EPS Q/Q -49.07%
Est. EPS Q/Q -36.51%
Profit margin 28.98%
Oper. margin 37.38%
Gross margin 80.76%
EBIT margin 38.05%
EBITDA margin 45.81%
Ret. on assets 20.91%
Ret. on equity 31.58%
ROIC 22.84%
ROCE 27.88%
Volatility 2.41%
Beta 1.81
RSI 63.79
Range $526.65 – $542.79
52 weeks $274.38 – $540.80
SMA 50 $491 +7.28%
SMA 200 $459 +13.20%
1 year target $315 -40.50%
Mean Recomm. 1.31
Shares outst. 2.690B
Shares float 0.000 0.00%
Short % of float 1.14%
Short ratio 0.79
Market cap $503.80B
Enterprise value $517.81B
Revenue $379.487B
EBITDA $36.202B
Income $15.361B
Revenue Q/Q 8.56%
Revenue Y/Y 12.96%
P/E 29.50
Forward P/E 17.06
EV/Sales 1.36
EV/EBITDA 14.30
EV/EBIT 21.28
PEG 1.66
Price/Sales 1.33
P/FCF 47.91
Price/Book 5.68
Book/Share 86.21
Cash/Share 32.42
FCF yield 2.09%
Employees 325,000
RPE $1.168M
Volume 3.405M / 4.807M
Relative vol. 0.71 ×
EPS 16.59
EPS Q/Q 28.10%
Est. EPS Q/Q 15.18%
Ret. on assets 5.49%
Ret. on equity 17.95%
ROIC 12.62%
ROCE 13.53%
Volatility 2.04%
Beta 0.06
RSI 47.36
Range $486.17 – $493.88
52 weeks $436.38 – $554.70
SMA 50 $499 -1.93%
SMA 200 $501 -2.30%
1 year target $370 -24.31%
Mean Recomm. 1.57
Shares outst. 920.385M
Shares float 0.000 0.00%
Short % of float 0.49%
Short ratio 1.24
Market cap $495.14B
Enterprise value $562.15B
Revenue $94.745B
EBITDA $10.554B
Income $13.613B
Revenue Q/Q -8.69%
Revenue Y/Y 10.12%
P/E 58.82
Forward P/E 33.46
EV/Sales 5.93
EV/EBITDA 53.26
EV/EBIT 62.72
PEG 1.28
Price/Sales 5.23
P/FCF 358.27
Price/Book 7.91
Book/Share 32.00
Cash/Share 14.86
FCF yield 0.28%
Employees 48,016
RPE $1.973M
Volume 0.000 / N/A
Relative vol. N/A
EPS 4.30
EPS Q/Q -43.55%
Est. EPS Q/Q 47.06%
Ret. on assets 13.60%
Ret. on equity 23.51%
ROIC 10.87%
ROCE 11.24%
Volatility 3.87%
Beta 1.97
RSI 85.35
Range $244.57 – $259.44
52 weeks $138.82 – $299.29
SMA 50 $183 +27.60%
SMA 200 $190 +24.88%
1 year target $359 +41.90%
Mean Recomm. 2.81
Shares outst. 3.133B
Shares float 0.000 0.00%
Short % of float 3.00%
Short ratio 0.88
Market cap $459.47B
Enterprise value $365.41B
Revenue $81.796B
EBITDA $28.853B
Income $38.476B
Revenue Q/Q -13.59%
Revenue Y/Y -15.03%
P/E 9.53
Forward P/E 13.66
EV/Sales 4.47
EV/EBITDA 12.66
EV/EBIT 8.69
PEG 3.79
Price/Sales 5.62
P/FCF 24.57
Price/Book 6.68
Book/Share 21.78
Cash/Share 7.26
FCF yield 4.07%
Employees 0
RPE N/A
Volume 4.757M / N/A
Relative vol. N/A
EPS 15.26
EPS Q/Q -1.92%
Est. EPS Q/Q 4.69%
Profit margin 41.28%
Oper. margin 25.24%
Gross margin 68.82%
EBIT margin 51.41%
EBITDA margin 35.27%
Ret. on assets 22.07%
Ret. on equity 53.97%
ROIC 21.22%
ROCE 34.12%
Volatility 1.40%
Beta 0.19
RSI 43.02
Range $145.25 – $147.22
52 weeks $143.13 – $175.97
SMA 50 $148 -1.46%
SMA 200 $154 -5.77%
1 year target $167 +14.48%
Mean Recomm. 1.78
Shares outst. 2.407B
Shares float 0.000 0.00%
Short % of float 0.49%
Short ratio 1.94