CAMRFCAMRFOTC
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Revenue (LTM)
$2.3B
+21.3% YoY
Net Income (LTM)
$736M
+71.7% YoY
Free Cash Flow
$731M
Revenue CAGR (5Y)
+46.5%
Marginsimproving
|
FCF$0.7B
|
Profitable

Income Statement

MetricDec 21Dec 22Dec 23
Revenue
601
956
1,717
Gross Profit
515
853
1,595
Operating Income
-111
72
526
Net Income
-90
56
431
EBITDA
-98
87
565
EPS Diluted
-1.66
1.01
7.50

Balance Sheet

MetricDec 21Dec 22Dec 23
Cash & Equivalents
412
566
1,190
Total Current Assets
679
915
1,624
Total Assets
1,082
1,305
1,908
Total Current Liabilities
213
282
369
Total Liabilities
233
311
415
Total Equity
849
995
1,493
Total Debt
26
26
25
Net Debt
-386
-539
-1,165

Cash Flow Statement

MetricDec 21Dec 22Dec 23
Operating Cash Flow
-143
101
607
Capital Expenditure
-5
-2
-10
Free Cash Flow
-148
99
597
Stock-Based Comp
13
39
103
Net Change in Cash
-50
154
624
Values in millions except EPS · Ratios shown as percentages · Click any metric to drill down