CMXHFCMXHFOTC
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Revenue (LTM)
$15.4B
+4.3% YoY
Net Income (LTM)
$3.0B
+13.6% YoY
Free Cash Flow
$2.5B
Revenue CAGR (5Y)
+11.1%
Marginsdeclining
|
FCF$2.5B
|
Profitable

Income Statement

MetricJun 21Jun 22Jun 23
Revenue
10,265
10,493
13,174
Gross Profit
5,739
5,664
6,708
Operating Income
2,590
2,922
2,904
Net Income
1,783
2,255
2,194
EBITDA
3,629
3,465
3,902
EPS Diluted
3.93
4.80
4.53

Balance Sheet

MetricJun 21Jun 22Jun 23
Cash & Equivalents
1,358
10,436
1,548
Total Current Assets
5,548
16,461
9,259
Total Assets
13,632
28,346
36,234
Total Current Liabilities
2,330
7,108
4,608
Total Liabilities
7,339
13,769
18,408
Total Equity
6,293
14,578
15,786
Total Debt
4,360
9,658
12,227
Net Debt
3,002
-779
10,679

Cash Flow Statement

MetricJun 21Jun 22Jun 23
Operating Cash Flow
3,622
2,629
2,601
Capital Expenditure
-1,196
-1,248
-1,692
Free Cash Flow
2,426
1,381
909
Stock-Based Comp
92
117
139
Net Change in Cash
579
8,604
-8,825
Values in millions except EPS · Ratios shown as percentages · Click any metric to drill down