Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.
Financials
| Year | Year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| EPS | Earnings Per Share | $2,19 | $3,66 | $2,56 | $3,28 | $-5,24 | $-5,40 | $2,05 | $1,98 | $1,78 | $1,65 | $0,90 | $1,09 | $1,07 | $0,65 | $0,80 | $0,32 | $-0,30 |
| Earnings | Earnings | $206,89M | $351,95M | $263,42M | $348,50M | $-576,35M | $-547,02M | $207,67M | $209,86M | $211,32M | $215,44M | $122,09M | $161,64M | $166,83M | $105,35M | $132,14M | $55,67M | $-52,16M |
| RPS | Revenue Per Share | $75,17 | $69,13 | $64,79 | $55,44 | $27,53 | $20,39 | $49,56 | $42,02 | $39,46 | $33,92 | $31,91 | $29,77 | $26,83 | $24,37 | $22,39 | $20,27 | $19,16 |
| Revenue | Revenue | $7,10B | $6,65B | $6,67B | $5,89B | $3,03B | $2,07B | $5,02B | $4,45B | $4,69B | $4,43B | $4,33B | $4,42B | $4,18B | $3,95B | $3,70B | $3,53B | $3,33B |
| OCF | Operating Cash Flow | $269,00M | $633,00M | $800,00M | $674,00M | $315,00M | $-611,00M | $396,00M | $341,00M | $620,00M | $489,00M | $538,00M | $473,00M | $456,00M | $499,00M | $393,00M | $450,00M | $276,00M |
| FCF | Free Cash Flow | $79,33M | $463,00M | $531,81M | $473,00M | $204,00M | $-733,00M | $726,00M | $799,00M | $322,00M | $278,00M | $269,00M | $220,00M | $224,00M | $198,00M | $62,00M | $140,00M | $0,00M |
| OM | Operating Margin | 40,78% | 12,62% | 4,57% | 12,75% | -17,37% | -81,03% | 8,56% | 13,29% | 9,63% | 10,58% | 12,71% | 11,12% | 9,09% | 6,90% | 6,85% | 2,96% | 1,80% |
| GM % | Gross Margin % | 41,88% | 42,54% | 66,91% | 39,74% | 33,29% | 11,28% | 39,16% | 40,19% | 37,22% | 36,31% | 37,41% | 36,26% | 35,17% | 34,41% | 33,18% | 28,67% | 27,63% |
| FCFS | Free Cash Flow Per Share | $0,00 | $4,64 | $5,74 | $4,34 | $1,96 | $-7,23 | $0,46 | $0,39 | $2,32 | $1,89 | $1,88 | $1,44 | $1,41 | $1,20 | $0,37 | $0,80 | $0,40 |
| LT Debt | Long-Term Debt | N/A | $3,32B | $2,30B | $2,45B | $3,96B | $2,98B | $1,60B | $1,61B | $1,43B | $1,45B | $1,04B | $1,38B | $1,29B | $1,23B | $1,22B | $714,00M | $841,00M |
| Sha. | Stocks | 94,47M | 96,16M | 102,9M | 106,25M | 109,99M | 101,3M | 101,3M | 105,99M | 118,72M | 130,57M | 135,65M | 148,29M | 155,92M | 162,07M | 165,18M | 173,97M | 173,88M |



































