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Market cap $459.47B
Enterprise value $466.98B
Revenue $78.713B
EBITDA $32.631B
Income $38.018B
Revenue Q/Q -12.08%
Revenue Y/Y -19.49%
P/E 10.82
Forward P/E 16.46
EV/Sales 5.93
EV/EBITDA 14.31
EV/EBIT 11.40
PEG 3.79
Price/Sales 5.84
P/FCF 22.63
Price/Book 6.68
Book/Share 24.67
Cash/Share 8.22
FCF yield 4.42%
Employees 152,700
RPE $515.475k
Volume 0.000 / 9.493M
Relative vol. 0.00 ×
EPS 15.23
EPS Q/Q -1.92%
Est. EPS Q/Q 4.69%
Profit margin 41.28%
Oper. margin 25.72%
Gross margin 68.82%
EBIT margin 52.04%
EBITDA margin 41.46%
Ret. on assets 22.15%
Ret. on equity 54.01%
ROIC 21.22%
ROCE 32.21%
Volatility 1.45%
Beta 0.10
RSI 60.18
Range $164.09 – $166.79
52 weeks $143.13 – $168.85
SMA 50 $160 +2.79%
SMA 200 $154 +6.79%
1 year target $167 +1.05%
Mean Recomm. 1.78
Shares outst. 2.407B
Shares float 0.000 0.00%
Short % of float 0.49%
Short ratio 1.94
Market cap $75.82B
Enterprise value $158.62B
Revenue $26.134B
EBITDA $11.685B
Income $4.609B
Revenue Q/Q 12.44%
Revenue Y/Y -5.49%
P/E 21.09
Forward P/E 21.77
EV/Sales 6.07
EV/EBITDA 13.57
EV/EBIT 19.74
PEG 2.79
Price/Sales 2.90
P/FCF N/A
Price/Book 2.41
Book/Share 36.81
Cash/Share 0.88
FCF yield -0.66%
Employees 27,423
RPE $952.996k
Volume 2.554M / 3.641M
Relative vol. 0.70 ×
EPS 4.21
EPS Q/Q 6.50%
Est. EPS Q/Q -30.56%
Profit margin 15.74%
Oper. margin 26.63%
Gross margin 40.72%
EBIT margin 30.75%
EBITDA margin 44.71%
Ret. on assets 3.29%
Ret. on equity 13.31%
ROIC 5.20%
ROCE 6.19%
Volatility 1.46%
Beta 0.23
RSI 68.14
Range $88.15 – $89.36
52 weeks $61.56 – $89.68
SMA 50 $85 +3.82%
SMA 200 $77 +13.39%
1 year target $63 -29.46%
Mean Recomm. 2.71
Shares outst. 1.093B
Shares float 0.000 0.00%
Short % of float 1.01%
Short ratio 2.52
Market cap $395.54B
Enterprise value $645.93B
Revenue $665.035B
EBITDA $39.749B
Income $15.552B
Revenue Q/Q 4.77%
Revenue Y/Y 5.43%
P/E 40.91
Forward P/E 10.79
EV/Sales 0.97
EV/EBITDA 16.25
EV/EBIT 27.30
PEG 3.83
Price/Sales 0.59
P/FCF 31.91
Price/Book 4.72
Book/Share 16.72
Cash/Share 1.97
FCF yield 3.13%
Employees 2,100,000
RPE $316.683k
Volume 18.825M / 20.737M
Relative vol. 0.91 ×
EPS 1.93
EPS Q/Q -0.56%
Est. EPS Q/Q -9.66%
Ret. on assets 6.10%
Ret. on equity 18.91%
ROIC 9.86%
ROCE 14.87%
Volatility 1.48%
Beta 0.31
RSI 83.11
Range $77.57 – $78.92
52 weeks $49.85 – $78.84
SMA 50 $72 +9.19%
SMA 200 $65 +17.50%
1 year target $150 +90.46%
Mean Recomm. 1.76
Shares outst. 8.050B
Shares float 0.000 0.00%
Short % of float 0.93%
Short ratio 1.77
1 year target $150 +90.46%
Mean Recomm. 1.76
Dividend $1.40
Dividend yield 1.81%
Payout ratio 72.68%
Payment date 6 Jan 2025
Ex-dividend date 13 Dec 2024
Earnings date 19 Nov 2024
IPO year 1978
Country United States
Market cap $71.41B
Enterprise value $81.89B
Revenue $19.828B
EBITDA $4.609B
Income $1.413B
Revenue Q/Q 2.30%
Revenue Y/Y 4.11%
P/E 48.18
Forward P/E 17.24
EV/Sales 4.13
EV/EBITDA 17.77
EV/EBIT 38.76
PEG 2.20
Price/Sales 3.60
P/FCF 22.17
Price/Book 2.77
Book/Share 84.42
Cash/Share 4.87
FCF yield 4.51%
Employees 77,000
RPE $257.506k
Volume 1.230M / 1.472M
Relative vol. 0.84 ×
EPS 4.85
EPS Q/Q 16.67%
Est. EPS Q/Q 27.44%
Ret. on assets 2.63%
Ret. on equity 5.51%
ROIC 3.91%
ROCE 4.31%
Volatility 1.81%
Beta 0.42
RSI 45.68
Range $229.31 – $234.97
52 weeks $218.75 – $269.52
SMA 50 $236 -1.05%
SMA 200 $236 -0.96%
1 year target $274 +17.22%
Mean Recomm. 1.88
Shares outst. 289.042M
Shares float 0.000 0.00%
Short % of float 1.04%
Short ratio 2.60
1 year target $274 +17.22%
Mean Recomm. 1.88
Dividend $2.85
Dividend yield 1.18%
Payout ratio 58.76%
Payment date 30 Sep 2024
Ex-dividend date 9 Sep 2024
Earnings date 7 Nov 2024
IPO year 1978
Country United States
Market cap $19.39B
Enterprise value $23.19B
Revenue $8.531B
EBITDA $1.672B
Income $1.500B
Revenue Q/Q 3.72%
Revenue Y/Y 0.64%
P/E 16.97
Forward P/E 16.04
EV/Sales 2.72
EV/EBITDA 13.87
EV/EBIT 11.79
PEG 1.18
Price/Sales 2.27
P/FCF 17.93
Price/Book 3.80
Book/Share 48.23
Cash/Share 3.76
FCF yield 5.58%
Employees 2,473
RPE $3.450M
Volume 1.034M / N/A
Relative vol. N/A
EPS 10.79
EPS Q/Q 14.14%
Est. EPS Q/Q 20.79%
Profit margin 12.52%
Oper. margin 16.30%
Gross margin 36.56%
EBIT margin 23.07%
EBITDA margin 19.60%
Ret. on assets 13.22%
Ret. on equity 29.33%
ROIC 12.60%
ROCE 21.49%
Volatility 2.00%
Beta 0.87
RSI 53.87
Range $176.68 – $183.44
52 weeks $127.25 – $192.31
SMA 50 $180 +1.46%
SMA 200 $178 +2.91%
1 year target $133 -27.39%
Mean Recomm. 1.94
Shares outst. 137.458M
Shares float 0.000 0.00%
Short % of float 1.25%
Short ratio 1.49
Market cap $4.61B
Enterprise value $10.14B
Revenue $6.731B
EBITDA $1.053B
Income $506.482M
Revenue Q/Q 3.28%
Revenue Y/Y 3.36%
P/E 23.59
Forward P/E 33.93
EV/Sales 1.51
EV/EBITDA 9.63
EV/EBIT 14.93
PEG N/A
Price/Sales 0.69
P/FCF 8.94
Price/Book 3.21
Book/Share 397.56
Cash/Share 175.93
FCF yield 11.19%
Employees 12,195
RPE $551.944k
Volume 65.884k / 67.700k
Relative vol. 0.97 ×
EPS 54.16
EPS Q/Q 28.75%
Est. EPS Q/Q 11.70%
Ret. on assets 11.02%
Ret. on equity 35.19%
ROIC 13.92%
ROCE 16.50%
Volatility 2.28%
Beta 0.52
RSI 53.44
Range $1,264.65 – $1,290.77
52 weeks $614.22 – $1,370.00
SMA 50 $1,232 +3.60%
SMA 200 $994 +22.21%
1 year target $144 -88.73%
Mean Recomm. N/A
Shares outst. 7.756M
Shares float 0.000 0.00%
Short % of float 3.10%
Short ratio 2.98
1 year target $144 -88.73%
Mean Recomm. N/A
Dividend $1.50
Dividend yield 0.11%
Payout ratio 2.77%
Payment date 8 Nov 2024
Ex-dividend date 25 Oct 2024
Earnings date 30 Oct 2024
IPO year 1972
Country United States
Market cap $329.71B
Enterprise value $284.95B
Revenue $201.157B
EBITDA $47.058B
Income $18.720B
Revenue Q/Q 4.67%
Revenue Y/Y -9.72%
P/E 13.61
Forward P/E 9.75
EV/Sales 1.42
EV/EBITDA 6.06
EV/EBIT 10.33
PEG 2.78
Price/Sales 1.64
P/FCF 17.63
Price/Book 2.05
Book/Share 67.31
Cash/Share 3.44
FCF yield 5.67%
Employees 44,679
RPE $4.502M
Volume 7.846M / 6.003M
Relative vol. 1.31 ×
EPS 10.13
EPS Q/Q 240.35%
Est. EPS Q/Q 62.50%
Profit margin 10.63%
Oper. margin 13.75%
Gross margin 26.20%
EBIT margin 13.71%
EBITDA margin 23.39%
Ret. on assets 7.15%
Ret. on equity 11.59%
ROIC 11.60%
ROCE 12.17%
Volatility 2.47%
Beta 0.39
RSI 30.56
Range $135.37 – $138.48
52 weeks $137.88 – $171.70
SMA 50 $150 -8.68%
SMA 200 $156 -12.91%
1 year target $97 -29.55%
Mean Recomm. 1.69
Shares outst. 1.829B
Shares float 0.000 0.00%
Short % of float 0.90%
Short ratio 1.70
Market cap $25.36B
Enterprise value $23.34B
Revenue $23.157B
EBITDA $2.077B
Income $1.213B
Revenue Q/Q 0.80%
Revenue Y/Y 1.21%
P/E 15.56
Forward P/E 16.69
EV/Sales 1.01
EV/EBITDA 11.24
EV/EBIT 14.01
PEG 1.91
Price/Sales 1.10
P/FCF 22.68
Price/Book 5.76
Book/Share 23.44
Cash/Share 5.87
FCF yield 4.41%
Employees 4,564
RPE $5.074M
Volume 521.950k / N/A
Relative vol. N/A
EPS 8.68
EPS Q/Q 18.62%
Est. EPS Q/Q 3.35%
Ret. on assets 6.72%
Ret. on equity 27.67%
ROIC 10.49%
ROCE 16.49%
Volatility 2.31%
Beta 0.75
RSI 38.78
Range $132.31 – $135.29
52 weeks $126.35 – $164.45
SMA 50 $140 -3.90%
SMA 200 $146 -8.42%
1 year target $102 -24.47%
Mean Recomm. 2.71
Shares outst. 139.318M
Shares float 0.000 0.00%
Short % of float 2.34%
Short ratio 3.25
1 year target $102 -24.47%
Mean Recomm. 2.71
Dividend $2.95
Dividend yield 2.06%
Payout ratio 33.99%
Payment date 1 Oct 2024
Ex-dividend date 6 Sep 2024
Earnings date 17 Oct 2024
IPO year 1978
Country United States
Revenue $4.516B
EBITDA $299.400M
Income -$815.10
Revenue Q/Q -7.58%
Revenue Y/Y -8.30%
P/E N/A
Forward P/E 6.05
EV/Sales 0.75
EV/EBITDA 11.25
EV/EBIT N/A
PEG 2.33
Price/Sales 0.95
P/FCF 14.76
Price/Book 3.22
Book/Share 3.60
Cash/Share 0.99
FCF yield 6.78%
Employees 20,400
RPE $221.373k
Volume 1.913M / 3.849M
Relative vol. 0.50 ×
EPS N/A
EPS Q/Q 6.06%
Est. EPS Q/Q -30.99%
Profit margin -2.90%
Oper. margin -19.06%
Gross margin 18.07%
EBIT margin -18.16%
EBITDA margin 6.63%
Ret. on assets -17.95%
Ret. on equity -66.20%
ROIC -1.73%
ROCE -30.71%
Volatility 4.25%
Beta 0.66
RSI 38.00
Range $11.06 – $11.59
52 weeks $10.11 – $27.58
SMA 50 $13 -9.24%
SMA 200 $15 -27.01%
1 year target $47 +307.68%
Mean Recomm. 2.00
Shares outst. 134.166M
Shares float 0.000 0.00%
Short % of float 6.47%
Short ratio 10.01
1 year target $47 +307.68%
Mean Recomm. 2.00
Dividend $1.43
Dividend yield 11.31%
Payout ratio 115.92%
Payment date 15 Oct 2024
Ex-dividend date 13 Sep 2024
Earnings date 28 Oct 2024
IPO year 1978
Country United States
Market cap $16.66B
Enterprise value $18.93B
Revenue $15.123B
EBITDA $2.226B
Income $1.444B
Revenue Q/Q 6.76%
Revenue Y/Y 5.28%
P/E 13.46
Forward P/E 11.09
EV/Sales 1.25
EV/EBITDA 8.51
EV/EBIT 8.58
PEG 5.64
Price/Sales 1.10
P/FCF 12.38
Price/Book 4.61
Book/Share 21.33
Cash/Share 26.14
FCF yield 8.07%
Employees 1,539
RPE $9.827M
Volume 1.039M / N/A
Relative vol. N/A
EPS 7.30
EPS Q/Q 7.27%
Est. EPS Q/Q 1.03%
Ret. on assets 5.37%
Ret. on equity 41.12%
ROIC 7.92%
ROCE 17.84%
Volatility 1.91%
Beta 0.80
RSI 58.12
Range $97.17 – $99.08
52 weeks $72.20 – $100.61
SMA 50 $95 +3.30%
SMA 200 $93 +5.42%
1 year target $57 -41.64%
Mean Recomm. 2.86
Shares outst. 195.649M
Shares float 0.000 0.00%
Short % of float 5.75%
Short ratio 6.38
1 year target $57 -41.64%
Mean Recomm. 2.86
Dividend $2.80
Dividend yield 2.79%
Payout ratio 38.36%
Payment date 11 Oct 2024
Ex-dividend date 20 Sep 2024
Earnings date 15 Oct 2024
IPO year 1978
Country United States