Total Assets
+107.16%259.47B
+85.31%206.80B
+67.84%161.15B
+65.14%140.74B
+62.52%125.25B
+69.79%111.60B
+77.32%96.01B
+71.98%85.23B
+73.35%77.07B
+59.60%65.73B
+33.74%54.15B
+13.98%49.56B
-1.66%44.46B
-6.80%41.18B
-0.35%40.49B
+12.49%43.48B
+46.81%45.21B
+53.48%44.19B
+51.16%40.63B
+53.49%38.65B
Total Current Assets
+67.89%151.00B
+56.76%125.61B
+72.22%116.49B
+71.41%102.22B
+67.39%89.94B
+80.69%80.13B
+107.12%67.64B
+107.08%59.63B
+115.93%53.73B
+92.19%44.35B
+40.63%32.66B
+5.03%28.80B
-15.86%24.88B
-19.97%23.07B
-10.01%23.22B
+6.25%27.42B
+63.15%29.58B
+79.56%28.83B
+79.30%25.81B
+75.78%25.81B
Cash and Cash Equivalents & Short-Term Investments
+52.91%80.57B
+44.77%62.56B
+57.48%60.61B
+55.15%53.99B
+67.60%52.69B
+66.29%43.21B
+110.53%38.49B
+117.19%34.80B
+105.21%31.44B
+95.43%25.98B
+39.09%18.28B
-5.95%16.02B
-24.67%15.32B
-37.31%13.30B
-31.89%13.14B
-13.32%17.04B
+60.56%20.34B
+83.44%21.21B
+90.33%19.30B
+78.98%19.65B
-Cash and Cash Equivalents
-13.11%13.24B
+23.47%10.61B
+26.12%11.49B
+35.92%11.64B
+100.79%15.23B
+17.98%8.59B
+65.01%9.11B
+48.07%8.56B
+49.38%7.59B
+114.81%7.28B
+97.11%5.52B
+91.93%5.78B
+30.67%5.08B
+70.30%3.39B
+117.39%2.80B
-46.46%3.01B
+297.44%3.89B
+134.95%1.99B
-42.78%1.29B
+71.90%5.63B
-Short Term Investments
+79.77%67.34B
+50.06%51.95B
+67.20%49.12B
+61.42%42.35B
+57.05%37.46B
+85.10%34.62B
+130.21%29.38B
+156.22%26.24B
+132.90%23.85B
+88.80%18.70B
+23.39%12.76B
-26.98%10.24B
-37.75%10.24B
-48.45%9.91B
-42.57%10.34B
-0.02%14.02B
+40.74%16.45B
+79.37%19.22B
+128.32%18.01B
+81.99%14.03B
Receivables
+83.94%40.71B
+66.77%38.47B
+88.72%33.39B
+96.77%27.81B
+78.99%22.13B
+130.67%23.07B
+112.94%17.69B
+100.00%14.13B
+203.06%12.37B
+161.28%10.00B
+69.30%8.31B
+32.89%7.07B
-24.97%4.08B
-17.70%3.83B
+24.13%4.91B
+48.27%5.32B
+79.83%5.44B
+91.44%4.65B
+55.30%3.95B
+72.07%3.59B
-Accounts Receivable
+83.94%40.71B
+66.77%38.47B
+88.72%33.39B
+96.77%27.81B
+78.99%22.13B
+130.67%23.07B
+112.94%17.69B
+100.00%14.13B
+203.06%12.37B
+161.28%10.00B
+69.30%8.31B
+32.89%7.07B
-24.97%4.08B
-17.70%3.83B
+24.13%4.91B
+48.27%5.32B
+79.83%5.44B
+91.44%4.65B
+55.30%3.95B
+72.07%3.59B
Prepaid Assets
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--323.00M
Inventory
+127.63%25.80B
+112.33%21.40B
+158.48%19.78B
+124.15%14.96B
+93.26%11.33B
+90.84%10.08B
+60.16%7.65B
+54.55%6.68B
+27.17%5.86B
+2.38%5.28B
+7.30%4.78B
+11.06%4.32B
+45.78%4.61B
+98.04%5.16B
+99.46%4.45B
+83.96%3.89B
+58.79%3.16B
+42.66%2.61B
+49.36%2.23B
+50.89%2.11B
Restricted Cash
----
----
----
--2.80B
--1.00B
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Other Current Assets
+40.91%3.92B
-15.67%3.18B
-28.82%2.71B
-33.98%2.66B
-31.59%2.78B
+22.44%3.77B
+195.27%3.81B
+189.85%4.03B
+365.83%4.06B
+289.38%3.08B
+79.53%1.29B
+18.11%1.39B
+37.11%872.00M
+116.12%791.00M
+123.68%718.00M
+811.63%1.18B
+381.82%636.00M
+53.14%366.00M
+50.70%321.00M
-40.00%129.00M
Total Non-Current Assets
+207.14%108.48B
+157.98%81.20B
+57.39%44.66B
+50.51%38.52B
+51.30%35.32B
+47.20%31.48B
+32.03%28.37B
+23.30%25.59B
+19.24%23.34B
+18.08%21.38B
+24.47%21.49B
+29.27%20.76B
+25.20%19.58B
+17.91%18.11B
+16.45%17.27B
+25.02%16.06B
+23.43%15.64B
+20.59%15.36B
+18.72%14.83B
+22.34%12.84B
Net PPE
+86.24%16.66B
+64.07%13.25B
+69.92%12.06B
+74.27%11.23B
+61.54%8.95B
+53.54%8.08B
+37.56%7.10B
+27.95%6.44B
+14.56%5.54B
+8.57%5.26B
+9.76%5.16B
+23.23%5.03B
+28.15%4.83B
+34.32%4.85B
+40.79%4.70B
+29.07%4.09B
+25.94%3.77B
+26.30%3.61B
+21.86%3.34B
+18.76%3.17B
-Gross PPE
+86.24%16.66B
+58.99%19.84B
+69.92%12.06B
+74.27%11.23B
+61.54%8.95B
+42.29%12.48B
+37.56%7.10B
+27.95%6.44B
+14.56%5.54B
+16.32%8.77B
+9.76%5.16B
+23.23%5.03B
+28.15%4.83B
+36.82%7.54B
+40.79%4.70B
+29.07%4.09B
+25.94%3.77B
+29.22%5.51B
+21.86%3.34B
+18.76%3.17B
-Accumulated Depreciation
----
-49.67%-6.59B
----
----
----
-25.42%-4.40B
----
----
----
-30.25%-3.51B
----
----
----
-41.57%-2.69B
----
----
----
-35.16%-1.90B
----
----
Investments and Advances
+1238.40%43.36B
+556.95%22.25B
+265.98%8.19B
+108.85%3.80B
+85.14%3.24B
+156.40%3.39B
+90.87%2.24B
+127.38%1.82B
+246.53%1.75B
+341.81%1.32B
+273.25%1.17B
+160.59%800.00M
+77.19%505.00M
+12.41%299.00M
+1.95%314.00M
+108.84%307.00M
+95.21%285.00M
+84.72%266.00M
+190.57%308.00M
--147.00M
-Available for Sale Securities
+1238.40%43.36B
+556.95%22.25B
--8.19B
--3.80B
--3.24B
+156.40%3.39B
----
----
----
--1.32B
----
----
----
----
----
----
----
----
----
----
Non Current Accounts Receivables
----
----
+141.02%1.37B
--1.04B
--895.00M
--750.00M
--568.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
Non-Current Prepaid Assets
----
----
-35.65%1.54B
+5.36%2.10B
-6.83%2.41B
-26.05%2.09B
-28.87%2.39B
-43.82%2.00B
-27.12%2.59B
-16.41%2.82B
+6.07%3.36B
+21.59%3.55B
+12.58%3.55B
-3.79%3.38B
-6.97%3.16B
+57.44%2.92B
+65.46%3.16B
+95.27%3.51B
+88.63%3.40B
--1.86B
Goodwill and Other Intangible Assets
+283.18%24.01B
+302.64%24.14B
+29.40%7.20B
+16.79%6.51B
+15.22%6.27B
+8.17%6.00B
-2.09%5.56B
-4.31%5.57B
-8.91%5.44B
-8.37%5.54B
-8.69%5.68B
-9.10%5.83B
-9.20%5.97B
-9.57%6.05B
-7.90%6.22B
-3.94%6.41B
-3.38%6.58B
-3.49%6.69B
-4.22%6.76B
-5.34%6.67B
-Goodwill
+280.03%20.89B
+301.54%20.83B
+32.54%6.26B
+24.51%5.76B
+23.47%5.50B
+17.11%5.19B
+6.64%4.72B
+4.33%4.62B
+0.52%4.45B
+1.33%4.43B
+1.33%4.43B
+1.33%4.43B
+1.49%4.43B
+0.53%4.37B
+1.63%4.37B
+4.27%4.37B
+4.10%4.37B
+3.72%4.35B
+2.60%4.30B
+0.00%4.19B
-Other Intangible Assets
+305.72%3.12B
+309.67%3.31B
+11.69%936.00M
-20.69%755.00M
-22.01%769.00M
-27.43%807.00M
-33.01%838.00M
-31.76%952.00M
-36.02%986.00M
-33.65%1.11B
-32.38%1.25B
-31.48%1.40B
-30.30%1.54B
-28.35%1.68B
-24.61%1.85B
-17.84%2.04B
-15.38%2.21B
-14.54%2.34B
-14.23%2.45B
-13.17%2.48B
Non-Current Deferred Assets
-12.10%11.71B
+20.76%13.26B
+33.07%13.67B
+41.68%13.57B
+70.79%13.32B
+80.55%10.98B
+71.78%10.28B
+77.44%9.58B
+70.71%7.80B
+79.06%6.08B
+116.58%5.98B
+142.61%5.40B
+156.05%4.57B
+177.91%3.40B
+184.74%2.76B
+132.25%2.23B
+129.31%1.78B
+51.61%1.22B
+45.65%970.00M
+52.06%958.00M
Other Non-Current Assets
+5205.42%12.73B
+173.24%8.30B
+157.96%632.00M
+46.24%272.00M
+5.26%240.00M
+750.98%3.04B
+76.26%245.00M
+25.68%186.00M
+57.24%228.00M
+146.21%357.00M
+36.27%139.00M
+33.33%148.00M
+130.16%145.00M
+119.70%145.00M
+96.15%102.00M
+136.17%111.00M
+75.00%63.00M
-67.49%66.00M
-56.30%52.00M
-70.06%47.00M
Total Liabilities
+54.55%64.00B
+53.41%49.51B
+40.30%42.25B
+50.01%40.61B
+48.27%41.41B
+41.86%32.27B
+44.20%30.11B
+22.74%27.07B
+40.07%27.93B
+19.23%22.75B
+9.11%20.88B
+12.38%22.05B
+5.55%19.94B
+8.57%19.08B
+13.69%19.14B
+12.12%19.63B
+57.15%18.89B
+47.71%17.58B
+45.79%16.83B
+55.36%17.50B
Total Current Liabilities
+65.34%43.88B
+78.22%32.16B
+58.23%26.08B
+73.65%24.26B
+74.35%26.54B
+69.76%18.05B
+81.07%16.48B
+35.18%13.97B
+109.68%15.22B
+61.98%10.63B
+32.76%9.10B
+36.46%10.33B
+30.53%7.26B
+51.40%6.56B
+89.78%6.86B
+70.26%7.57B
+38.91%5.56B
+10.45%4.34B
-1.55%3.61B
+84.56%4.45B
Payables
+82.53%23.74B
+73.56%12.48B
+71.99%11.54B
+126.13%10.97B
+97.13%13.00B
+140.10%7.19B
+139.61%6.71B
+2.56%4.85B
+145.66%6.60B
+80.42%3.00B
+75.11%2.80B
+83.48%4.73B
-12.25%2.69B
-13.32%1.66B
-5.94%1.60B
+67.69%2.58B
+132.88%3.06B
+66.67%1.92B
+45.67%1.70B
+47.04%1.54B
-Accounts Payable
+78.65%13.10B
+55.50%9.81B
+61.11%8.62B
+146.30%9.06B
+170.02%7.33B
+133.79%6.31B
+124.92%5.35B
+90.77%3.68B
+137.95%2.72B
+126.24%2.70B
+59.62%2.38B
-20.32%1.93B
-42.92%1.14B
-33.09%1.19B
-10.40%1.49B
+64.25%2.42B
+64.12%2.00B
+55.18%1.78B
+51.69%1.66B
+65.06%1.47B
-Total Tax Payable
+87.55%10.64B
+202.95%2.67B
+114.97%2.92B
+62.83%1.91B
+46.15%5.67B
+197.64%881.00M
+222.86%1.36B
-58.15%1.17B
+151.36%3.88B
-36.62%296.00M
+288.89%420.00M
+1674.05%2.80B
+109.78%1.54B
+253.79%467.00M
+200.00%108.00M
+146.88%158.00M
+666.67%736.00M
--132.00M
-48.57%36.00M
+23.08%64.00M
-Other Payable
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--325.00M
----
----
----
Current Accrued Expenses
+25.84%12.29B
+67.57%13.12B
+12.22%8.39B
+39.29%9.56B
+77.84%9.77B
+63.85%7.83B
+94.91%7.47B
+104.47%6.86B
+120.25%5.49B
+62.25%4.78B
+25.95%3.83B
+22.00%3.36B
+49.07%2.49B
+83.55%2.95B
+121.87%3.04B
+97.56%2.75B
+44.47%1.67B
+63.94%1.61B
+25.87%1.37B
+46.07%1.39B
Short-Term Debt and Capital Lease Obligation
+233.33%1.00B
+246.88%999.00M
+265.93%999.00M
+20.40%301.00M
-79.95%300.00M
-80.51%288.00M
-81.54%273.00M
-82.84%250.00M
+4.11%1.50B
+3.65%1.48B
+18.41%1.48B
+16.65%1.46B
--1.44B
+890.28%1.43B
+792.14%1.25B
+10.34%1.25B
----
-85.59%144.00M
-87.43%140.00M
+812.90%1.13B
-Current Debt
--1.00B
--999.00M
--999.00M
----
----
----
----
----
+0.00%1.25B
+0.00%1.25B
+0.00%1.25B
+0.00%1.25B
--1.25B
--1.25B
--1.25B
+24.90%1.25B
----
----
----
--1.00B
-Current Capital Lease Obligation
----
----
----
+20.40%301.00M
+21.95%300.00M
+26.32%288.00M
+18.70%273.00M
+20.19%250.00M
+31.55%246.00M
+29.55%228.00M
--230.00M
--208.00M
--187.00M
+22.22%176.00M
----
----
----
--144.00M
+20.69%140.00M
+6.45%132.00M
Current Provisions
+35.98%2.95B
+117.60%2.81B
+144.53%2.71B
+158.64%2.25B
+237.17%2.17B
+210.84%1.29B
+270.23%1.11B
+416.67%868.00M
+474.11%643.00M
+284.26%415.00M
+187.50%299.00M
+0.00%168.00M
--112.00M
--108.00M
--104.00M
--168.00M
----
----
----
----
Current Deferred Liabilities
+59.59%1.71B
+64.76%1.38B
+65.96%1.25B
+3.38%980.00M
+27.10%1.07B
+9.55%837.00M
+46.59%752.00M
+125.18%948.00M
+130.25%845.00M
+115.82%764.00M
+51.78%513.00M
+17.27%421.00M
+9.88%367.00M
+18.00%354.00M
+13.42%338.00M
+19.27%359.00M
+0.30%334.00M
+4.17%300.00M
+26.81%298.00M
+35.59%301.00M
Other Current Liabilities
+862.28%2.19B
+53.07%1.37B
+624.85%1.20B
+6.32%202.00M
+52.00%228.00M
+350.75%897.00M
-6.25%165.00M
-5.47%190.00M
-9.09%150.00M
+188.41%199.00M
-66.22%176.00M
-57.05%201.00M
-66.67%165.00M
-81.40%69.00M
+410.78%521.00M
+450.59%468.00M
+661.54%495.00M
-27.25%371.00M
+61.90%102.00M
+30.77%85.00M
Total Non-Current Liabilities
+35.29%20.12B
+21.93%17.35B
+18.64%16.18B
+24.81%16.35B
+17.01%14.87B
+17.39%14.23B
+15.73%13.64B
+11.78%13.10B
+0.21%12.71B
-3.19%12.12B
-4.09%11.78B
-2.75%11.72B
-4.88%12.68B
-5.45%12.52B
-7.09%12.28B
-7.68%12.05B
+66.25%13.33B
+66.06%13.24B
+67.83%13.22B
+47.41%13.06B
Long Term Accounts Payable and Other Payables
+84.28%4.83B
+80.90%3.96B
+81.59%3.53B
+103.95%3.41B
+62.49%2.62B
+51.84%2.19B
+47.46%1.95B
+13.07%1.67B
+10.86%1.61B
+4.04%1.44B
+24.79%1.32B
+44.52%1.48B
+38.44%1.46B
+31.03%1.39B
-1.40%1.06B
+9.89%1.02B
+13.87%1.05B
+26.44%1.06B
+31.05%1.07B
+14.81%930.00M
Long Term Debt and Capital Lease Obligation
+13.65%11.35B
+0.59%10.04B
-4.72%9.48B
+5.45%10.30B
+2.50%9.99B
+4.22%9.98B
+4.23%9.95B
+2.82%9.77B
-8.48%9.74B
-9.68%9.58B
-9.06%9.55B
-9.06%9.50B
-9.03%10.64B
-9.26%10.61B
-10.17%10.50B
-10.43%10.44B
+77.15%11.70B
+77.13%11.69B
+77.97%11.69B
+54.00%11.66B
-Long Term Debt
-11.74%7.47B
-11.75%7.47B
-11.75%7.47B
+0.06%8.47B
+0.05%8.46B
+0.05%8.46B
+0.06%8.46B
+0.06%8.46B
-12.82%8.46B
-12.82%8.46B
-12.82%8.46B
-12.82%8.46B
-11.35%9.70B
-11.36%9.70B
-11.36%9.70B
-11.36%9.70B
+83.55%10.95B
+83.53%10.95B
+83.53%10.94B
+57.23%10.94B
-Long Term Capital Lease Obligation
+154.96%3.88B
+69.32%2.57B
+35.17%2.01B
+40.41%1.83B
+18.74%1.52B
+35.75%1.52B
+36.57%1.49B
+25.26%1.30B
+36.42%1.28B
+24.06%1.12B
+36.72%1.09B
+40.11%1.04B
+24.87%939.00M
+21.73%902.00M
+7.40%798.00M
+3.77%743.00M
+17.50%752.00M
+16.88%741.00M
+23.01%743.00M
+17.18%716.00M
Non-Current Deferred Liabilities
+53.45%3.20B
+59.34%2.97B
+71.66%2.79B
+63.67%2.41B
+62.08%2.09B
+79.90%1.86B
+91.17%1.62B
+115.86%1.47B
+147.50%1.29B
+122.58%1.04B
+84.97%849.00M
+50.33%681.00M
+13.04%520.00M
+4.03%465.00M
+10.34%459.00M
+8.37%453.00M
+13.02%460.00M
+10.64%447.00M
+2.72%416.00M
+6.09%418.00M
Employee Benefits
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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-5.00%38.00M
-2.63%37.00M
Other Non-Current Liabilities
+316.38%737.00M
+95.38%381.00M
+226.96%376.00M
+23.98%243.00M
+168.18%177.00M
+200.00%195.00M
+74.24%115.00M
+201.54%196.00M
+6.45%66.00M
+3.17%65.00M
-75.46%66.00M
-51.49%65.00M
-48.33%62.00M
+28.57%63.00M
+2888.89%269.00M
+1118.18%134.00M
+140.00%120.00M
-63.70%49.00M
-81.25%9.00M
-74.42%11.00M
Total Equity
+133.14%195.47B
+98.28%157.29B
+80.42%118.90B
+72.17%100.13B
+70.61%83.84B
+84.58%79.33B
+98.10%65.90B
+111.47%58.16B
+100.42%49.14B
+94.46%42.98B
+55.82%33.27B
+15.30%27.50B
-6.84%24.52B
-16.95%22.10B
-10.29%21.35B
+12.79%23.85B
+40.19%26.32B
+57.53%26.61B
+55.20%23.80B
+51.98%21.15B
Stockholders' Equity
+133.14%195.47B
+98.28%157.29B
+80.42%118.90B
+72.17%100.13B
+70.61%83.84B
+84.58%79.33B
+98.10%65.90B
+111.47%58.16B
+100.42%49.14B
+94.46%42.98B
+55.82%33.27B
+15.30%27.50B
-6.84%24.52B
-16.95%22.10B
-10.29%21.35B
+12.79%23.85B
+40.19%26.32B
+57.53%26.61B
+55.20%23.80B
+51.98%21.15B
Capital Stock
+0.00%24.00M
+0.00%24.00M
-4.00%24.00M
-4.00%24.00M
+1100.00%24.00M
-4.00%24.00M
+1150.00%25.00M
+1150.00%25.00M
+0.00%2.00M
+1150.00%25.00M
+0.00%2.00M
+0.00%2.00M
-33.33%2.00M
-33.33%2.00M
-33.33%2.00M
-33.33%2.00M
+200.00%3.00M
+0.00%3.00M
+200.00%3.00M
+200.00%3.00M
-Common Stock
+0.00%24.00M
+0.00%24.00M
-4.00%24.00M
-4.00%24.00M
+1100.00%24.00M
-4.00%24.00M
+1150.00%25.00M
+1150.00%25.00M
+0.00%2.00M
+1150.00%25.00M
+0.00%2.00M
+0.00%2.00M
-33.33%2.00M
-33.33%2.00M
-33.33%2.00M
-33.33%2.00M
+200.00%3.00M
+0.00%3.00M
+200.00%3.00M
+200.00%3.00M
-Preferred Stock
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
Additional Paid-In Capital
-10.46%10.28B
-9.96%10.12B
-10.11%10.63B
-7.55%11.20B
-9.30%11.48B
-14.28%11.24B
-9.01%11.82B
-4.07%12.12B
+1.59%12.65B
+9.51%13.11B
+12.33%12.99B
+15.14%12.63B
+17.23%12.45B
+15.27%11.97B
+10.51%11.57B
+12.55%10.97B
+14.47%10.62B
+19.11%10.39B
+26.07%10.47B
+24.49%9.75B
Retained Earnings
+156.43%185.04B
+116.02%146.97B
+100.01%107.91B
+93.07%88.74B
+97.16%72.16B
+128.19%68.04B
+164.98%53.95B
+208.03%45.96B
+202.09%36.60B
+193.16%29.82B
+105.55%20.36B
+15.03%14.92B
-23.12%12.12B
-37.35%10.17B
-60.94%9.91B
-43.59%12.97B
-23.95%15.76B
-14.14%16.24B
+44.50%25.36B
+40.96%23.00B
Less: Treasury Stock
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----
----
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----
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----
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----
----
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+14.32%12.04B
+13.41%11.60B
Gains/Losses Not Affecting Retained Earnings
-26.34%137.00M
+535.71%178.00M
+229.13%339.00M
+203.57%170.00M
+270.64%186.00M
+3.70%28.00M
+217.05%103.00M
+209.80%56.00M
-118.00%-109.00M
+162.79%27.00M
+28.46%-88.00M
+43.33%-51.00M
+21.88%-50.00M
-290.91%-43.00M
-1466.67%-123.00M
-1225.00%-90.00M
-557.14%-64.00M
-157.89%-11.00M
-25.00%9.00M
+100.00%8.00M
Deadline
Apr 26, 2026
Jan 25, 2026
Oct 26, 2025
Jul 27, 2025
Apr 27, 2025
Jan 26, 2025
Oct 27, 2024
Jul 28, 2024
Apr 27, 2024
Jan 28, 2024
Oct 29, 2023
Jul 30, 2023
Apr 30, 2023
Jan 29, 2023
Oct 30, 2022
Jul 31, 2022
May 1, 2022
Jan 30, 2022
Oct 31, 2021
Aug 1, 2021
Accounting Standard
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP