Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
NVIDIA
NVDA
5
Broadcom
AVGO
| (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 5.67%1.22T | 25.20%1.04T | 64.49%1.19T | 155.61%1.72T | 155.61%1.72T | 241.15%1.15T | 277.66%833.56B | 350.10%722.7B | 451.20%672.76B | 451.20%672.76B |
| -Cash and cash equivalents | 76.31%567.73B | 38.01%191.16B | 124.33%384.89B | 449.61%760.87B | 449.61%760.87B | 402.22%322.01B | 172.94%138.51B | 552.43%171.58B | 640.47%138.44B | 640.47%138.44B |
| -Short-term investments | -21.77%648.35B | 22.65%852.49B | 45.87%803.9B | 79.44%958.82B | 79.44%958.82B | 203.34%828.78B | 308.93%695.05B | 310.47%551.12B | 416.97%534.32B | 416.97%534.32B |
| Receivables | 41.94%710.58B | 32.55%581.78B | 29.20%482.98B | 69.48%364.97B | 69.48%364.97B | 229.40%500.62B | 307.37%438.92B | 271.28%373.81B | 179.39%215.35B | 179.39%215.35B |
| -Accounts receivable | 37.43%572.05B | 20.02%453.55B | 2.87%329.45B | 75.48%296.92B | 75.48%296.92B | 226.13%416.25B | 340.37%377.91B | 218.09%320.26B | 214.53%169.2B | 214.53%169.2B |
| -Notes receivable | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --2.57B | 129.50%3.24B | 129.50%3.24B |
| -Taxes receivable | 395.24%57.56B | 931.56%60.55B | 118.27%13.86B | 1.88%8.25B | 1.88%8.25B | 371.67%11.62B | 119.19%5.87B | --6.35B | 227.86%8.1B | 227.86%8.1B |
| -Related party accounts receivable | 18.11%8.78B | 23.16%8.31B | 19.91%7.46B | 100.12%11.34B | 100.12%11.34B | 104.77%7.43B | 281.03%6.75B | --6.22B | 359.00%5.67B | 359.00%5.67B |
| -Other receivables | 10.55%72.21B | 22.64%59.37B | 244.15%132.21B | 66.26%48.46B | 66.26%48.46B | 257.72%65.32B | 233.82%48.41B | --38.42B | 60.43%29.14B | 60.43%29.14B |
| -Recievables adjustments allowances | -61.54%-21M | ---- | ---- | ---- | ---- | -8.33%-13M | 51.85%-13M | ---11M | ---- | ---- |
| Inventory | 43.12%320.13B | 30.62%269.52B | 40.54%255.88B | 37.48%223.72B | 37.48%223.72B | 224.90%223.68B | 340.01%206.33B | 354.13%182.07B | 459.15%162.73B | 459.15%162.73B |
| Prepaid assets | 283.20%405B | 129.13%148.41B | 46.16%92.76B | 365.82%143.31B | 365.82%143.31B | 845.34%105.69B | 408.93%64.77B | --63.46B | 255.96%30.76B | 255.96%30.76B |
| Total current assets | 35.04%2.69T | 35.29%2.09T | 50.52%2.02T | 126.77%2.45T | 126.77%2.45T | 250.10%1.99T | 254.99%1.54T | 345.17%1.34T | 356.61%1.08T | 356.61%1.08T |
| Non current assets | ||||||||||
| Net PPE | 70.09%4.27T | 43.46%3.48T | 28.25%2.87T | 29.98%2.7T | 29.98%2.7T | 195.77%2.51T | 313.24%2.43T | 366.98%2.24T | 441.81%2.08T | 441.81%2.08T |
| -Gross PPE | 68.70%7.12T | 43.77%5.81T | 31.84%4.86T | 33.80%4.55T | 33.80%4.55T | 191.81%4.22T | 302.20%4.04T | 668.76%3.69T | 420.86%3.4T | 420.86%3.4T |
| -Accumulated depreciation | -66.65%-2.85T | -44.24%-2.33T | -37.41%-1.99T | -39.79%-1.85T | -39.79%-1.85T | -186.17%-1.71T | -286.68%-1.61T | ---1.45T | -391.10%-1.33T | -391.10%-1.33T |
| Goodwill and other intangible assets | 31.83%124.07B | 23.16%109.23B | 23.45%101.29B | 26.02%97.94B | 26.02%97.94B | 176.22%94.11B | 251.22%88.69B | 203.35%82.05B | 219.31%77.72B | 219.31%77.72B |
| -Goodwill | 42.19%47.76B | 31.66%41.56B | 25.67%37.32B | 27.35%36.08B | 27.35%36.08B | 177.33%33.59B | 255.27%31.56B | --29.69B | 359.00%28.34B | 359.00%28.34B |
| -Other intangible assets | 26.08%76.31B | 18.47%67.68B | 22.18%63.97B | 25.26%61.86B | 25.26%61.86B | 175.61%60.53B | 249.02%57.13B | --52.36B | 171.84%49.38B | 171.84%49.38B |
| Investments and advances | 50.59%1.42T | 51.66%1.29T | 55.58%1.2T | 83.73%1.05T | 83.73%1.05T | 170.71%945.33B | 211.25%849.44B | 249.02%774.39B | 215.06%572.37B | 215.06%572.37B |
| Non current accounts receivable | 284.98%66.06B | 913.30%165.04B | 976.39%184.45B | 430.62%77.32B | 430.62%77.32B | 120.20%17.16B | 194.73%16.29B | 194.28%17.14B | 313.10%14.57B | 313.10%14.57B |
| Related parties assets | 18.11%8.78B | 23.16%8.31B | 19.91%7.46B | 100.12%11.34B | 100.12%11.34B | 104.77%7.43B | 281.03%6.75B | --6.22B | 359.00%5.67B | 359.00%5.67B |
| Non current deferred assets | -71.87%28.54B | 204.36%137.73B | 1,849.94%224.96B | --161.86B | --161.86B | 6,178.84%101.47B | 432.94%45.25B | 25.61%11.54B | --0 | --0 |
| Non current prepaid assets | ---- | ---- | ---- | ---- | ---- | 1,557.70%25.94B | ---- | ---- | ---- | ---- |
| Other non current assets | -72.71%470M | ---- | 22.10%431M | ---- | ---- | 989.87%1.72B | 195.04%357M | 242.72%353M | ---- | ---- |
| Total non current assets | 59.98%5.91T | 51.22%5.18T | 46.80%4.59T | 49.12%4.09T | 49.12%4.09T | 197.32%3.7T | 280.46%3.43T | 320.26%3.13T | 357.25%2.74T | 357.25%2.74T |
| Total assets | 51.24%8.61T | 46.27%7.27T | 47.92%6.61T | 71.09%6.54T | 71.09%6.54T | 213.90%5.69T | 272.16%4.97T | 327.44%4.47T | 357.07%3.82T | 357.07%3.82T |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Payables | 11.57%546.4B | 16.62%459.49B | 169.48%695.15B | 162.62%546.42B | 162.62%546.42B | 279.46%489.71B | 339.02%394.01B | 222.18%257.96B | 269.79%208.06B | 269.79%208.06B |
| -accounts payable | 102.71%422.65B | 90.90%362.13B | 51.08%312.39B | 41.30%240.22B | 41.30%240.22B | 129.77%208.5B | 191.11%189.69B | 199.52%206.78B | 243.03%170.01B | 243.03%170.01B |
| -Total tax payable | -71.37%70.75B | -64.94%61.74B | 884.21%352.91B | 1,078.99%295.89B | 1,078.99%295.89B | 922.93%247.08B | 1,380.92%176.1B | 448.94%35.86B | 331.18%25.1B | 331.18%25.1B |
| -Other payable | 55.24%53B | 26.22%35.62B | 94.72%29.85B | -20.41%10.31B | -20.41%10.31B | 141.11%34.14B | 122.30%28.22B | 240.54%15.33B | 1,368.81%12.95B | 1,368.81%12.95B |
| Current provisions | 18.18%10.31B | 14.88%9.5B | 72.35%10.66B | 112.25%10.31B | 112.25%10.31B | 623.65%8.72B | 724.33%8.27B | 580.53%6.19B | 588.50%4.86B | 588.50%4.86B |
| Current debt and capital lease obligation | 36.26%421.08B | 7.51%268.33B | 63.11%380.63B | 296.57%732B | 296.57%732B | 149.58%309.02B | 170.88%249.59B | 243.26%233.36B | 283.34%184.58B | 283.34%184.58B |
| -Current debt | 27.46%389.15B | 7.03%263.58B | 63.46%376.36B | 301.37%727.88B | 301.37%727.88B | 147.96%305.31B | 168.60%246.27B | 238.70%230.25B | 276.62%181.35B | 276.62%181.35B |
| -Current capital lease obligation | 761.81%31.93B | 43.14%4.75B | 37.48%4.26B | 27.35%4.12B | 27.35%4.12B | 440.88%3.71B | 632.45%3.32B | --3.1B | --3.24B | --3.24B |
| Current deferred liabilities | ---- | --28.5B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Other current liabilities | -84.32%195M | ---- | 869.26%1.07B | ---- | ---- | 62,100.00%1.24B | -99.68%112M | -70.35%110M | ---- | ---- |
| Current liabilities | 21.34%1.01T | 16.54%772.94B | 117.02%1.11T | 218.25%1.34T | 218.25%1.34T | 221.20%828.86B | 200.99%663.25B | 239.58%510.44B | 278.99%421.79B | 278.99%421.79B |
| Non current liabilities | ||||||||||
| Long term provisions | -19.49%147.54B | -25.16%123.48B | -27.65%108.75B | 16.31%141.24B | 16.31%141.24B | 238.14%183.25B | 331.36%165B | 386.36%150.32B | 368.37%121.44B | 368.37%121.44B |
| Long term debt and capital lease obligation | 48.96%2.06T | 33.25%1.64T | 27.06%1.43T | 42.37%1.43T | 42.37%1.43T | 203.77%1.38T | 265.71%1.23T | 299.03%1.12T | 320.92%1T | 320.92%1T |
| -Long term debt | 48.49%2.03T | 33.52%1.63T | 28.43%1.43T | 42.85%1.42T | 42.85%1.42T | 203.48%1.37T | 264.65%1.22T | 294.77%1.11T | 319.27%990.93B | 319.27%990.93B |
| -Long term capital lease obligation | 102.09%24.79B | 5.70%13.06B | -7.87%11.05B | 0.06%11.34B | 0.06%11.34B | 239.18%12.27B | 412.06%12.36B | --11.99B | 542.60%11.33B | 542.60%11.33B |
| Non current deferred liabilities | 343.30%529.31B | 309.41%463.05B | -31.46%131.14B | -55.14%127.84B | -55.14%127.84B | 97.64%119.4B | 105.82%113.1B | 222.62%191.35B | 455.22%284.97B | 455.22%284.97B |
| Employee benefits | 56.08%117.2B | 167.88%121.11B | -22.76%34.12B | 192.32%104.13B | 192.32%104.13B | 316.76%75.09B | 245.98%45.21B | 564.21%44.17B | 431.48%35.62B | 431.48%35.62B |
| Other non current liabilities | ---- | ---- | ---- | ---1.03B | ---1.03B | ---5M | ---- | ---- | ---- | ---- |
| Total non current liabilities | 61.94%2.85T | 50.86%2.35T | 18.33%1.79T | 24.43%1.8T | 24.43%1.8T | 199.14%1.76T | 250.54%1.56T | 293.68%1.51T | 349.20%1.45T | 349.20%1.45T |
| Total liabilities | 48.95%3.86T | 40.60%3.12T | 43.24%2.9T | 68.16%3.14T | 68.16%3.14T | 205.86%2.59T | 234.11%2.22T | 278.46%2.02T | 331.18%1.87T | 331.18%1.87T |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%1.36B | 3,042.87%42.74B | 2,722.25%38.38B | 27.35%37.12B | 27.35%37.12B | 0.00%1.36B | 0.00%1.36B | -1.45%1.36B | 359.00%29.14B | 359.00%29.14B |
| -common stock | 0.00%1.36B | 3,042.87%42.74B | 2,722.25%38.38B | 27.35%37.12B | 27.35%37.12B | 0.00%1.36B | 0.00%1.36B | -1.45%1.36B | 359.00%29.14B | 359.00%29.14B |
| Retained earnings | -59.15%250.63B | -48.07%223.21B | 100.57%972.36B | 323.73%764.99B | 323.73%764.99B | 278.91%613.53B | 434.29%429.82B | 271.04%484.8B | 114.59%180.54B | 114.59%180.54B |
| Paid-in capital | 0.00%19.95B | 2,970.93%612.65B | 2,657.65%550.15B | 27.35%531.99B | 27.35%531.99B | 0.00%19.95B | 0.00%19.95B | 0.00%19.95B | 359.00%417.74B | 359.00%417.74B |
| Less: Treasury stock | 12,275.26%23.51B | 3,838.93%8.31B | 3,437.11%7.46B | 27.35%7.22B | 27.35%7.22B | -9.95%190M | 0.00%211M | -90.75%211M | 39.70%5.67B | 39.70%5.67B |
| Gains losses not affecting retained earnings | 82.85%4.48T | 33.10%3.04T | 1.04%1.94T | 59.34%1.86T | 59.34%1.86T | 216.81%2.45T | 307.43%2.28T | 445.81%1.92T | 514.13%1.17T | 514.13%1.17T |
| Other equity interest | 0.00%7.13B | 3,082.37%226.78B | 2,757.72%203.64B | 27.35%196.92B | 27.35%196.92B | 0.00%7.13B | 0.00%7.13B | -1.45%7.13B | 359.00%154.63B | 359.00%154.63B |
| Total stockholders'equity | 53.17%4.74T | 50.88%4.14T | 51.86%3.7T | 74.07%3.39T | 74.07%3.39T | 220.90%3.09T | 309.72%2.74T | 378.38%2.44T | 384.60%1.95T | 384.60%1.95T |
| Noncontrolling interests | 45.66%11.9B | 39.23%10.69B | 31.00%10.66B | 27.35%9.28B | 27.35%9.28B | 240.58%8.17B | 355.76%7.68B | 482.61%8.14B | 490.15%7.29B | 490.15%7.29B |
| Total equity | 53.15%4.75T | 50.84%4.15T | 51.79%3.71T | 73.90%3.4T | 73.90%3.4T | 220.94%3.1T | 309.83%2.75T | 378.67%2.45T | 384.93%1.95T | 384.93%1.95T |
| Currency Unit | ARS | ARS | ARS | ARS | ARS | ARS | ARS | ARS | ARS | ARS |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | -- | -- |