cache/b3b6c060fc0f76cccba7e7b73f89ba54893c4c72df0fa0e6f600d3419cc7e2a3

COM:OCBC

OCBC

  • Stock

USD

Last Close

25.00

22/11 20:53

Market Cap

50.60B

Beta: -

Volume Today

11.23K

Avg: -

Preview

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Dec '13
Jun '14
Dec '14
Jun '15
Dec '15
Jun '16
Dec '16
Jun '17
Dec '17
Jun '18
Dec '18
Jun '19
Dec '19
Jun '20
Dec '20
Jun '21
Dec '21
Jun '22
Dec '22
Jun '23
Dec '23
Jun '24
net income
1.47B
-
1.82B
23.43%
2.02B
11.10%
2.04B
0.94%
1.86B
8.76%
1.74B
6.50%
1.73B
0.51%
1.90B
9.87%
2.14B
12.54%
2.32B
8.37%
2.17B
6.46%
2.45B
13.04%
2.42B
1.59%
1.43B
40.87%
2.16B
51.12%
2.66B
23.31%
2.20B
17.44%
2.59B
17.98%
2.91B
12.31%
3.59B
23.29%
3.43B
4.37%
3.93B
14.39%
depreciation and amortization
134.64M
-
134M
0.48%
188.19M
40.44%
192M
2.02%
198.96M
3.63%
199M
0.02%
205.38M
3.21%
207M
0.79%
211.52M
2.18%
208M
1.67%
210.82M
1.36%
244M
15.74%
321M
31.56%
264M
17.76%
259M
1.89%
256M
1.16%
330M
28.91%
258M
21.82%
272M
5.43%
263M
3.31%
280M
6.46%
256M
8.57%
deferred income tax
-566M
-
-556M
1.77%
70M
112.59%
-5.41B
7,822.86%
1.84B
133.96%
-6.60B
459.31%
-562M
91.48%
stock based compensation
6.60M
-
18M
172.56%
14.68M
18.45%
19M
29.44%
20.35M
7.11%
23M
13.02%
28.61M
24.41%
27M
5.64%
28.95M
7.24%
31M
7.07%
34.80M
12.26%
35M
0.57%
34M
2.86%
38M
11.76%
38M
0%
34M
10.53%
39M
14.71%
43M
10.26%
37M
13.95%
36M
2.70%
change in working capital
-4.43B
-
5.58B
225.93%
-104M
101.86%
5.37B
5,260.58%
-1.88B
135.01%
6.56B
449.12%
-4.22B
164.38%
10.03B
337.60%
-10.33B
202.91%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-17.74B
-
-9.00B
49.26%
-5.77B
35.86%
-4.46B
22.86%
11.00B
346.92%
-7.42B
167.44%
-6.63B
10.64%
-16.99B
156.30%
-12.15B
28.51%
-9.80B
19.32%
-443.83M
95.47%
-4.50B
913.22%
4.32B
196.06%
1.20B
72.27%
-50M
104.17%
-4.45B
8,796%
-18.21B
309.44%
-6.37B
65.03%
6.77B
206.27%
323M
95.23%
54M
83.28%
711M
1,216.67%
net cash provided by operating activities
-16.13B
-
-7.03B
56.40%
-3.55B
49.52%
-2.20B
37.94%
13.08B
693.81%
-5.46B
141.71%
-4.66B
14.53%
-14.85B
218.53%
-9.76B
34.27%
-7.24B
25.85%
1.97B
127.25%
-1.76B
189.42%
7.09B
501.93%
-1.50B
121.20%
7.99B
631.27%
-1.60B
120.05%
-10.28B
542.04%
-3.52B
65.77%
9.95B
382.83%
-574M
105.77%
13.80B
2,504.18%
-5.95B
143.08%
investments in property plant and equipment
-159.40M
-
-141M
11.54%
-155.04M
9.96%
-134M
13.57%
-180.47M
34.68%
-185M
2.51%
-140.19M
24.22%
-108M
22.96%
-154.24M
42.82%
-126M
18.31%
-170.51M
35.32%
-140M
17.89%
-228M
62.86%
-159M
30.26%
-38.20B
23,927.04%
-191M
99.50%
-252M
31.94%
-189M
25%
-20.90B
10,956.61%
-22.57B
8.03%
-24.57B
8.86%
-23.33B
5.04%
acquisitions net
16M
-
102M
537.50%
43M
57.84%
109M
153.49%
67M
38.53%
61M
8.96%
21M
65.57%
68M
223.81%
16M
76.47%
purchases of investments
-12.62B
-
-7.42B
41.19%
-10.06B
35.61%
-9.99B
0.75%
-6.01B
39.81%
-8.52B
41.81%
-10.14B
18.99%
-20.09B
98.11%
-19.88B
1.06%
sales maturities of investments
6.90B
-
5.23B
24.20%
7.72B
47.58%
6.53B
15.41%
8.01B
22.56%
7.51B
6.26%
2.25B
70.08%
13.37B
495.41%
21.00B
57.01%
other investing activites
-1.58B
-
-26M
98.36%
-1.04B
3,901.43%
-154M
85.20%
528.23M
443.00%
358M
32.23%
2.77B
673.23%
-1.42B
151.26%
853.67M
160.16%
-2.20B
357.71%
238.12M
110.82%
-694M
391.45%
-5.94B
755.48%
517M
108.71%
36.30B
6,921.47%
366M
98.99%
-2.07B
666.39%
-261M
87.41%
11.77B
4,610.34%
13.69B
16.28%
19.29B
40.89%
23.42B
21.45%
net cash used for investing activites
-1.74B
-
-167M
90.42%
-1.20B
615.81%
-288M
75.91%
347.76M
220.75%
173M
50.25%
2.63B
1,419.05%
-1.53B
158.11%
699.43M
145.80%
-2.33B
432.56%
67.61M
102.91%
-834M
1,333.47%
-6.17B
639.21%
-5.34B
13.40%
-3.99B
25.32%
-2.12B
46.80%
-5.67B
167.33%
1.61B
128.45%
-10.08B
725.05%
-16.76B
66.25%
-11.94B
28.76%
-1.74B
85.44%
debt repayment
-712M
-
-1.28B
-
-1.31B
-
-1.90B
-
-2.64B
-
-1.92B
27.01%
-2.64B
37.16%
-3.38B
28.27%
-2.97B
12.17%
-2.46B
17.26%
-2.77B
12.72%
-7.36B
165.52%
-7.38B
0.27%
common stock issued
793M
-
1.39B
-
1.47B
-
2.03B
-
7M
-
9M
28.57%
82M
811.11%
58M
29.27%
67M
15.52%
83M
23.88%
36M
56.63%
626M
1,638.89%
57M
90.89%
common stock repurchased
-41.38M
-
-81M
95.74%
-80.63M
0.45%
-87M
7.89%
-30.50M
64.95%
-112M
267.26%
-5.25M
95.32%
-107M
1,940.04%
-116.91M
9.26%
-159M
36.00%
-55.69M
64.97%
-133M
138.81%
-59M
55.64%
-63M
6.78%
-500M
693.65%
-190M
62%
-216M
13.68%
-153M
29.17%
-97M
36.60%
-115M
18.56%
-90M
21.74%
-148M
64.44%
dividends paid
-127M
-
-128.35M
1.06%
-153M
19.20%
-179.75M
17.49%
-187M
4.03%
-781.95M
318.16%
-783M
0.13%
-891.36M
13.84%
-881M
1.16%
-319M
-
-283M
11.29%
-1.29B
356.54%
-175M
86.46%
-359M
105.14%
-1.19B
230.08%
-1.28B
8.27%
-1.30B
1.17%
-1.90B
46.53%
-1.83B
3.73%
-1.96B
6.94%
other financing activites
23.75B
-
8.21B
65.41%
10.02B
21.99%
-2.70B
126.91%
-10.99B
307.46%
1.99B
118.10%
2.98B
49.77%
16.10B
440.74%
14.23B
11.61%
8.00B
43.81%
1.73B
78.42%
5.08B
194.33%
4.07B
19.85%
6.91B
69.61%
5.58B
19.15%
2.31B
58.57%
25.54B
1,004.28%
11.98B
53.09%
1.17B
90.28%
22.34B
1,817.34%
-8.71B
139.00%
450M
105.17%
net cash used provided by financing activities
23.70B
-
7.29B
69.23%
9.81B
34.51%
-2.94B
129.93%
-11.20B
281.31%
408M
103.64%
2.19B
436.82%
15.21B
594.45%
13.22B
13.07%
5.64B
57.32%
1.67B
70.41%
2.73B
63.60%
3.73B
36.49%
2.92B
21.67%
2.99B
2.46%
-793M
126.50%
20.81B
2,724.72%
7.64B
63.29%
2.31B
69.73%
17.58B
660.18%
-2.64B
115.03%
10.91B
512.86%
effect of forex changes on cash
-252.49M
-
-5M
98.02%
87.81M
1,856.18%
-117M
233.24%
-113.17M
3.27%
-274M
142.12%
269.71M
198.44%
-295M
209.38%
-33.99M
88.48%
18M
152.96%
-254.37M
1,513.15%
-63M
75.23%
-51M
19.05%
418M
919.61%
-165M
139.47%
137M
183.03%
145M
5.84%
-235M
262.07%
-538M
128.94%
332M
161.71%
net change in cash
5.58B
-
89M
98.41%
5.15B
5,689.26%
-5.54B
207.60%
2.12B
138.26%
-5.15B
342.78%
424.63M
108.25%
-1.47B
445.24%
4.12B
381.31%
-3.90B
194.69%
3.46B
188.50%
71M
97.95%
4.60B
6,383.10%
-3.50B
176.10%
6.83B
294.86%
-4.38B
164.14%
5.01B
214.44%
5.50B
9.78%
1.77B
67.75%
580M
67.31%
-783M
235%
3.23B
512.26%
cash at beginning of period
13.76B
-
14.08B
2.35%
14.17B
0.63%
19.32B
36.35%
13.78B
28.69%
15.90B
15.39%
10.75B
32.38%
10.29B
4.31%
8.82B
14.25%
13.84B
56.81%
9.93B
28.23%
13.39B
34.80%
13.46B
0.53%
18.73B
39.18%
15.23B
18.70%
22.08B
45.00%
17.70B
19.83%
22.71B
28.31%
28.21B
24.22%
29.45B
4.41%
cash at end of period
19.34B
-
14.17B
26.73%
19.32B
36.36%
13.78B
28.69%
15.90B
15.39%
10.75B
32.38%
11.18B
3.95%
8.82B
21.06%
12.95B
46.74%
9.93B
23.30%
13.39B
34.80%
13.46B
0.53%
18.06B
34.21%
15.23B
15.69%
22.05B
44.83%
17.70B
19.74%
22.71B
28.31%
28.21B
24.22%
29.98B
6.29%
30.04B
0.17%
-783M
102.61%
3.23B
512.26%
operating cash flow
-16.13B
-
-7.03B
56.40%
-3.55B
49.52%
-2.20B
37.94%
13.08B
693.81%
-5.46B
141.71%
-4.66B
14.53%
-14.85B
218.53%
-9.76B
34.27%
-7.24B
25.85%
1.97B
127.25%
-1.76B
189.42%
7.09B
501.93%
-1.50B
121.20%
7.99B
631.27%
-1.60B
120.05%
-10.28B
542.04%
-3.52B
65.77%
9.95B
382.83%
-574M
105.77%
13.80B
2,504.18%
-5.95B
143.08%
capital expenditure
-159.40M
-
-141M
11.54%
-155.04M
9.96%
-134M
13.57%
-180.47M
34.68%
-185M
2.51%
-140.19M
24.22%
-108M
22.96%
-154.24M
42.82%
-126M
18.31%
-170.51M
35.32%
-140M
17.89%
-228M
62.86%
-159M
30.26%
-38.20B
23,927.04%
-191M
99.50%
-252M
31.94%
-189M
25%
-20.90B
10,956.61%
-22.57B
8.03%
-24.57B
8.86%
-23.33B
5.04%
free cash flow
-16.29B
-
-7.17B
55.96%
-3.71B
48.35%
-2.34B
36.92%
12.90B
652.04%
-5.64B
143.72%
-4.80B
14.85%
-14.96B
211.48%
-9.92B
33.71%
-7.37B
25.73%
1.80B
124.47%
-1.90B
205.64%
6.86B
460.40%
-1.66B
124.22%
-30.22B
1,718.17%
-1.79B
94.07%
-10.53B
487.67%
-3.71B
64.80%
-10.95B
195.31%
-23.15B
111.46%
-10.77B
53.46%
-29.28B
171.78%

All numbers in USD (except ratios and percentages)