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

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
3.84B
-
3.90B
1.59%
3.47B
11.02%
4.04B
16.46%
4.49B
11.06%
4.81B
7.09%
3.53B
26.55%
4.81B
36.20%
5.69B
18.29%
7.02B
23.35%
depreciation and amortization
322.19M
-
390.96M
21.34%
404.38M
3.43%
418.52M
3.50%
418.82M
0.07%
499.57M
19.28%
523M
4.69%
493M
5.74%
510M
3.45%
543M
6.47%
deferred income tax
599.04M
-
-29.95M
105.00%
601.01M
2,106.43%
600.33M
0.11%
-74.36M
112.39%
-1.12B
1,408.96%
-5.34B
375.58%
-4.76B
10.78%
stock based compensation
32.68M
-
39.35M
20.41%
51.62M
31.17%
55.95M
8.41%
65.80M
17.60%
69M
4.86%
76M
10.14%
73M
3.95%
80M
9.59%
change in working capital
-638.39M
-
-21.66M
96.61%
-656.96M
2,932.92%
-666.13M
1.40%
5.36M
100.80%
1.15B
21,352.58%
5.26B
358.05%
4.68B
11.06%
5.81B
24.14%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-14.78B
-
7.18B
148.61%
-14.03B
295.26%
-28.48B
103.04%
-10.18B
64.26%
256.96M
102.52%
2.32B
804.05%
5.49B
136.46%
4.88B
11.16%
-149M
103.05%
net cash provided by operating activities
-10.58B
-
10.88B
202.80%
-10.12B
193.02%
-24.62B
143.28%
-5.27B
78.60%
5.57B
205.69%
6.48B
16.44%
10.80B
66.58%
11.08B
2.63%
13.23B
19.35%
investments in property plant and equipment
-296.04M
-
-314.46M
6.22%
-325.19M
3.41%
-262.24M
19.36%
-296.51M
13.06%
-368.27M
24.20%
-38.36B
10,316.79%
-42.08B
9.69%
-37.72B
10.37%
-47.15B
25.01%
acquisitions net
85.02M
-
2.85B
3,249.65%
490.64M
82.77%
59.74M
87.82%
143.99M
141.03%
118M
18.05%
152M
28.81%
128M
15.79%
89M
30.47%
purchases of investments
-13.18B
-
-15.99B
21.38%
-24.89B
55.66%
-14.40B
42.14%
-16.11B
11.84%
-20.04B
24.37%
-20.05B
0.06%
-14.54B
27.50%
-30.24B
108.03%
sales maturities of investments
14.76B
-
12.68B
14.08%
20.15B
58.85%
12.54B
37.77%
13.32B
6.21%
12.14B
8.85%
14.26B
17.46%
15.51B
8.82%
15.62B
0.68%
other investing activites
-1.07B
-
-1.30B
21.57%
3.59B
376.83%
3.69B
2.88%
-153.39M
104.15%
-4.45B
2,799.16%
36.82B
927.94%
18.01B
51.07%
23.39B
29.86%
32.98B
40.96%
net cash used for investing activites
-1.36B
-
59.76M
104.39%
2.80B
4,587.01%
-827.57M
129.55%
-2.26B
172.89%
-7.47B
230.58%
-9.33B
24.91%
-29.71B
218.53%
-13.22B
55.51%
-28.70B
117.15%
debt repayment
-1.36B
-
-5.50B
304.96%
-3.62B
34.20%
-1.58B
56.25%
-1.31B
17.00%
-134.40M
89.77%
-4.56B
3,292.91%
-5.59B
22.52%
-5.24B
6.14%
-4.59B
12.47%
common stock issued
1.52B
-
85.00M
94.41%
10.24M
87.95%
178.35M
1,640.86%
106.58M
40.24%
87.53M
17.87%
16M
81.72%
140M
775%
150M
7.14%
662M
341.33%
common stock repurchased
-161.63M
-
-117.50M
27.31%
-117.25M
0.21%
-223.91M
90.98%
-214.69M
4.12%
-191.35M
10.87%
-63M
67.08%
-406M
544.44%
-250M
38.42%
-205M
18%
dividends paid
-255.35M
-
-332.75M
30.31%
-968.95M
191.19%
-1.67B
72.80%
-1.13B
32.24%
-601.79M
46.96%
-1.47B
143.77%
-1.54B
5.25%
-2.62B
69.69%
-3.73B
42.48%
other financing activites
18.88B
-
-8.27B
143.78%
7.29B
188.24%
31.74B
335.13%
9.87B
68.90%
7.30B
25.99%
11.99B
64.12%
27.42B
128.72%
17.92B
34.65%
13.63B
23.95%
net cash used provided by financing activities
17.10B
-
-14.13B
182.62%
2.60B
118.39%
28.43B
994.32%
7.31B
74.28%
6.46B
11.60%
5.91B
8.51%
20.02B
238.55%
9.95B
50.29%
14.94B
50.11%
effect of forex changes on cash
82.81M
-
-230.17M
377.95%
-4.29M
98.14%
-328.99M
7,575.90%
-236.37M
28.15%
-114M
51.77%
253M
321.93%
282M
11.46%
-773M
374.11%
net change in cash
-16.80M
-
-3.42B
20,279.32%
-4.72B
38.01%
2.66B
156.26%
-449.08M
116.89%
4.67B
1,140.80%
4.02B
14.04%
632M
84.27%
7.27B
1,050.95%
-535M
107.35%
cash at beginning of period
19.34B
-
19.32B
0.09%
15.90B
17.71%
11.18B
29.71%
13.83B
23.78%
13.39B
3.24%
18.06B
34.92%
22.08B
22.25%
22.71B
2.86%
cash at end of period
19.32B
-
15.90B
17.71%
11.18B
29.71%
13.83B
23.78%
13.39B
3.25%
18.06B
34.92%
22.08B
22.25%
22.71B
2.86%
29.98B
32.03%
-535M
101.78%
operating cash flow
-10.58B
-
10.88B
202.80%
-10.12B
193.02%
-24.62B
143.28%
-5.27B
78.60%
5.57B
205.69%
6.48B
16.44%
10.80B
66.58%
11.08B
2.63%
13.23B
19.35%
capital expenditure
-296.04M
-
-314.46M
6.22%
-325.19M
3.41%
-262.24M
19.36%
-296.51M
13.06%
-368.27M
24.20%
-38.36B
10,316.79%
-42.08B
9.69%
-37.72B
10.37%
-47.15B
25.01%
free cash flow
-10.88B
-
10.56B
197.11%
-10.44B
198.87%
-24.88B
138.22%
-5.56B
77.64%
5.20B
193.44%
-31.88B
713.24%
-31.28B
1.88%
-26.63B
14.86%
-33.92B
27.36%

All numbers in USD (except ratios and percentages)