NVIDIA
NVDA
Tesla
TSLA
Meta Platforms
META
Alphabet-A
GOOGL
Alphabet-C
GOOG
(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 44.07%749.62B | 75.36%656.53B | 94.85%609.29B | 19.22%486.29B | 19.22%486.29B | 81.64%520.31B | 48.46%374.39B | 42.87%312.7B | 92.79%407.9B | 92.79%407.9B |
-Cash and cash equivalents | 32.86%329.78B | 40.21%287.97B | 64.10%272.64B | 15.84%289.41B | 15.84%289.41B | 90.87%248.21B | 74.56%205.39B | 55.54%166.14B | 166.20%249.83B | 166.20%249.83B |
-Short-term investments | 54.29%419.84B | 118.08%368.55B | 129.70%336.65B | 24.55%196.89B | 24.55%196.89B | 73.97%272.1B | 25.62%169B | 30.79%146.56B | 34.27%158.07B | 34.27%158.07B |
-Accounts receivable | 44.99%190.6B | 79.28%191.74B | 95.35%150.75B | 16.69%143.44B | 16.69%143.44B | 68.04%131.46B | 42.98%106.95B | 31.06%77.17B | 161.65%122.92B | 161.65%122.92B |
-Taxes receivable | 45.76%25.28B | 34.17%18.15B | 116.65%21.54B | 12.83%21.93B | 12.83%21.93B | 23.85%17.35B | 27.53%13.53B | 24.24%9.94B | 195.14%19.44B | 195.14%19.44B |
-Other receivables | 67.24%978.86B | 84.58%947.65B | 85.32%845.96B | 1.71%700.71B | 1.71%700.71B | 60.98%585.32B | 62.58%513.41B | 66.37%456.49B | 197.14%688.92B | 197.14%688.92B |
Inventory | 54.71%179.5B | 81.56%173.2B | 81.49%145.37B | -13.52%115.83B | -13.52%115.83B | 43.94%116.02B | 12.74%95.4B | 24.08%80.1B | 189.55%133.94B | 189.55%133.94B |
Prepaid assets | 150.87%124.38B | 133.52%114.92B | 115.70%97.15B | 8.10%78.77B | 8.10%78.77B | 123.47%49.58B | 272.27%49.21B | 306.56%45.04B | 874.93%72.87B | 874.93%72.87B |
Restricted cash | -12.12%36.95B | -3.88%36.44B | 26.44%35.3B | -16.88%117.79B | -16.88%117.79B | 11.55%42.04B | -13.40%37.91B | -11.53%27.92B | 382.19%141.7B | 382.19%141.7B |
Other current assets | 205.09%40.77B | 81.94%26.75B | 128.12%19.82B | -5.14%17.64B | -5.14%17.64B | 30.03%13.36B | 72.59%14.7B | 18.78%8.69B | 212.40%18.6B | 212.40%18.6B |
Total current assets | 57.24%2.36T | 77.42%2.2T | 89.50%1.96T | 4.74%1.71T | 4.74%1.71T | 65.28%1.5T | 51.52%1.24T | 51.03%1.03T | 169.79%1.63T | 169.79%1.63T |
Non current assets | ||||||||||
Net PPE | 281.19%397.66B | 282.00%362.95B | 296.16%313.86B | 7.92%275.85B | 7.92%275.85B | 57.92%104.32B | 58.61%95.01B | 43.73%79.23B | 399.55%255.61B | 399.55%255.61B |
-Gross PPE | 351.83%697.07B | 341.01%629.28B | 372.45%558.14B | 5.98%484.52B | 5.98%484.52B | 50.16%154.28B | 53.32%142.69B | 38.13%118.14B | 479.24%457.18B | 479.24%457.18B |
-Accumulated depreciation | -499.34%-299.41B | -458.60%-266.33B | -527.78%-244.28B | -3.52%-208.67B | -3.52%-208.67B | -36.19%-49.96B | -43.76%-47.68B | -27.98%-38.91B | -626.14%-201.57B | -626.14%-201.57B |
Goodwill and other intangible assets | 366.06%143.32B | 338.20%128.03B | 354.88%110.62B | 1.54%96.6B | 1.54%96.6B | 37.99%30.75B | 35.53%29.22B | 17.70%24.32B | 415.86%95.14B | 415.86%95.14B |
-Goodwill | 675.93%64.51B | 643.81%59.52B | 687.89%55.37B | -0.47%48.5B | -0.47%48.5B | 29.12%8.31B | 27.88%8B | 16.96%7.03B | 772.98%48.73B | 772.98%48.73B |
-Other intangible assets | 251.23%78.81B | 222.93%68.51B | 219.56%55.26B | 3.65%48.1B | 3.65%48.1B | 41.59%22.44B | 38.65%21.22B | 18.00%17.29B | 260.86%46.41B | 260.86%46.41B |
Financial assets | -36.58%10B | -19.23%12.22B | 18.89%14.39B | -37.42%13.69B | -37.42%13.69B | 5.14%15.76B | 14.17%15.13B | 16.30%12.1B | 147.70%21.87B | 147.70%21.87B |
Non current prepaid assets | 109.59%12.83B | 84.02%10.46B | 251.74%10.09B | 53.86%6.02B | 53.86%6.02B | 103.49%6.12B | 169.57%5.68B | 98.77%2.87B | 76.62%3.91B | 76.62%3.91B |
Other non current assets | 407.04%18.79B | 423.85%16.56B | 327.52%12.51B | 15.99%10.3B | 15.99%10.3B | 52.79%3.71B | 37.35%3.16B | 40.47%2.93B | 332.80%8.88B | 332.80%8.88B |
Total non current assets | 79.63%1.49T | 82.67%1.39T | 103.36%1.29T | -3.03%1.15T | -3.03%1.15T | 47.55%828.19B | 43.91%760.51B | 33.55%633.19B | 185.22%1.18T | 185.22%1.18T |
Total assets | 65.19%3.85T | 79.42%3.59T | 94.77%3.25T | 1.48%2.86T | 1.48%2.86T | 58.51%2.33T | 48.53%2T | 43.88%1.67T | 176.06%2.82T | 176.06%2.82T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 76.78%407.77B | 1,086.10%1.83T | 77.29%1.63T | 11.80%298.28B | 11.80%298.28B | 38.10%230.67B | -8.01%154.68B | 571.42%917.69B | 165.44%266.8B | 165.44%266.8B |
-accounts payable | 36.04%244.85B | 96.52%256.59B | 101.44%194.44B | 10.15%186.65B | 10.15%186.65B | 58.45%179.98B | 2.80%130.56B | 2.85%96.52B | 136.70%169.45B | 136.70%169.45B |
-Total tax payable | 25.16%44.62B | 123.89%36.4B | 90.35%37.39B | 21.51%35.33B | 21.51%35.33B | 109.89%35.65B | 73.43%16.26B | 27.96%19.64B | 328.64%29.08B | 328.64%29.08B |
-Dividends payable | 57.74%10.78B | ---- | ---- | ---- | ---- | 142,769.09%6.83B | 1,433.31%888M | 32.73%891M | ---- | ---- |
-Other payable | 1,209.23%107.53B | 22,036.77%1.54T | 74.25%1.4T | 11.76%76.29B | 11.76%76.29B | -77.47%8.21B | -78.03%6.96B | 2,886.31%800.64B | 209.01%68.26B | 209.01%68.26B |
Current provisions | 85.10%19.62B | 89.54%18.15B | 70.62%13B | 2.00%10.92B | 2.00%10.92B | 74.68%10.6B | 57.66%9.58B | 65.25%7.62B | 189.37%10.7B | 189.37%10.7B |
Current debt and capital lease obligation | 70.24%469.39B | 93.32%454.05B | 108.98%420.33B | -2.92%361.43B | -2.92%361.43B | 32.15%275.73B | 22.58%234.87B | 22.55%201.13B | 201.44%372.31B | 201.44%372.31B |
-Current debt | 70.24%469.39B | 91.59%449.98B | 108.98%420.33B | -2.92%361.43B | -2.92%361.43B | 32.15%275.73B | 22.58%234.87B | 22.55%201.13B | 201.44%372.31B | 201.44%372.31B |
-Current capital lease obligation | ---- | --4.07B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other current liabilities | -93.05%78.68B | -94.14%61.02B | -34.61%46.07B | -0.86%46.27B | -0.86%46.27B | 3,672.09%1.13T | 3,931.57%1.04T | 281.30%70.46B | 164.87%46.67B | 164.87%46.67B |
Current liabilities | 52.27%2.56T | 63.85%2.4T | 75.94%2.13T | -1.18%1.87T | -1.18%1.87T | 58.05%1.68T | 46.51%1.47T | 43.39%1.21T | 166.06%1.89T | 166.06%1.89T |
Non current liabilities | ||||||||||
Long term provisions | 43.74%6.39B | 55.69%6.42B | 36.96%4.85B | -3.63%5.09B | -3.63%5.09B | 39.37%4.44B | 41.18%4.12B | 35.95%3.54B | 115.72%5.28B | 115.72%5.28B |
Long term debt and capital lease obligation | 41.43%350.59B | 56.08%302.95B | 72.49%275.26B | -1.61%247.39B | -1.61%247.39B | 49.70%247.89B | 27.12%194.1B | 7.66%159.58B | 54.47%251.44B | 54.47%251.44B |
-Long term debt | 39.74%338.43B | 54.10%291.17B | 72.37%267.62B | -1.73%240.93B | -1.73%240.93B | 49.34%242.18B | 26.35%188.95B | 6.84%155.26B | 53.11%245.17B | 53.11%245.17B |
-Long term capital lease obligation | 112.96%12.16B | 128.50%11.78B | 76.97%7.65B | 3.17%6.47B | 3.17%6.47B | 66.49%5.71B | 63.90%5.15B | 48.60%4.32B | 136.62%6.27B | 136.62%6.27B |
Derivative product liabilities | -19.11%8.71B | -12.43%9.68B | 40.73%10.92B | -26.56%9.7B | -26.56%9.7B | 13.74%10.77B | 25.10%11.05B | -6.05%7.76B | 44.25%13.21B | 44.25%13.21B |
Other non current liabilities | -65.04%4.34B | -63.27%4.62B | 63.72%5.25B | -14.64%4.74B | -14.64%4.74B | 17.95%12.41B | 158.94%12.57B | -26.43%3.21B | -15.84%5.55B | -15.84%5.55B |
Total non current liabilities | 49.33%444.72B | 59.95%388.9B | 79.90%355.81B | -0.11%318.88B | -0.11%318.88B | 48.15%297.81B | 34.41%243.13B | 14.29%197.78B | 68.22%319.24B | 68.22%319.24B |
Total liabilities | 51.83%3.01T | 63.30%2.79T | 76.49%2.49T | -1.03%2.18T | -1.03%2.18T | 56.48%1.98T | 44.66%1.71T | 38.45%1.41T | 145.42%2.21T | 145.42%2.21T |
Shareholders'equity | ||||||||||
Share capital | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B |
-common stock | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B | 0.00%2.54B |
Retained earnings | 133.62%441.6B | 157.04%408.99B | 183.75%393.38B | 18.37%340.74B | 18.37%340.74B | 86.97%189.02B | 95.93%159.11B | 127.49%138.64B | 427.28%287.87B | 427.28%287.87B |
Paid-in capital | 3,355.56%311M | 3,066.67%285M | 2,822.22%263M | 0.00%229M | 0.00%229M | -3.08%9M | -3.08%9M | -3.08%9M | 2,444.44%229M | 2,444.44%229M |
Less: Treasury stock | 342.11%84M | 305.26%77M | 273.68%71M | 0.00%62M | 0.00%62M | -0.35%19M | -0.35%19M | -0.35%19M | 226.32%62M | 226.32%62M |
Other equity interest | 6,591.42%64.71B | 6,021.92%59.2B | 5,526.99%54.41B | 0.00%46.96B | 0.00%46.96B | -0.03%967M | -0.03%967M | -0.03%967M | 4,755.95%46.96B | 4,755.95%46.96B |
Total stockholders'equity | 138.04%509.74B | 163.18%475.06B | 190.23%460.27B | 10.66%404.73B | 10.66%404.73B | 73.56%214.14B | 80.92%180.51B | 114.57%158.59B | 474.70%365.75B | 474.70%365.75B |
Noncontrolling interests | 145.81%332.06B | 193.64%319.84B | 204.87%294.68B | 10.38%269.54B | 10.38%269.54B | 67.45%135.09B | 69.54%108.92B | 48.56%96.66B | 324.94%244.19B | 324.94%244.19B |
Total equity | 141.05%841.8B | 174.64%794.9B | 195.77%754.95B | 10.55%674.27B | 10.55%674.27B | 71.15%349.23B | 76.46%289.43B | 83.67%255.25B | 403.64%609.93B | 403.64%609.93B |
Currency Unit | TRY | TRY | TRY | TRY | TRY | TRY | TRY | TRY | TRY | TRY |