AmazonAMZN
Hyperscaler
AWS rents the floor the buildout stands on, and the Anthropic stake hedges the model layer. The retail business pays for the patience.
Member of the US AI 100
Financials
In US dollars
| Breakdown | 12/31/2025 | 12/31/2024 | 12/31/2023 | 12/31/2022 | 12/31/2021 | 12/31/2020 | 12/31/2019 | 12/31/2018 | 12/31/2017 | 12/31/2016 | 12/31/2015 | 12/31/2014 | 12/31/2013 | 12/31/2012 | 12/31/2011 | 12/31/2010 | 12/31/2009 | 12/31/2008 | 12/31/2007 | 12/31/2006 | 12/31/2005 | 12/31/2004 | 12/31/2003 | 12/31/2002 | 12/31/2001 | 12/31/2000 | 12/31/1999 | 12/31/1998 | 12/31/1997 | 12/31/1996 | 12/31/1995 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total Assets | $818.04B+30.9% | $624.89B+18.4% | $527.85B+14.1% | $462.68B+10.0% | $420.55B+30.9% | $321.19B+42.6% | $225.25B+38.5% | $162.65B+23.9% | $131.31B+57.4% | $83.40B+28.8% | $64.75B+18.8% | $54.51B+35.7% | $40.16B+23.4% | $32.55B+28.8% | $25.28B+34.5% | $18.80B+36.1% | $13.81B+66.1% | $8.31B+28.2% | $6.49B+48.6% | $4.36B+18.0% | $3.70B+13.8% | $3.25B+50.2% | $2.16B+8.6% | $1.99B+21.6% | $1.64B−23.3% | $2.14B−13.4% | $2.47B+280.3% | $648.5M+332.8% | $149.8M+999%+ | $8.3M+663.0% | $1.1M |
| Current Assets | $229.08B+20.0% | $190.87B+10.7% | $172.35B+17.4% | $146.79B−9.2% | $161.58B+21.7% | $132.73B+37.8% | $96.33B+28.3% | $75.10B+24.8% | $60.20B+31.5% | $45.78B+28.2% | $35.70B+14.0% | $31.33B+27.2% | $24.63B+15.6% | $21.30B+21.8% | $17.49B+27.2% | $13.75B+40.3% | $9.80B+59.1% | $6.16B+19.2% | $5.16B+53.1% | $3.37B+15.2% | $2.93B+15.4% | $2.54B+39.4% | $1.82B+12.7% | $1.62B+33.8% | $1.21B−11.3% | $1.36B+35.2% | $1.01B+137.2% | $424.3M+208.1% | $137.7M+999%+ | $7.1M+595.2% | $1.0M |
| Cash & Equivalents | $86.81B+10.2% | $78.78B+7.3% | $73.39B+36.2% | $53.89B+48.8% | $36.22B−14.0% | $42.12B+16.7% | $36.09B+13.7% | $31.75B+54.7% | $20.52B+6.1% | $19.33B+21.7% | $15.89B+9.2% | $14.56B+68.1% | $8.66B+7.1% | $8.08B+53.4% | $5.27B+39.5% | $3.78B+9.7% | $3.44B+24.4% | $2.77B+9.1% | $2.54B+148.4% | $1.02B+0.9% | $1.01B−43.1% | $1.78B+27.5% | $1.39B+88.9% | $738.3M+36.6% | $540.3M−34.3% | $822.4M+516.9% | $133.3M+86.2% | $71.6M+999%+ | $1.9M−70.7% | $6.4M+542.0% | $996,000 |
| Short-Term Investments | $36.22B+61.5% | $22.42B+67.4% | $13.39B−17.0% | $16.14B−73.0% | $59.83B+41.5% | $42.27B+123.3% | $18.93B+99.3% | $9.50B−9.2% | $10.46B+57.4% | $6.65B+69.7% | $3.92B+37.0% | $2.86B−24.5% | $3.79B+12.6% | $3.36B−21.9% | $4.31B−13.6% | $4.99B+70.6% | $2.92B+205.0% | $958.0M+67.2% | $573.0M−42.5% | $997.0M+1.0% | $987.0M | $0.00 | $0.00−100.0% | $562.7M+23.3% | $456.3M+64.1% | $278.1M−51.5% | $572.9M+89.8% | $301.9M+144.4% | $123.5M | $0.00 | $0.00 |
| Receivables | $67.73B+22.1% | $55.45B+6.1% | $52.25B+23.4% | $42.36B+28.8% | $32.89B+34.0% | $24.54B+17.9% | $20.82B+24.8% | $16.68B+26.7% | $13.16B+57.9% | $8.34B+47.5% | $5.65B+0.7% | $5.61B+17.7% | $4.77B+24.9% | $3.82B+48.5% | $2.57B+62.0% | $1.59B+60.6% | $988.0M+19.5% | $827.0M+17.3% | $705.0M+76.7% | $399.0M+45.6% | $274.0M+37.7% | $199.0M+51.4% | $131.5M+17.1% | $112.3M+66.1% | $67.6M | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 |
| Inventory | $38.33B+12.0% | $34.21B+2.7% | $33.32B−3.2% | $34.41B+5.4% | $32.64B+37.2% | $23.80B+16.1% | $20.50B+19.3% | $17.17B+7.0% | $16.05B+40.0% | $11.46B+11.9% | $10.24B+23.4% | $8.30B+12.0% | $7.41B+22.9% | $6.03B+20.8% | $4.99B+55.9% | $3.20B+47.5% | $2.17B+55.2% | $1.40B+16.6% | $1.20B+36.8% | $877.0M+54.9% | $566.0M+17.9% | $480.0M+63.3% | $293.9M+45.2% | $202.4M+40.8% | $143.7M−17.7% | $174.6M−20.9% | $220.6M+647.9% | $29.5M+228.8% | $9.0M+999%+ | $571,000+999%+ | $17,000 |
| Non-Current Assets | $588.96B+35.7% | $434.03B+22.1% | $355.50B+12.5% | $315.88B+22.0% | $258.97B+37.4% | $188.46B+46.2% | $128.91B+47.3% | $87.55B+23.1% | $71.11B+89.0% | $37.62B+29.5% | $29.04B+25.3% | $23.18B+49.2% | $15.53B+38.0% | $11.26B+44.6% | $7.79B+54.2% | $5.05B+25.7% | $4.02B+86.2% | $2.16B+63.3% | $1.32B+33.4% | $990.0M+29.1% | $767.0M+8.2% | $709.0M+107.8% | $341.2M−9.0% | $374.8M−12.8% | $429.6M−44.5% | $774.0M−47.0% | $1.46B+550.9% | $224.2M+999%+ | $12.1M+972.9% | $1.1M+999%+ | $57,000 |
| Net PP&E | $443.08B+34.8% | $328.81B+18.8% | $276.69B+9.4% | $252.84B+16.9% | $216.36B+43.6% | $150.67B+54.0% | $97.85B+58.3% | $61.80B+26.5% | $48.87B+67.8% | $29.11B+33.3% | $21.84B+28.7% | $16.97B+55.0% | $10.95B+55.1% | $7.06B+59.8% | $4.42B+83.0% | $2.41B+87.1% | $1.29B+51.1% | $854.0M+57.3% | $543.0M+18.8% | $457.0M+31.3% | $348.0M+41.5% | $246.0M+9.7% | $224.3M−6.3% | $239.4M−11.9% | $271.8M−25.8% | $366.4M+15.4% | $317.6M+966.1% | $29.8M+206.3% | $9.7M+887.4% | $985,000+999%+ | $57,000 |
| Long-Term Investments | $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 | $0.00 | $0.00 | $0.00−100.0% | $15.4M−45.5% | $28.4M−69.3% | $92.3M−75.2% | $371.5M+999%+ | $7.7M | $0.00 | $0.00 | $0.00 |
| Goodwill & Intangibles | $23.27B+0.9% | $23.07B+1.3% | $22.79B+12.3% | $20.29B+32.0% | $15.37B+2.4% | $15.02B+1.8% | $14.75B+1.4% | $14.55B+9.0% | $13.35B+252.8% | $3.78B+0.7% | $3.76B+13.3% | $3.32B+25.0% | $2.65B+4.0% | $2.55B+30.5% | $1.96B+44.9% | $1.35B+9.3% | $1.23B+181.7% | $438.0M+97.3% | $222.0M+13.8% | $195.0M+22.6% | $159.0M+14.4% | $139.0M+101.1% | $69.1M−6.9% | $74.3M−6.9% | $79.7M−68.8% | $255.3M−65.0% | $730.1M+308.7% | $178.6M | $0.00 | $0.00 | $0.00 |
| Deferred Tax Assets | $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 | $0.00−100.0% | $379.0M+73.9% | $218.0M−24.8% | $290.0M−16.9% | $349.0M−14.3% | $407.0M+46.9% | $277.0M−11.2% | $312.0M−14.0% | $363.0M+999%+ | $4.7M | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 |
| Total Liabilities | $406.98B+20.1% | $338.92B+4.0% | $325.98B+3.0% | $316.63B+12.2% | $282.30B+23.9% | $227.79B+39.6% | $163.19B+37.0% | $119.10B+15.0% | $103.60B+61.6% | $64.12B+24.8% | $51.36B+17.4% | $43.76B+43.9% | $30.41B+24.8% | $24.36B+39.1% | $17.52B+46.8% | $11.93B+39.5% | $8.56B+51.6% | $5.64B+6.7% | $5.29B+34.5% | $3.93B+14.0% | $3.45B−0.7% | $3.48B+8.7% | $3.20B−4.3% | $3.34B+8.6% | $3.08B−0.8% | $3.10B+41.0% | $2.20B+331.5% | $509.7M+320.4% | $121.3M+999%+ | $4.9M+999%+ | $107,000 |
| Current Liabilities | $218.00B+21.5% | $179.43B+8.8% | $164.92B+6.1% | $155.39B+9.2% | $142.27B+12.6% | $126.39B+43.9% | $87.81B+28.4% | $68.39B+18.2% | $57.88B+32.1% | $43.82B+29.3% | $33.89B+20.6% | $28.09B+22.2% | $22.98B+20.9% | $19.00B+27.6% | $14.90B+43.6% | $10.37B+40.8% | $7.36B+55.2% | $4.75B+27.8% | $3.71B+46.7% | $2.53B+33.3% | $1.90B+17.2% | $1.62B+29.3% | $1.25B+17.5% | $1.07B+15.7% | $921.4M−5.5% | $975.0M+33.0% | $733.2M+353.8% | $161.6M+262.7% | $44.6M+814.8% | $4.9M+999%+ | $107,000 |
| Payables | $121.91B+29.2% | $94.36B+11.0% | $84.98B+6.8% | $79.60B+1.2% | $78.66B+8.4% | $72.54B+53.7% | $47.18B+23.5% | $38.19B+10.3% | $34.62B+36.8% | $25.31B+24.1% | $20.40B+23.9% | $16.46B+8.8% | $15.13B+13.6% | $13.32B+19.5% | $11.14B+38.4% | $8.05B+43.6% | $5.61B+56.0% | $3.59B+28.6% | $2.79B+53.9% | $1.82B+32.9% | $1.37B+19.6% | $1.14B+39.3% | $819.8M+32.6% | $618.1M+39.0% | $444.7M−8.4% | $485.4M+4.8% | $463.0M+308.8% | $113.3M+243.0% | $33.0M+999%+ | $2.9M+999%+ | $99,000 |
| Deferred Revenue | $20.58B+13.7% | $18.10B+18.9% | $15.23B+15.1% | $13.23B+11.8% | $11.83B+21.8% | $9.71B+18.5% | $8.19B+25.3% | $6.54B+28.2% | $5.10B+6.9% | $4.77B+52.9% | $3.12B+71.0% | $1.82B+57.3% | $1.16B+46.3% | $792.0M | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 | $0.00 | $0.00−100.0% | $37.8M−21.0% | $47.9M−45.5% | $88.0M−32.9% | $131.1M+139.3% | $54.8M | $0.00 | $0.00 | $0.00 | $0.00 |
| Current Debt | $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 | $0.00−100.0% | $17.0M | $0.00 | $0.00 | $0.00−100.0% | $4.2M−68.3% | $13.3M−11.2% | $15.0M−9.6% | $16.6M+15.7% | $14.3M+999%+ | $808,000−46.1% | $1.5M | $0.00 | $0.00 |
| Non-Current Liabilities | $188.97B+18.5% | $159.49B−1.0% | $161.06B−0.1% | $161.24B+15.1% | $140.04B+38.1% | $101.41B+34.5% | $75.38B+48.6% | $50.71B+10.9% | $45.72B+125.2% | $20.30B+16.2% | $17.48B+11.5% | $15.68B+110.9% | $7.43B+38.6% | $5.36B+104.2% | $2.63B+68.2% | $1.56B+31.0% | $1.19B+33.0% | $896.0M−43.1% | $1.57B+12.4% | $1.40B−9.7% | $1.55B−16.4% | $1.85B−4.6% | $1.95B−14.6% | $2.28B+5.6% | $2.16B+1.3% | $2.13B+45.1% | $1.47B+321.2% | $348.1M+353.9% | $76.7M | $0.00 | $0.00 |
| Long-Term Debt | $152.99B+16.9% | $130.90B−3.5% | $135.61B−3.2% | $140.12B+20.4% | $116.39B+37.9% | $84.39B+33.5% | $63.20B+90.7% | $33.15B+34.0% | $24.74B+221.6% | $7.69B−6.5% | $8.23B−0.5% | $8.27B+159.0% | $3.19B+3.5% | $3.08B+999%+ | $255.0M | $0.00 | $0.00−100.0% | $409.0M−68.1% | $1.28B+2.8% | $1.25B−15.7% | $1.48B−20.2% | $1.85B−4.6% | $1.95B−14.6% | $2.28B+5.6% | $2.16B+1.3% | $2.13B+45.1% | $1.47B+321.2% | $348.1M+353.9% | $76.7M | $0.00 | $0.00 |
| Stockholders' Equity | $411.06B+43.7% | $285.97B+41.7% | $201.88B+38.2% | $146.04B+5.6% | $138.25B+48.0% | $93.40B+50.5% | $62.06B+42.5% | $43.55B+57.2% | $27.71B+43.7% | $19.29B+44.1% | $13.38B+24.6% | $10.74B+10.2% | $9.75B+19.0% | $8.19B+5.6% | $7.76B+13.0% | $6.86B+30.6% | $5.26B+96.7% | $2.67B+123.2% | $1.20B+177.7% | $431.0M+75.2% | $246.0M+208.4% | −$227.0M+78.1% | −$1.04B+23.4% | −$1.35B+6.1% | −$1.44B−48.9% | −$967.3M−463.2% | $266.3M+91.9% | $138.7M+385.3% | $28.6M+740.7% | $3.4M+248.1% | $977,000 |
| Retained Earnings | $250.54B+44.9% | $172.87B+52.1% | $113.62B+36.6% | $83.19B−3.2% | $85.92B+63.5% | $52.55B+68.3% | $31.22B+59.1% | $19.63B+127.2% | $8.64B+75.7% | $4.92B+93.2% | $2.54B+30.6% | $1.95B−11.0% | $2.19B+14.3% | $1.92B−2.0% | $1.96B+47.7% | $1.32B+669.8% | $172.0M+123.6% | −$730.0M+46.9% | −$1.38B+25.1% | −$1.84B+9.4% | −$2.03B+15.0% | −$2.39B+19.8% | −$2.97B+1.2% | −$3.01B−5.2% | −$2.86B−24.7% | −$2.29B−160.0% | −$882.0M−444.3% | −$162.1M−332.0% | −$37.5M−522.6% | −$6.0M−999%+ | −$248,000 |
| Accumulated Other Comprehensive Income | $28.23B+999%+ | −$34.0M+98.9% | −$3.04B+32.2% | −$4.49B−226.1% | −$1.38B−664.4% | −$180.0M+81.7% | −$986.0M+4.7% | −$1.03B−113.8% | −$484.0M+50.9% | −$985.0M−36.2% | −$723.0M−41.5% | −$511.0M−176.2% | −$185.0M+22.6% | −$239.0M+24.4% | −$316.0M−66.3% | −$190.0M−239.3% | −$56.0M+54.5% | −$123.0M−999%+ | $5.0M+600.0% | −$1.0M−116.7% | $6.0M−81.3% | $32.0M−15.2% | $37.7M+290.6% | $9.7M+126.8% | −$36.1M−999%+ | −$2.4M−39.0% | −$1.7M−194.6% | $1.8M | $0.00 | $0.00 | $0.00 |
| Total Debt | $152.99B+16.9% | $130.90B−3.5% | $135.61B−3.2% | $140.12B+20.4% | $116.39B+37.9% | $84.39B+33.5% | $63.20B+90.7% | $33.15B+34.0% | $24.74B+221.6% | $7.69B−6.5% | $8.23B−0.5% | $8.27B+159.0% | $3.19B+3.5% | $3.08B+999%+ | $255.0M | $0.00 | $0.00−100.0% | $409.0M−68.5% | $1.30B+4.2% | $1.25B−15.7% | $1.48B−20.2% | $1.85B−4.9% | $1.95B−14.9% | $2.29B+5.5% | $2.17B+1.3% | $2.14B+44.8% | $1.48B+324.3% | $348.9M+346.2% | $78.2M | $0.00 | $0.00 |
| Working Capital | $11.08B−3.1% | $11.44B+53.8% | $7.43B+186.4% | −$8.60B−144.5% | $19.31B+204.3% | $6.35B−25.5% | $8.52B+27.0% | $6.71B+190.0% | $2.31B+17.8% | $1.97B+8.1% | $1.82B−43.9% | $3.24B+96.8% | $1.65B−28.3% | $2.29B−11.6% | $2.59B−23.1% | $3.38B+38.7% | $2.43B+72.4% | $1.41B−2.7% | $1.45B+72.4% | $841.0M−18.3% | $1.03B+12.1% | $919.0M+61.8% | $568.1M+3.3% | $549.7M+91.9% | $286.5M−25.8% | $386.2M+41.3% | $273.2M+4.0% | $262.7M+182.0% | $93.2M+999%+ | $2.3M+146.7% | $920,000 |
| Book Value per Share | $38.58+41.3% | $27.31+39.4% | $19.59+36.7% | $14.33+4.9% | $13.67+46.4% | $9.34+48.6% | $6.28+40.5% | $4.47+54.9% | $2.89+41.9% | $2.03+41.9% | $1.43+23.3% | $1.16+9.0% | $1.07+17.9% | $0.90+5.6% | $0.86+11.5% | $0.77+26.5% | $0.61+92.1% | $0.32+117.9% | $0.15+178.8% | $0.05+73.3% | $0.03+207.1% | −$0.03+78.6% | −$0.13+26.8% | −$0.18+9.6% | −$0.20−43.5% | −$0.14−436.6% | $0.04+78.3% | $0.02+360.0% | $0.01+400.0% | $0.00 | $0.00 |
| Shares Outstanding | 10.69B+1.7% | 10.52B+1.8% | 10.33B+1.3% | 10.20B+0.6% | 10.14B+1.1% | 10.04B+1.2% | 9.92B+1.4% | 9.78B+1.5% | 9.64B+1.4% | 9.50B+1.4% | 9.38B+1.2% | 9.26B+1.2% | 9.15B+1.1% | 9.06B−0.4% | 9.10B+1.3% | 8.98B+3.7% | 8.66B+1.0% | 8.58B+3.3% | 8.30B+0.8% | 8.24B−0.6% | 8.29B+1.6% | 8.16B+1.7% | 8.02B+5.1% | 7.63B+2.6% | 7.44B+4.4% | 7.12B+4.5% | 6.82B+7.6% | 6.33B+10.6% | 5.73B | -- | -- |
31 periods · latest filed Dec 31, 2025