From 914782e65ea2bca83ee735cbededddff849eadd5 Mon Sep 17 00:00:00 2001 From: MuslemRahimi Date: Sat, 26 Oct 2024 18:38:47 +0200 Subject: [PATCH] update statistics page --- .../stocks/[tickerID]/statistics/+page.svelte | 118 +++++++++--------- 1 file changed, 58 insertions(+), 60 deletions(-) diff --git a/src/routes/stocks/[tickerID]/statistics/+page.svelte b/src/routes/stocks/[tickerID]/statistics/+page.svelte index bb4d3655..66f508e2 100644 --- a/src/routes/stocks/[tickerID]/statistics/+page.svelte +++ b/src/routes/stocks/[tickerID]/statistics/+page.svelte @@ -437,10 +437,7 @@ > Employee CountEmployee Count - In the last 12 months, {companyName} had revenue of $97.15 billion - and earned $12.74 billion in profits. Earnings per share was $3.65. + In the last 12 months, {companyName} had revenue of {abbreviateNumber( + rawData?.revenue, + true, + )} + and earned {abbreviateNumber(rawData?.netIncome, true)} in profits. + Earnings per share was ${rawData?.eps}.

Revenue{abbreviateNumber(rawData?.revenue)}{abbreviateNumber(rawData?.grossProfit)} - - {abbreviateNumber(rawData?.operatingIncome)}{abbreviateNumber(rawData?.netIncome)}{abbreviateNumber(rawData?.ebitda)}{abbreviateNumber(rawData?.ebit)}{rawData?.eps} @@ -656,9 +646,14 @@

- The company has $33.65 billion in cash and $12.78 billion in - debt, giving a net cash position of $20.87 billion or $6.53 per - share. + The company has {abbreviateNumber( + rawData?.cashAndCashEquivalents, + true, + )} in cash and {abbreviateNumber(rawData?.totalDebt, true)} in debt, + giving a net cash position of {abbreviateNumber( + rawData?.cashAndCashEquivalents - rawData?.totalDebt, + true, + )}.

Revenue 97.15B
17.71B
8.14B
Pretax Income - 7.61B
12.74B
13.24B
8.14B
$3.65
{abbreviateNumber(rawData?.cashAndCashEquivalents)}{abbreviateNumber(rawData?.totalDebt)}{abbreviateNumber( + rawData?.cashAndCashEquivalents - rawData?.totalDebt, + )}{abbreviateNumber(rawData?.retainedEarnings)} - - {abbreviateNumber(rawData?.totalAssets)}{abbreviateNumber(rawData?.workingCapital)} @@ -735,9 +725,17 @@

- In the last 12 months, operating cash flow was $14.48 billion - and capital expenditures -$10.87 billion, giving a free cash - flow of $3.61 billion. + In the last 12 months, operating cash flow was {abbreviateNumber( + rawData?.operatingCashFlow, + true, + )} + and capital expenditures {abbreviateNumber( + rawData?.capitalExpenditure, + true, + )}, giving a free cash flow of {abbreviateNumber( + rawData?.freeCashFlow, + true, + )}.

33.65B
12.78B
20.87B
Net Cash Per Share + >Retained Earnings $6.53
Equity (Book Value) + >Total Assets 70.71B
Book Value Per Share - 21.81
25.80B
{abbreviateNumber(rawData?.operatingCashFlow)}{abbreviateNumber(rawData?.capitalExpenditure)}{abbreviateNumber(rawData?.freeCashFlow)}{rawData?.freeCashFlowPerShare} @@ -788,8 +786,8 @@

- Gross margin is 18.23%, with operating and profit margins of - 8.38% and 13.07%. + Gross margin is {rawData?.grossProfitMargin}%, with operating + and profit margins of {rawData?.operatingProfitMargin}% and {rawData?.netProfitMargin}%.

14.48B
-10.87B
3.61B
$1.13
{rawData?.grossProfitMargin}%{rawData?.operatingProfitMargin}%{rawData?.pretaxProfitMargin}%{rawData?.netProfitMargin}%{rawData?.ebitdaMargin}%{rawData?.ebitMargin}%{rawData?.freeCashFlowMargin}%
18.23%
8.38%
8.66%
13.07%
13.63%
8.38%
1.80%