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NTES

NetEase, Inc.

Price Chart
Latest Quote

$130.33

+0.57 (+0.44%)
Current Price
Previous Close $129.76
Open $130.18
Day High $130.65
Day Low $129.16
Volume 773,263
Fetched: 2026-07-17T11:35:01
Stock Information
Note: Financial values converted from CNY to USD
Quarterly Dividend / Yield $3.02 / 2.30%
Shares Outstanding 640.25M
Quarterly Dividend Yield 2.30%
Quarterly Dividend $3.02
Total Debt $1.62B
Cash Equivalents $25.22B
Revenue $16.88B
Net Income $5.04B
Sector Communication Services
Industry Electronic Gaming & Multimedia
Market Cap $84.06B
P/E Ratio 16.77
EPS (TTM) $7.83
Exchange NMS
🌐 Visit Website
📊 Comprehensive Analysis
Company Data
Enterprise Value$264.56B
Sales$16.88B
Income$5.04B
Book/sh$7.61
Cash/sh$266.93
Employees25K
Financial Ratios
Quick Ratio3.09
Current Ratio3.29
Debt/Eq6.47
EPS Growth TTM3.60%
Returns & Margins
ROA11.00%
ROE22.13%
Gross Margin65.69%
Operating Margin41.37%
Profit Margin29.84%
Ownership
Insider Ownership1.38%
Institutional Ownership9.87%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E12.40
PEG1.45
P/S0.73
P/B17.26
Analyst Data
Recommendationstrong_buy
Target Price$161.41
Technical Indicators
SMA20$127.04
SMA50$122.56
SMA200$126.91
RSI61.58
ATR3.5714
Shares Float1.75B
Short Float0.74%
Short Ratio2.68
Volatility0.79
Rel Volume0.97
Performance History
Week+2.55%
Month+7.78%
Quarter+11.56%
6 Months-4.04%
YTD-9.61%
Year+1.42%
3 Years+37.92%
5 Years+35.01%
10 Years+294.63%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-07-17 $131.29 924,600
2026-07-16 $130.33 779,300
2026-07-15 $129.76 916,300
2026-07-14 $128.39 1,881,500
2026-07-13 $131.43 982,800
2026-07-10 $128.03 1,045,300
2026-07-09 $133.91 1,033,800
2026-07-08 $133.28 1,202,600
2026-07-07 $130.82 523,900
2026-07-06 $130.99 1,221,000
2026-07-02 $127.24 1,040,300
2026-07-01 $129.70 930,900
2026-06-30 $128.14 833,900
2026-06-29 $129.16 1,329,700
2026-06-26 $123.71 1,625,300
2026-06-25 $114.82 546,900
2026-06-24 $117.64 426,800
2026-06-23 $119.25 499,700
2026-06-22 $121.57 640,400
2026-06-18 $121.33 689,900
About NetEase, Inc.

NetEase, Inc. engages in online games, music streaming, online intelligent learning services, and internet content services businesses in China and internationally. The company operates through Games and Related Value-Added Services; Youdao; NetEase Cloud Music; and Innovative Businesses and Others segments. It develops and operates mobile and PC games; and offers games licensed from other developers. The company also provides live streaming service, and other related or ancillary value-added services related to games, such as the sale of game-themed merchandise. In addition, it offers digital content services with interactive learning features, including Youdao Lingshi and Youdao Literature; STEAM courses consisting computer coding courses and other STEAM courses; and adult courses, such as China University massive open online course. Further, the company provides Youdao Dictionary, an online language tool; Confucius, a large language model for the education sector; Hi Echo, an AI-driven virtual English-speaking tutor; Mr. P AI Tutor, a conversation-based tool; Youdao Desktop Translation, a desktop dictionary tool; U-Dictionary, an online dictionary and translation app; iRecord, an audio transcription tool; LectMate, an interpretation software for study-abroad lecture scenarios; iArch, an AI home design software; Baby Genius, an AI baby generator; and One Translate Translator, a translation tool for travelers. It also offers online marketing services consisting of performance-based advertising services, and global marketing and promotion services through banners, text links, videos, logos, buttons, and rich media. Additionally, the company develops and offers smart devices, including Youdao Dictionary Pen, Youdao Listening Pod, and Youdao Smart Learning Pad. NetEase, Inc. was formerly known as NetEase.com, Inc. and changed its name to NetEase, Inc. in March 2012. The company was founded in 1997 and is headquartered in Hangzhou, the People's Republic of China.

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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $5,921,468,229 $5,813,151,156 $5,948,088,084 $6,437,557,708
Cost Of Revenue $5,921,468,229 $5,813,151,156 $5,948,088,084 $6,437,557,708
Total Revenue $16,579,931,118 $15,500,779,141 $15,231,810,496 $14,205,393,142
Operating Revenue $16,579,931,118 $15,500,779,141 $15,231,810,496 $14,205,393,142
Expenses
Total Expenses $11,304,589,326 $11,145,644,830 $11,152,677,026 $11,315,818,110
Other Income Expense $153,412,691 $178,546,729 $327,896,059 $363,909,104
Other Non Operating Income Expenses $159,952,755 $88,641,676 $155,109,315 $124,661,787
Net Non Operating Interest Income Expense $582,002,716 $724,420,396 $606,577,200 $316,458,822
Operating Expense $5,383,121,097 $5,332,493,674 $5,204,588,942 $4,878,260,402
Selling And Marketing Expense $2,152,203,465 $2,082,712,522 $2,056,479,689 $1,973,048,601
General And Administrative Expense $622,442,442 $669,909,065 $721,323,780 $691,280,351
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $4,969,865,908 $4,371,860,453 $4,330,485,338 $2,901,961,937
Net Interest Income $582,002,716 $724,420,396 $606,577,200 $316,458,822
Interest Income $582,002,716 $724,420,396 $606,577,200 $316,458,822
Normalized Income $4,975,439,680 $4,295,702,293 $4,181,543,165 $2,712,238,814
Net Income From Continuing And Discontinued Operation $4,969,865,908 $4,371,860,453 $4,330,485,338 $2,993,949,754
Total Operating Income As Reported $5,275,341,792 $4,355,134,311 $4,079,133,469 $2,889,575,032
Net Income Common Stockholders $4,969,865,908 $4,371,860,453 $4,330,485,338 $2,993,949,754
Net Income $4,969,865,908 $4,371,860,453 $4,330,485,338 $2,993,949,754
Net Income Including Noncontrolling Interests $5,122,670,169 $4,454,113,693 $4,321,751,365 $2,921,181,123
Net Income Continuous Operations $5,122,670,169 $4,454,113,693 $4,321,751,365 $2,829,193,306
Pretax Income $6,010,757,198 $5,258,101,437 $5,013,606,728 $3,569,942,959
Interest Income Non Operating $582,002,716 $724,420,396 $606,577,200 $316,458,822
Operating Income $5,275,341,792 $4,355,134,311 $4,079,133,469 $2,889,575,032
Gross Profit $10,658,462,889 $9,687,627,986 $9,283,722,412 $7,767,835,434
Net Income Discontinuous Operations - $0 $0 $91,987,817
Per Share
Diluted EPS $7.71 $6.76 $6.66 $4.54
Basic EPS $7.79 $6.83 $6.73 $4.59
Other
Tax Effect Of Unusual Items $-966,292 $13,746,894 $23,844,571 $49,524,195
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $5,612,731,293 $4,621,173,575 $4,356,119,310 $3,071,091,922
Total Unusual Items $-6,540,064 $89,905,054 $172,786,744 $239,247,317
Total Unusual Items Excluding Goodwill $-6,540,064 $89,905,054 $172,786,744 $239,247,317
Reconciled Depreciation $330,849,437 $355,944,317 $449,772,585 $420,764,207
EBITDA (Bullshit earnings) $5,606,191,229 $4,711,078,628 $4,528,906,054 $3,310,339,239
EBIT $5,275,341,792 $4,355,134,311 $4,079,133,469 $2,889,575,032
Diluted Average Shares $94,751,114 $95,117,025 $95,747,890 $97,042,919
Basic Average Shares $93,817,197 $94,229,363 $94,701,091 $96,084,300
Diluted NI Availto Com Stockholders $4,969,865,908 $4,371,860,453 $4,330,485,338 $2,993,949,754
Minority Interests $-152,804,261 $-82,253,240 $8,733,973 $72,768,631
Tax Provision $888,087,029 $803,987,744 $691,855,363 $740,749,653
Gain On Sale Of Security $-6,540,064 $89,905,054 $172,786,744 $239,247,317
Research And Development $2,608,475,190 $2,579,872,088 $2,426,785,473 $2,213,931,450
Selling General And Administration $2,774,645,908 $2,752,621,587 $2,777,803,470 $2,664,328,952
Other Gand A $622,442,442 $669,909,065 $721,323,780 $691,280,351
Fetched: 2026-07-08
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $22,589,151,712 $19,320,897,594 $17,145,938,161 $14,180,303,267
Total Assets $32,595,073,377 $28,852,413,894 $27,370,488,261 $25,432,583,415
Total Non Current Assets $6,006,210,244 $6,281,101,840 $6,364,350,384 $6,058,942,218
Other Non Current Assets $36,241,666 $61,339,343 $65,847,580 $83,910,706
Non Current Prepaid Assets $19,900,633 $21,052,129 $26,409,782 $25,667,537
Non Current Deferred Assets $416,820,972 $163,911,594 $229,664,517 $217,990,710
Non Current Deferred Taxes Assets $416,820,972 $163,911,594 $229,664,517 $217,990,710
Non Current Note Receivables $2,363,792 $2,510,415 $5,106,803 $5,774,854
Non Current Accounts Receivable $76,100,934 $183,060,560 $226,453,223 $255,998,043
Investmentin Financial Assets $2,465,099,008 $2,429,786,400 $2,381,719,887 $2,360,241,430
Goodwill And Other Intangible Assets $1,008,447,119 $1,095,362,727 $1,150,486,610 $1,237,459,926
Other Intangible Assets $735,320,749 $822,240,332 $877,349,346 $918,526,019
Current Assets $26,588,863,132 $22,571,312,054 $21,006,137,877 $19,373,641,197
Other Current Assets $29,157,652 $21,208,616 $19,471,508 $22,842,528
Restricted Cash $635,861,601 $454,357,520 $408,839,549 $397,334,742
Prepaid Assets $825,416,737 $558,764,775 $461,164,922 $570,588,444
Inventory $101,456,380 $84,139,033 $102,367,773 $146,275,679
Receivables $1,058,624,071 $1,199,221,910 $1,359,374,874 $945,110,248
Other Receivables $74,852,866 $77,882,941 $75,426,847 $5,647,956
Accrued Interest Receivable $186,309,394 $284,844,488 $334,458,647 $202,248,537
Loans Receivable $11,667,919 $1,942,617 $4,029,060 $6,376,217
Accounts Receivable $785,793,893 $834,551,864 $945,460,320 $736,485,494
Cash Cash Equivalents And Short Term Investments $23,938,346,691 $20,253,620,201 $18,654,919,251 $17,291,489,555
Cash And Cash Equivalents $6,943,706,954 $7,564,267,579 $3,154,603,093 $3,663,972,908
Assets Held For Sale Current - - - $0
Debt
Total Debt $990,702,413 $1,886,860,959 $3,015,425,413 $4,190,016,457
Long Term Debt And Capital Lease Obligation $34,169,944 $123,746,419 $144,831,524 $637,077,577
Current Debt And Capital Lease Obligation $956,532,469 $1,763,114,539 $2,870,593,889 $3,552,938,880
Current Debt $939,866,243 $1,737,851,543 $2,832,393,265 $3,514,803,030
Long Term Debt - $63,006,525 $63,006,525 $538,056,534
Net Debt - - - $388,886,656
Liabilities
Total Liabilities Net Minority Interest $8,289,692,848 $7,875,489,904 $8,514,905,363 $9,405,041,885
Total Non Current Liabilities Net Minority Interest $580,325,818 $563,787,961 $588,616,534 $1,039,122,973
Other Non Current Liabilities $157,918,425 $120,131,468 $105,298,774 $89,053,871
Non Current Deferred Liabilities $388,237,449 $319,910,073 $338,486,235 $312,991,526
Non Current Deferred Taxes Liabilities $388,237,449 $319,910,073 $338,486,235 $312,991,526
Current Liabilities $7,709,367,030 $7,311,701,943 $7,926,288,830 $8,365,918,912
Current Deferred Liabilities $3,898,520,318 $2,891,843,430 $2,500,646,715 $2,327,718,500
Payables And Accrued Expenses $2,854,314,243 $2,656,743,973 $2,555,048,226 $2,485,261,532
Payables $1,483,189,747 $1,350,701,700 $1,374,546,598 $1,426,304,614
Other Payable $818,185,510 $838,441,219 $866,287,943 $790,311,551
Total Tax Payable $570,322,431 $406,186,632 $378,562,052 $414,123,007
Income Tax Payable $410,848,559 $256,168,368 $263,568,301 $311,503,796
Accounts Payable $94,681,806 $106,073,848 $129,696,603 $221,870,055
Equity
Common Stock Equity $23,597,598,830 $20,416,260,321 $18,296,424,771 $15,417,763,193
Total Equity Gross Minority Interest $24,305,380,529 $20,976,923,990 $18,855,582,898 $16,027,541,529
Stockholders Equity $23,597,598,830 $20,416,260,321 $18,296,424,771 $15,417,763,193
Gains Losses Not Affecting Retained Earnings $326,753,101 $435,996,288 $317,713,515 $251,799,983
Other Equity Adjustments $326,753,101 $435,996,288 $317,713,515 $251,799,983
Retained Earnings $22,045,813,928 $19,186,710,419 $16,519,393,788 $13,407,334,236
Long Term Equity Investment $664,904,869 $943,068,116 $899,356,738 $771,282,122
Other
Treasury Shares Number $4,041,474 $6,376,806 $16,265,955 $14,375,599
Ordinary Shares Number $469,918,805 $466,363,293 $472,667,542 $474,557,818
Share Issued $473,960,280 $472,740,099 $488,933,497 $488,933,417
Tangible Book Value $22,589,151,712 $19,320,897,594 $17,145,938,161 $14,180,303,267
Invested Capital $24,537,465,073 $22,217,118,389 $21,191,824,562 $19,470,622,757
Working Capital $18,879,496,103 $15,259,610,112 $13,079,849,047 $11,007,722,285
Capital Lease Obligations $50,836,170 $86,002,891 $120,025,623 $137,156,893
Total Capitalization $23,597,598,830 $20,479,266,846 $18,359,431,296 $15,955,819,727
Minority Interest $707,781,699 $560,663,669 $559,158,127 $609,778,336
Treasury Stock $223,552,989 $658,490,966 $1,868,769,568 $1,606,199,810
Additional Paid In Capital $1,448,197,474 $1,451,657,263 $3,327,688,090 $3,364,429,837
Capital Stock $387,316 $387,316 $398,946 $398,946
Common Stock $387,316 $387,316 $398,946 $398,946
Long Term Capital Lease Obligation $34,169,944 $60,739,894 $81,824,999 $99,021,043
Current Deferred Revenue $3,898,520,318 $2,891,843,430 $2,500,646,715 $2,327,718,500
Current Capital Lease Obligation $16,666,226 $25,262,997 $38,200,624 $38,135,850
Line Of Credit $939,866,243 $1,737,851,543 $2,832,393,265 $3,514,803,030
Current Accrued Expenses $1,371,124,496 $1,306,042,273 $1,180,501,627 $1,058,956,919
Investments And Advances $3,158,869,459 $3,419,946,924 $3,361,331,455 $3,167,748,584
Other Investments $28,865,582 $47,092,408 $80,254,830 $36,225,031
Available For Sale Securities $2,465,099,008 $2,429,786,400 $2,381,719,887 $2,356,050,142
Goodwill $273,126,370 $273,122,395 $273,137,263 $318,933,907
Net PPE $1,287,465,670 $1,333,918,145 $1,299,050,414 $1,064,391,858
Accumulated Depreciation $-1,135,548,217 $-1,081,955,051 $-1,045,403,207 $-923,080,186
Gross PPE $2,423,013,887 $2,415,873,196 $2,344,453,621 $1,987,472,044
Leases $21,267,354 $29,034,729 $45,806,065 $44,806,345
Construction In Progress $145,020,104 $249,675,118 $541,135,484 $233,687,100
Machinery Furniture Equipment $1,045,331,220 $1,043,411,863 $1,049,015,950 $1,007,799,383
Buildings And Improvements $1,211,395,209 $1,093,751,486 $708,496,121 $701,179,217
Properties $0 $0 $0 $0
Other Short Term Investments $16,994,639,737 $12,689,352,622 $15,500,316,158 $13,627,516,647
Held To Maturity Securities - - $8,005,712 $4,191,288
Fetched: 2026-07-08
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $7,167,386,251 $5,516,116,439 $4,571,744,020 $3,689,992,577
Operating Activities
Operating Cash Flow $7,469,534,837 $5,840,924,421 $5,201,206,734 $4,079,146,571
Cash Flow From Continuing Operating Activities $7,469,534,837 $5,840,924,421 $5,201,206,734 $4,079,146,571
Operating Gains Losses $258,422,045 $-123,771,446 $-60,669,232 $-684,823,314
Cash From Discontinued Operating Activities - - - -
Investing Activities
Capital Expenditure $-302,148,586 $-324,807,982 $-629,462,714 $-389,153,994
Investing Cash Flow $-4,884,709,931 $2,637,519,046 $-2,509,006,768 $-1,084,916,231
Cash Flow From Continuing Investing Activities $-4,884,709,931 $2,637,519,046 $-2,509,006,768 $-1,084,916,231
Net Other Investing Changes $-1,006,153,694 $-119,961,732 $-324,105,336 $-47,664,329
Cash From Discontinued Investing Activities - - - -
Financing Activities
Repurchase Of Capital Stock $-94,118,129 $-1,299,903,658 $-770,553,715 $-1,226,004,287
Financing Cash Flow $-2,967,773,008 $-4,024,158,124 $-3,160,219,546 $-1,507,117,674
Cash Flow From Continuing Financing Activities $-2,967,773,008 $-4,024,158,124 $-3,160,219,546 $-1,507,117,674
Net Other Financing Charges $15,281,839 $20,021,789 $12,683,685 $-4,551,959
Cash Dividends Paid $-2,035,313,617 $-1,643,677,767 $-1,179,747,016 $-989,808,097
Common Stock Dividend Paid $-2,035,313,617 $-1,643,677,767 $-1,179,747,016 $-989,808,097
Net Common Stock Issuance $-94,118,129 $-1,299,903,658 $-770,553,715 $-1,226,004,287
Other
Repayment Of Debt $-1,706,931,168 $-2,169,816,710 $-1,210,009,351 $-40,283,092
Issuance Of Debt $817,441,792 $2,049,210,334 $1,997,550,509 $941,084,868
Interest Paid Supplemental Data $57,115,816 $72,078,498 $114,806,938 $86,617,061
Income Tax Paid Supplemental Data $946,165,468 $763,971,989 $720,716,087 $749,663,814
End Cash Position $7,580,141,654 $8,019,391,781 $3,563,523,609 $4,061,347,398
Beginning Cash Position $8,019,391,781 $3,563,523,609 $4,061,347,398 $2,557,982,024
Effect Of Exchange Rate Changes $-56,302,025 $1,582,829 $-29,804,209 $16,252,706
Changes In Cash $-382,948,102 $4,454,285,343 $-468,019,579 $1,487,112,667
Common Stock Payments $-94,118,129 $-1,299,903,658 $-770,553,715 $-1,226,004,287
Net Issuance Payments Of Debt $-853,623,101 $-1,100,598,488 $-1,222,602,500 $713,246,670
Net Short Term Debt Issuance $35,866,274 $-979,992,112 $-2,010,143,659 $-187,555,106
Net Long Term Debt Issuance $-889,489,376 $-120,606,376 $787,541,159 $900,801,776
Long Term Debt Payments $-1,706,931,168 $-2,169,816,710 $-1,210,009,351 $-40,283,092
Long Term Debt Issuance $817,441,792 $2,049,210,334 $1,997,550,509 $941,084,868
Net Investment Purchase And Sale $-3,991,327,372 $2,740,207,889 $-1,513,970,270 $-905,223,746
Sale Of Investment $24,363,843,928 $26,826,672,331 $17,193,906,337 $15,192,122,584
Purchase Of Investment $-28,355,171,301 $-24,086,464,441 $-18,707,876,607 $-16,097,346,330
Net Business Purchase And Sale $408,164,727 $339,941,431 $-42,985,031 $251,021,376
Sale Of Business $447,744,291 $415,519,907 $22,459,334 $354,939,739
Purchase Of Business $-39,579,564 $-75,578,476 $-65,444,365 $-103,918,362
Net Intangibles Purchase And Sale $-145,311,879 $-137,053,108 $-290,645,104 $-79,968,796
Purchase Of Intangibles $-145,311,879 $-137,053,108 $-290,645,104 $-79,968,796
Net PPE Purchase And Sale $-150,081,712 $-185,615,434 $-337,301,027 $-303,080,736
Sale Of PPE $6,754,995 $2,139,440 $1,516,584 $6,104,462
Purchase Of PPE $-156,836,707 $-187,754,874 $-338,817,610 $-309,185,198
Change In Working Capital $1,283,912,107 $537,564,403 $55,334,691 $514,856,427
Change In Other Working Capital $800,108,104 $297,692,610 $171,040,509 $56,735,124
Change In Payables And Accrued Expense $447,420,865 $235,372,242 $44,174,950 $272,953,395
Change In Accrued Expense $275,212,519 $225,360,022 $171,748,896 $279,641,997
Change In Payable $172,208,346 $10,012,219 $-127,573,946 $-6,688,602
Change In Account Payable $-10,542,626 $13,417,245 $-82,353,492 $65,902,049
Change In Tax Payable $163,823,414 $27,644,748 $-35,958,282 $-135,084,288
Change In Income Tax Payable $163,823,414 $27,644,748 $-35,958,282 $-135,084,288
Change In Prepaid Assets $14,825,480 $-119,181,800 $12,889,341 $107,627,088
Change In Inventory $-17,317,200 $18,221,968 $43,687,382 $-4,064,980
Change In Receivables $38,874,857 $105,459,383 $-216,457,491 $81,605,799
Changes In Account Receivables $38,874,857 $105,459,383 $-216,457,491 $81,605,799
Stock Based Compensation $536,981,588 $571,617,313 $477,382,297 $467,276,156
Unrealized Gain Loss On Investment Securities $-333,857,137 $-202,050,389 $-139,781,693 $406,555,988
Provisionand Write Offof Assets $54,102,522 $10,147,949 $9,001,458 $9,037,819
Asset Impairment Charge $401,077,032 $190,143,691 $69,066,088 $44,200,418
Deferred Tax $-184,622,927 $47,214,889 $19,349,175 $72,085,564
Deferred Income Tax $-184,622,927 $47,214,889 $19,349,175 $72,085,564
Depreciation Amortization Depletion $330,849,437 $355,944,317 $449,772,585 $420,764,207
Depreciation And Amortization $330,849,437 $355,944,317 $449,772,585 $420,764,207
Earnings Losses From Equity Investments $226,371,814 $22,901,560 $-69,770,942 $-185,479,115
Gain Loss On Investment Securities $-64,907,923 $-40,102,904 $-9,389,805 $-263,709,920
Net Foreign Currency Exchange Gain Loss $101,416,633 $-105,869,665 $17,655,936 $-236,167,189
Gain Loss On Sale Of PPE $-4,458,479 $-700,437 $835,578 $532,909
Net Income From Continuing Operations $5,122,670,169 $4,454,113,693 $4,321,751,365 $2,829,193,306
Short Term Debt Payments - - - $-187,555,106
Short Term Debt Issuance - - - -
Fetched: 2026-07-08