| Period End Date | 2021-06-30 | 2020-06-30 | 2019-06-30 | 2018-06-30 | 2017-06-30 |
| Total Revenue | 12,106,985,000.00 | 8,714,089,000.00 | 11,355,918,000.00 | 11,484,392,000.00 | 11,222,789,000.00 |
| Cost of Revenue, Total | 8,930,275,000.00 | 8,627,816,000.00 | 8,715,542,000.00 | 8,771,957,000.00 | 7,368,843,000.00 |
| Gross Profit | 3,176,710,000.00 | 86,273,000.00 | 2,640,376,000.00 | 2,712,435,000.00 | 3,853,946,000.00 |
| Operating Income | 2,565,337,000.00 | -319,432,000.00 | 1,943,047,000.00 | 2,186,777,000.00 | 3,289,856,000.00 |
| Total Premiums Earned | -- | -- | -- | -- | -- |
| Net Investment Income | -- | -- | -- | -- | -- |
| Updated at 22:47:38 | -- | -- | -- | -- | -- |
| Net Interest Income | -- | -- | -- | -- | -- |
| Loan Loss Provision | -- | -- | -- | -- | -- |
| Net Interest Income After Loan Loss Provision | -- | -- | -- | -- | -- |
| Non-Interest Income, Bank | -- | -- | -- | -- | -- |
| Total Premiums Earned | -- | -- | -- | -- | -- |
| Net Investment Income | -- | -- | -- | -- | -- |
| Realized and Unrealized Gains (Losses) | -- | -- | -- | -- | -- |
| Other Revenue, Total | -- | -- | -- | -- | -- |
| Losses, Benefits, and Adjustments, Total | -- | -- | -- | -- | -- |
| Depreciation / Depletion, Cumulative | 1,066,497,000.00 | 944,307,000.00 | 990,751,000.00 | 950,872,000.00 | 712,824,000.00 |
| Updated at 22:48:05 | -- | -- | -- | -- | -- |
| Accumulated Depreciation, Total | -- | -- | -2,145,383,000.00 | -1,186,883,000.00 | -237,483,000.00 |
| Net Income Before Extraordinary Items | 1,551,383,000.00 | 131,317,000.00 | 736,412,000.00 | 1,509,654,000.00 | 2,283,696,000.00 |
| Normalized Income Before Taxes | 2,288,098,000.00 | -561,689,000.00 | 1,406,234,000.00 | 1,784,232,000.00 | 3,043,762,000.00 |
| Net Income Before Extraordinary Items | 1,551,383,000.00 | 131,317,000.00 | 736,412,000.00 | 1,509,654,000.00 | 2,283,696,000.00 |
| Net Income Incl Extra Before Distributions | 1,551,383,000.00 | 131,317,000.00 | 736,412,000.00 | 1,509,654,000.00 | 2,283,696,000.00 |
| Income Avail to Cmn Shareholders Excl Extra | 1,551,383,000.00 | 131,317,000.00 | 736,412,000.00 | 1,509,654,000.00 | 2,283,696,000.00 |
| Income Avail to Cmn Shareholders Incl Extra | 1,551,383,000.00 | 131,317,000.00 | 736,412,000.00 | 1,509,654,000.00 | 2,283,696,000.00 |
| Net Income Before Taxes | 2,288,098,000.00 | -561,689,000.00 | 1,379,909,000.00 | 1,783,549,000.00 | 3,044,676,000.00 |
| Provision for Income Taxes | 736,715,000.00 | -693,006,000.00 | 643,497,000.00 | 273,895,000.00 | 760,980,000.00 |
| Net Income After Taxes | 1,551,383,000.00 | 131,317,000.00 | 736,412,000.00 | 1,509,654,000.00 | 2,283,696,000.00 |
| Updated at 22:48:28 | -- | -- | -- | -- | -- |
| Basic Normalized EPS | 3.88 | 0.33 | 1.87 | 3.77 | 5.70 |
| Cash and Short Term Investments | 1,295,034,000.00 | 431,400,000.00 | 431,760,000.00 | 107,869,000.00 | 123,571,000.00 |
| Total Assets, Reported | 26,653,801,000.00 | 25,510,082,000.00 | 23,262,396,000.00 | 22,843,005,000.00 | 21,615,066,000.00 |
| Total Long Term Debt | 1,464,641,000.00 | 2,488,998,000.00 | 2,909,384,000.00 | 2,994,763,000.00 | 3,675,833,000.00 |
| Total Debt | 2,611,872,000.00 | 3,294,391,000.00 | 4,009,133,000.00 | 4,338,387,000.00 | 4,506,208,000.00 |
| Total Liabilities | 10,896,509,000.00 | 11,003,968,000.00 | 10,780,950,000.00 | 10,352,448,000.00 | 10,234,020,000.00 |
| Total Equity | 15,757,292,000.00 | 14,506,114,000.00 | 12,481,446,000.00 | 12,490,557,000.00 | 11,381,046,000.00 |
| Total Liabilities And Shareholders' Equity | 26,653,801,000.00 | 25,510,082,000.00 | 23,262,396,000.00 | 22,843,005,000.00 | 21,615,066,000.00 |
| Total Common Shares Outstanding | 400,273,960.00 | 400,273,960.00 | 400,273,960.00 | 400,273,960.00 | 400,273,960.00 |
| Updated at 22:48:44 | -- | -- | -- | -- | -- |
| Cash from Operating Activities, Cumulative | 2,275,569,000.00 | 1,152,998,000.00 | 1,327,101,000.00 | 2,490,330,000.00 | 3,491,105,000.00 |
| Net Cash - Beginning Balance | 431,400,000.00 | 431,760,000.00 | 107,869,000.00 | 123,571,000.00 | 489,096,000.00 |
| Net Cash - Ending Balance | 1,295,034,000.00 | 431,400,000.00 | 431,760,000.00 | 107,869,000.00 | 123,571,000.00 |
| Net Change in Cash, Cumulative | 863,634,000.00 | -360,000.00 | 323,891,000.00 | -15,702,000.00 | -365,525,000.00 |
| Net Income/Starting Line, Cumulative | 2,288,098,000.00 | -561,689,000.00 | 1,379,909,000.00 | 1,783,549,000.00 | 3,044,677,000.00 |
| Capital Expenditures, Cumulative | -448,550,000.00 | -56,569,000.00 | -222,094,000.00 | -1,354,946,000.00 | -3,819,550,000.00 |
| Capital Expenditures - Actual | 436,905,000.00 | 56,569,000.00 | 222,094,000.00 | 1,351,746,000.00 | 3,819,550,000.00 |