| Period End Date | 2021-06-30 | 2020-06-30 | 2019-06-30 | 2018-06-30 | 2017-06-30 |
| Total Revenue | 4,947,559,000.00 | 4,708,374,000.00 | 5,389,535,000.00 | 4,284,800,000.00 | 3,925,697,000.00 |
| Cost of Revenue, Total | 3,201,198,000.00 | 3,186,404,000.00 | 3,368,276,000.00 | 2,348,314,000.00 | 2,685,337,000.00 |
| Gross Profit | 1,746,361,000.00 | 1,521,970,000.00 | 2,021,259,000.00 | 1,936,486,000.00 | 1,240,360,000.00 |
| Operating Income | 349,408,000.00 | 321,892,000.00 | 1,407,991,000.00 | 1,139,421,000.00 | 391,752,000.00 |
| Total Premiums Earned | -- | -- | -- | -- | -- |
| Net Investment Income | -- | -- | -- | -- | -- |
| Updated at 22:47:53 | -- | -- | -- | -- | -- |
| 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 | 236,061,000.00 | 204,769,000.00 | 224,166,000.00 | 260,094,000.00 | 336,838,000.00 |
| Updated at 22:48:08 | -- | -- | -- | -- | -- |
| Accumulated Depreciation, Total | -2,354,441,000.00 | -2,718,834,000.00 | -2,525,563,000.00 | -- | -- |
| Net Income Before Extraordinary Items | 192,959,000.00 | 36,024,000.00 | 1,267,314,000.00 | 1,007,258,000.00 | 320,296,000.00 |
| Normalized Income Before Taxes | 271,886,000.00 | 202,813,000.00 | 1,353,074,000.00 | 1,095,900,000.00 | 362,083,000.00 |
| Net Income Before Extraordinary Items | 192,959,000.00 | 36,024,000.00 | 1,267,314,000.00 | 1,007,258,000.00 | 320,296,000.00 |
| Net Income Incl Extra Before Distributions | 192,959,000.00 | 36,024,000.00 | 1,267,314,000.00 | 1,105,441,000.00 | 320,296,000.00 |
| Income Avail to Cmn Shareholders Excl Extra | 192,959,000.00 | 36,024,000.00 | 1,267,314,000.00 | 1,007,258,000.00 | 320,296,000.00 |
| Income Avail to Cmn Shareholders Incl Extra | 192,959,000.00 | 36,024,000.00 | 1,267,314,000.00 | 1,105,441,000.00 | 320,296,000.00 |
| Net Income Before Taxes | 263,346,000.00 | 206,589,000.00 | 1,368,179,000.00 | 1,095,900,000.00 | 362,083,000.00 |
| Provision for Income Taxes | 70,387,000.00 | 162,476,000.00 | 77,527,000.00 | 49,983,000.00 | 41,787,000.00 |
| Net Income After Taxes | 192,959,000.00 | 44,113,000.00 | 1,290,652,000.00 | 1,045,917,000.00 | 320,296,000.00 |
| Updated at 22:48:24 | -- | -- | -- | -- | -- |
| Basic Normalized EPS | 2.22 | 0.37 | 13.97 | 11.23 | 3.58 |
| Cash and Short Term Investments | 3,795,397,000.00 | 2,115,872,000.00 | 2,053,102,000.00 | 2,123,337,000.00 | 874,942,000.00 |
| Total Assets, Reported | 9,594,025,000.00 | 9,090,379,000.00 | 9,450,647,000.00 | 9,056,986,000.00 | 7,381,600,000.00 |
| Total Long Term Debt | 88,489,000.00 | 177,428,000.00 | 55,404,000.00 | 31,115,000.00 | 19,397,000.00 |
| Total Debt | 1,848,550,000.00 | 1,644,756,000.00 | 1,152,079,000.00 | 1,056,614,000.00 | 1,133,110,000.00 |
| Total Liabilities | 2,478,193,000.00 | 2,182,237,000.00 | 2,356,088,000.00 | 2,179,768,000.00 | 1,689,087,000.00 |
| Total Equity | 7,115,832,000.00 | 6,908,142,000.00 | 7,094,559,000.00 | 6,877,218,000.00 | 5,692,513,000.00 |
| Total Liabilities And Shareholders' Equity | 9,594,025,000.00 | 9,090,379,000.00 | 9,450,647,000.00 | 9,056,986,000.00 | 7,381,600,000.00 |
| Total Common Shares Outstanding | 89,836,920.00 | 89,836,920.00 | 89,722,920.00 | 89,702,920.00 | 89,635,920.00 |
| Updated at 22:48:41 | -- | -- | -- | -- | -- |
| Cash from Operating Activities, Cumulative | 1,605,174,000.00 | -544,383,000.00 | -244,549,000.00 | 1,433,598,000.00 | 86,095,000.00 |
| Net Cash - Beginning Balance | 2,081,859,000.00 | 2,053,102,000.00 | 2,235,272,000.00 | 1,070,904,000.00 | 108,473,000.00 |
| Net Cash - Ending Balance | 3,758,821,000.00 | 2,115,872,000.00 | 2,053,102,000.00 | 2,235,272,000.00 | 874,942,000.00 |
| Net Change in Cash, Cumulative | 1,676,962,000.00 | 62,770,000.00 | -182,170,000.00 | 1,164,368,000.00 | 766,469,000.00 |
| Net Income/Starting Line, Cumulative | 263,346,000.00 | 206,589,000.00 | 1,315,748,000.00 | 1,195,988,000.00 | 362,083,000.00 |
| Capital Expenditures, Cumulative | -319,899,000.00 | -104,841,000.00 | -294,240,000.00 | -169,511,000.00 | -68,022,000.00 |
| Capital Expenditures - Actual | -- | -- | -- | -- | -- |