| Period End Date | 2021-06-30 | 2020-06-30 | 2019-06-30 | 2018-06-30 | 2017-06-30 |
| Total Revenue | 17,374,800,000.00 | 12,882,572,000.00 | 13,973,634,000.00 | 11,095,688,000.00 | 8,313,438,000.00 |
| Cost of Revenue, Total | 13,927,861,000.00 | 11,561,798,000.00 | 12,378,649,000.00 | 10,181,955,000.00 | 7,784,454,000.00 |
| Gross Profit | 3,446,939,000.00 | 1,320,774,000.00 | 1,594,985,000.00 | 913,733,000.00 | 528,984,000.00 |
| Operating Income | 3,251,265,000.00 | 1,042,123,000.00 | 1,254,442,000.00 | 576,632,000.00 | 559,251,000.00 |
| 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 | 464,109,000.00 | 499,630,000.00 | 500,542,000.00 | 406,544,000.00 | 199,078,000.00 |
| Updated at 22:48:12 | -- | -- | -- | -- | -- |
| Accumulated Depreciation, Total | -- | -- | -- | -- | -- |
| Net Income Before Extraordinary Items | 2,558,521,000.00 | 719,549,000.00 | 858,755,000.00 | 565,461,000.00 | 505,806,000.00 |
| Normalized Income Before Taxes | 3,094,339,000.00 | 836,403,000.00 | 1,117,849,000.00 | 615,990,000.00 | 533,617,000.00 |
| Net Income Before Extraordinary Items | 2,558,521,000.00 | 719,549,000.00 | 858,755,000.00 | 565,461,000.00 | 505,806,000.00 |
| Net Income Incl Extra Before Distributions | 2,558,521,000.00 | 719,549,000.00 | 858,755,000.00 | 565,461,000.00 | 505,806,000.00 |
| Income Avail to Cmn Shareholders Excl Extra | 2,558,521,000.00 | 719,549,000.00 | 858,755,000.00 | 565,461,000.00 | 505,806,000.00 |
| Income Avail to Cmn Shareholders Incl Extra | 2,558,521,000.00 | 719,549,000.00 | 858,755,000.00 | 565,461,000.00 | 505,806,000.00 |
| Net Income Before Taxes | 3,086,083,000.00 | 851,201,000.00 | 1,070,072,000.00 | 426,006,000.00 | 483,208,000.00 |
| Provision for Income Taxes | 527,562,000.00 | 131,652,000.00 | 211,317,000.00 | -139,455,000.00 | -22,598,000.00 |
| Net Income After Taxes | 2,558,521,000.00 | 719,549,000.00 | 858,755,000.00 | 565,461,000.00 | 505,806,000.00 |
| Updated at 22:48:28 | -- | -- | -- | -- | -- |
| Basic Normalized EPS | 57.81 | 15.93 | 20.22 | 15.53 | 12.14 |
| Cash and Short Term Investments | 3,494,244,000.00 | 1,525,736,000.00 | 568,280,000.00 | 1,117,211,000.00 | 1,950,796,000.00 |
| Total Assets, Reported | 15,730,546,000.00 | 13,011,465,000.00 | 11,788,505,000.00 | 11,190,743,000.00 | 9,567,695,000.00 |
| Total Long Term Debt | 2,596,566,000.00 | 2,533,850,000.00 | 2,474,995,000.00 | 2,885,828,000.00 | 2,308,673,000.00 |
| Total Debt | 3,826,521,000.00 | 3,869,019,000.00 | 3,521,565,000.00 | 3,919,652,000.00 | 2,752,179,000.00 |
| Total Liabilities | 6,462,544,000.00 | 6,394,852,000.00 | 5,720,527,000.00 | 5,570,544,000.00 | 4,287,459,000.00 |
| Total Equity | 9,268,002,000.00 | 6,616,613,000.00 | 6,067,978,000.00 | 5,620,199,000.00 | 5,280,236,000.00 |
| Total Liabilities And Shareholders' Equity | 15,730,546,000.00 | 13,011,465,000.00 | 11,788,505,000.00 | 11,190,743,000.00 | 9,567,695,000.00 |
| Total Common Shares Outstanding | 44,372,290.00 | 44,372,290.00 | 44,371,910.00 | 44,371,910.00 | 44,371,810.00 |
| Updated at 22:48:48 | -- | -- | -- | -- | -- |
| Cash from Operating Activities, Cumulative | 3,419,448,000.00 | 618,688,000.00 | 1,185,908,000.00 | -788,753,000.00 | -89,486,000.00 |
| Net Cash - Beginning Balance | 207,139,000.00 | 433,938,000.00 | 64,827,000.00 | 41,676,000.00 | 222,084,000.00 |
| Net Cash - Ending Balance | 282,975,000.00 | 207,139,000.00 | 433,938,000.00 | 64,827,000.00 | 41,676,000.00 |
| Net Change in Cash, Cumulative | 75,836,000.00 | -226,799,000.00 | 369,111,000.00 | 23,151,000.00 | -180,408,000.00 |
| Net Income/Starting Line, Cumulative | 3,086,083,000.00 | 851,201,000.00 | 1,070,072,000.00 | 426,006,000.00 | 483,208,000.00 |
| Capital Expenditures, Cumulative | -1,044,886,000.00 | -183,214,000.00 | -392,528,000.00 | -3,363,939,000.00 | -390,489,000.00 |
| Capital Expenditures - Actual | -- | -- | -- | -- | -- |