NASDAQ · CIK 0000789019
Research support only. Not investment advice.
Summaries and charts are starting points—SEC documents are authoritative for numbers and legal text.
Latest identified 10-K, 10-Q, 8-K, and DEF 14A (when present in submissions). With live ingestion, use SEC viewer if the primary HTML link does not load.
0001193125-26-323660
0001193125-26-323632
0001193125-26-191507
0001193125-25-245150
0000950170-25-100235
The “proxy” filing explains who runs the company and how leaders are paid. Read it for context—not as a scorecard on the stock.
Cards use two columns on large screens so shorter cards fill space naturally. Very long segment lists scroll only when needed—verify numbers in the official filing.
What the company does (Business)
10-KLatest 10-K on file with the SEC is dated 2026-07-29. In the annual report, look for “Item 1. Business”—that’s management’s plain-English overview of products, customers, and competition. Open the filing below to read it at the source.
Risks to know about
10-KLatest 10-K on file with the SEC is dated 2026-07-29. “Risk factors” list what could hurt the business (regulation, competition, supply chain, etc.). Skim for risks that are new or longer than last year.
Pay & board (proxy statement)
DEF 14ALatest DEF 14A on file with the SEC is dated 2025-10-21. The proxy explains how executives are paid and how the board oversees the company. Use it to see incentives—not to predict the stock price.
How management explains results (MD&A)
10-QLatest 10-Q on file with the SEC is dated 2026-04-29. Management’s discussion (MD&A) connects the numbers to the story—why sales or margins moved. Start here when you want “why” behind the quarter.
Segment results (operating income by business)
10-QLatest 10-Q on file with the SEC is dated 2026-04-29. Operating income and revenue by segment (e.g., AWS, North America, International, Advertising) appear in the segment reporting footnotes and tables—usually in the 10-Q/10-K financial statements section. The SEC company-facts API snapshot often omits these dimensional rows; read the linked filing for authoritative segment figures.
Figures from SEC XBRL tags. Dates are period ends—newer rows are more recent.
Revenue
Top-line sales for the latest tagged period (often quarter or TTM depending on filing).
$331.84B
Gross profit
Revenue minus cost of revenue—before operating expenses.
$225.47B
Operating income
Profit from core operations after operating expenses (roughly ‘operating margin’ context).
$155.24B
Net income
Bottom-line profit after tax and other items for the tagged period.
$133.75B
EPS (diluted)
Earnings per share using diluted share count—includes options/convertibles that could add shares. Compare to prior periods in the 10-Q/10-K EPS roll-forward.
17.95
Total assets
Balance sheet scale at the period end date shown.
$758.38B
Price and common technicals—descriptive context only, not predictions or advice.
Last close
Most recent session closing price in this snapshot.
$451.10
SMA 20
~1 month trend smoothing vs. daily noise.
$393.15
SMA 50
~2.5 month trend; often compared to price for medium-term posture.
$398.46
SMA 200
~10 month trend; common long-term reference (not a forecast).
$433.83
RSI (14)
Momentum 0–100 over 14 sessions; descriptive only—not a timing signal by itself.
71.81
52-week range
Low / high closes over the trailing 52 weeks in this feed.
$352.83 / $542.07
Daily closes over ~5 years, indexed to 100 at the first session both this stock and S&P 500 have data (apples-to-apples comparison).
Last 5 years (from latest period). Time axis is proportional—wide gaps mean no tagged value for that quarter in company facts yet. Revenue, net income, and operating expenses when tagged.
Grounded Q&A over the structured workspace context. No buy/sell guidance. History is kept for this tab until you clear it (included in PDF export).
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