재무 모델

25개 공개 · C15 검증 25개 · IPO 전 0개 · 최근 공개: RBLX (2026-07-28)

RBLX Roblox Corporation(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 7Q + 5A
세그먼트
1
KPI
DAU YoY growth × ABPDAU growth → bookings; GAAP revenue via deferred-recognition ratio
투자 논리
Age-check funnel cut FY26 bookings guide 14pp; DAU 132M + ABPDAU drive +10% FY26E / +14% FY27E bookings, FCF ~$1.2B — Hold
업데이트
2026-07-28 · 68 KB
모델 미리보기
RBLX 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY2026EFY2027EFY2028E
Total Revenue (as filed: Revenue)$2,799.3$3,602.0$4,890.6$5,991.2$6,557.1$7,422.9
Less: Cost of Revenue($649.1)($801.2)($1,072.3)($1,226.6)($1,337.6)($1,514.3)
Less: Developer Exchange Fees(740.8)(922.8)(1,503.1)(1,772.9)(1,979.4)(2,278.8)
Less: Infrastructure and Trust & Safety(878.4)(915.4)(1,153.5)(1,338.3)(1,445.5)(1,610.8)
Less: Research and Development(1,253.6)(1,444.2)(1,567.7)(1,731.8)(1,841.9)(2,019.0)
Less: General and Administrative(390.1)(407.5)(580.1)(800.1)(824.3)(898.2)
Less: Sales and Marketing(146.5)(174.2)(246.2)(268.7)(295.1)(326.6)
Total Cost and Expenses($4,058.3)($4,665.3)($6,122.9)($7,138.4)($7,723.8)($8,647.7)
Income (Loss) from Operations($1,259.1)($1,063.3)($1,232.3)($1,147.2)($1,166.7)($1,224.8)
Interest Income$141.8$179.5$201.6$231.2$260.9$293.7
Interest Expense (2030 0% converts)($40.7)($41.2)($41.5)($40.0)($40.0)($40.0)
Other Income (Expense), Net(0.5)(11.5)4.22.00.00.0
Income (Loss) Before Income Taxes($1,158.5)($936.5)($1,068.0)($954.0)($945.8)($971.1)
Less: Provision for (Benefit from) Income Taxes($0.5)($4.1)($3.6)($5.5)($6.6)($8.9)
Consolidated Net Income (Loss)($1,158.9)($940.6)($1,071.6)($959.6)($952.3)($980.0)
Less: Net Loss Attributable to NCI (Luobu JV)(7.0)(5.2)(6.6)(8.0)(8.0)(8.0)
Net Income (Loss) Attributable to Common Stockholders($1,151.9)($935.4)($1,065.1)($951.6)($944.3)($972.0)
Weighted Avg Shares — Basic (M)616.445647.482689.612722.444750.653779.178
Weighted Avg Shares — Diluted (M; = basic, net losses)616.445647.482689.612722.444750.653779.178
EPS — Basic($1.87)($1.44)($1.54)($1.32)($1.26)($1.25)
EPS — Diluted($1.87)($1.44)($1.54)($1.32)($1.26)($1.25)
Ratios & Assumptions
YoY Total Revenue Growth25.8%28.7%35.8%22.5%9.4%13.2%
Operating Margin(45.0%)(29.5%)(25.2%)(19.1%)(17.8%)(16.5%)
Net Margin(41.2%)(26.0%)(21.8%)(15.9%)(14.4%)(13.1%)
Effective Tax Rate(0.0%)(0.4%)(0.3%)(0.6%)(0.7%)(0.9%)

전체 모델에는 과거 21개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

RBLX 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

HOOD Robinhood Markets, Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 7Q + 5A
세그먼트
3
KPI
QoQ growth x revenue component (5 transaction products + 8 NII lines + Gold/Proxy/Other split)
투자 논리
Crypto is the binding constraint; event contracts + NII compound: FY26E $5.0B (+11%), EPS ~$1.88 mid-Street
업데이트
2026-07-19 · 98 KB
모델 미리보기
HOOD 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Options$505.0$760.0$1,123.0$1,230.4$1,412.9$1,610.7
Cryptocurrencies135.0626.0901.0574.7645.9775.1
Equities104.0177.0302.0403.0468.0538.2
Event Contracts$625.2$955.6$1,290.1
Other Transaction-Based41.084.0302.0203.5254.2292.4
Transaction-Based Revenues$785.0$1,647.0$2,628.0$3,036.9$3,736.6$4,506.3
Margin Interest$243.0$319.0$573.0$854.4$1,024.6$1,209.0
Securities Lending, Net79.094.0190.021.128.632.9
Interest on Segregated Cash, Securities and Deposits210.0261.0319.0224.5223.9230.6
Interest on Corporate Cash and Investments (from Q2'22)$288.0$256.0$167.0$141.2$153.2$160.8
Cash Sweep$123.0$179.0$229.0$177.7$185.4$196.5
Credit Card, Net$9.0$24.0$64.0$150.6$209.5$272.3
Other Interest Income4.04.04.04.0
Less: Interest Expense on Corporate Credit Facilities(23.0)(24.0)(32.0)(33.9)(37.1)(39.3)
Net Interest Revenues$929.0$1,109.0$1,514.0$1,539.7$1,792.0$2,066.8
Other Revenues$151.0$195.0$331.0$404.3$468.9$532.7
Total Net Revenues$1,865.0$2,951.0$4,473.0$4,980.8$5,997.4$7,105.9
Less: Brokerage and Transaction($146.0)($164.0)($211.0)($271.2)($320.5)($362.4)
Less: Technology and Development(805.0)(818.0)(897.0)(1,016.5)(1,143.8)(1,243.5)
Less: Operations(116.0)(112.0)(130.0)(159.2)(182.5)(206.1)
Less: Provision for Credit Losses(43.0)(76.0)(114.0)(162.5)(194.5)(220.3)
Less: Marketing(122.0)(272.0)(399.0)(550.6)(620.9)(696.4)
Less: General and Administrative(1,169.0)(455.0)(628.0)(767.2)(852.7)(945.1)
Total Operating Expenses($2,401.0)($1,897.0)($2,379.0)($2,927.2)($3,315.0)($3,673.7)
Less: Change in FV of Convertible Notes and Warrant Liability (2021 only)$0.0$0.0$0.0$0.0$0.0$0.0
Other Income, Net3.010.014.00.00.00.0
Income (Loss) Before Income Taxes($533.0)$1,064.0$2,108.0$2,053.6$2,682.4$3,432.1
Less: Provision for (Benefit from) Income Taxes($8.0)$347.0($225.0)($327.8)($456.0)($617.8)
Net Income (Loss), incl. NCI($541.0)$1,411.0$1,883.0$1,725.8$2,226.4$2,814.3
Less: NI Attributable to NCI0.00.00.04.00.00.0
Net Income (Loss) Attributable to Robinhood($541.0)$1,411.0$1,883.0$1,729.8$2,226.4$2,814.3
EPS — Basic (Q4s from year-end 8-K)($0.61)$1.60$2.12$1.92$2.44$3.04
EPS — Diluted($0.61)$1.56$2.05$1.88$2.39$2.99
Shares — Basic (M, weighted avg)890.9881.1888.5903.2914.1925.1
Shares — Diluted (M, weighted avg)890.9906.2918.8919.2930.2941.4
Ratios & Assumptions
YoY Transaction-Based Revenue Growth(3.6%)109.8%59.6%15.6%23.0%20.6%
YoY Net Interest Revenue Growth119.1%19.4%36.5%1.7%16.4%15.3%
YoY Other Revenue Growth25.8%29.1%69.7%22.1%16.0%13.6%
YoY Total Net Revenue Growth37.3%58.2%51.6%11.4%20.4%18.5%
Net Margin(29.0%)47.8%42.1%34.7%37.1%39.6%

전체 모델에는 과거 21개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

HOOD 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

PYPL PayPal Holdings, Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 11Q + 5A
세그먼트
2
KPI
TPV YoY growth × transaction take rate + OVAS growth; expense/loss rates on TPV; composite customer-money cash bridge
투자 논리
TPV +9%→+5.5% vs take-rate erosion −4bp/yr; Lores $1.5B+ cost program holds margin; buybacks drive EPS — Hold, stabilization not re-rating
업데이트
2026-07-19 · 81 KB
모델 미리보기
PYPL 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
2023202420252026E2027E2028E
Transaction Revenues (revenue note)$26,857$28,842$29,798$31,645$33,333$34,778
Revenues from Other Value Added Services (revenue note)2,9142,9553,3743,5893,7513,897
Total Net Revenues$29,771$31,797$33,172$35,234$37,084$38,675
Less: Transaction Expense($14,385)($15,697)($15,987)($17,757)($19,436)($21,019)
Less: Transaction and Credit Losses(1,682)(1,442)(1,720)(1,797)(2,001)(2,135)
Less: Customer Support and Operations(1,919)(1,768)(1,704)(1,669)(1,622)(1,614)
Less: Sales and Marketing(1,809)(2,001)(2,283)(2,436)(2,588)(2,661)
Less: Technology and Development(2,973)(2,979)(3,103)(3,315)(3,406)(3,456)
Less: General and Administrative(2,059)(2,147)(1,979)(2,063)(2,104)(2,117)
Less: Restructuring and Other84(438)(331)(284)(140)(60)
Total Operating Expenses($24,743)($26,472)($27,107)($29,322)($31,298)($33,061)
Operating Income$5,028$5,325$6,065$5,912$5,786$5,614
Transaction Margin Dollars13,70414,65815,46515,68015,64715,521
Other Income (Expense), Net$383$4$227$59$59$59
Income Before Income Taxes$5,411$5,329$6,292$5,971$5,845$5,673
Less: Income Tax Expense (FY21 = +70 benefit)($1,165)($1,182)($1,059)($1,187)($1,157)($1,123)
Net Income (Loss)$4,246$4,147$5,233$4,785$4,688$4,550
EPS — Basic$3.85$4.03$5.46$5.38$5.64$5.81
EPS — Diluted$3.84$3.99$5.41$5.34$5.60$5.77
Shares — Basic (M)1,1031,029959889831783
Shares — Diluted (M)1,1071,039968895837789
Ratios & Assumptions
YoY Transaction Revenues Growth6.6%7.4%3.3%6.2%5.3%4.3%
YoY Total Revenue Growth8.2%6.8%4.3%6.2%5.3%4.3%
Operating Margin16.9%16.7%18.3%16.8%15.6%14.5%
Net Margin14.3%13.0%15.8%13.6%12.6%11.8%
Effective Tax Rate21.5%22.2%16.8%19.9%19.8%19.8%

전체 모델에는 과거 21개 분기와 추정 11개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

PYPL 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

ASML ASML 홀딩 (ASML Holding N.V.)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
22Q + 5A · 10Q + 5A
세그먼트
2
KPI
Litho units x ASP-change + IBM (service) growth; EUR currency of record
투자 논리
EUV monopoly, supply-constrained: FY26E +35% (EUR 44B guide); Q4-26E EUR 14.4B execution + 2027 CMD reset are the swings
업데이트
2026-07-18 · 74 KB
모델 미리보기
ASML 손익계산서 미리보기. EUR in millions, except per share (EPS in EUR). 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY2026EFY2027EFY2028E
Net System Sales€21,938.6€21,768.7€24,474.3€32,793.0€41,272.8€50,614.0
Net Service and Field Option Sales (Installed Base Mgmt)5,619.96,494.28,193.011,199.612,846.213,888.2
Total Net Sales€27,558.5€28,262.9€32,667.3€43,992.5€54,119.0€64,502.2
Less: Total Cost of Sales(€13,422.4)(€13,770.9)(€15,409.3)(€19,794.2)(€23,874.3)(€28,087.8)
Gross Profit€14,136.1€14,492.0€17,258.0€24,198.3€30,244.6€36,414.4
Other Income (4Q21 divestiture gain)€0.0€0.0€0.0€0.0€0.0€0.0
Less: Research and Development Costs(3,980.6)(4,303.7)(4,698.8)(4,897.5)(5,286.5)(5,820.1)
Less: Selling, General and Administrative Costs(1,113.2)(1,165.7)(1,257.8)(1,412.1)(1,713.4)(1,854.6)
Income from Operations€9,042.3€9,022.6€11,301.4€17,888.7€23,244.7€28,739.7
Interest and Other, Net€41.2€19.8€104.7€140.9€140.0€140.0
Income Before Income Taxes€9,083.5€9,042.4€11,406.1€18,029.6€23,384.7€28,879.7
Less: Benefit from (Provision for) Income Taxes(€1,435.8)(€1,680.6)(€2,013.4)(€3,107.5)(€4,022.2)(€4,967.3)
Income After Income Taxes€7,647.7€7,361.8€9,392.7€14,922.1€19,362.6€23,912.4
Profit Related to Equity Method Investments€191.3€209.8€216.7€285.7€280.0€280.0
Net Income€7,839.0€7,571.6€9,609.4€15,207.8€19,642.6€24,192.4
Shares — Weighted Avg Basic (M)393.8393.3388.5384.4382.2380.2
Shares — Weighted Avg Diluted (M)394.1393.6388.9384.7382.6380.6
EPS — Basic€19.91€19.25€24.73€39.57€51.39€63.62
EPS — Diluted€19.89€19.24€24.71€39.53€51.33€63.56
Ratios & Assumptions
YoY Total Net Sales Growth30.2%2.6%15.6%34.7%23.0%19.2%
YoY Net System Sales Growth42.2%(0.8%)12.4%34.0%25.9%22.6%
YoY Installed Base Mgmt Sales Growth(2.1%)15.6%26.2%36.7%14.7%8.1%

전체 모델에는 과거 22개 분기와 추정 10개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

ASML 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

DIS The Walt Disney Company(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
22Q + 5A · 6Q + 5A
세그먼트
3
KPI
YoY growth x segment (Entertainment / Sports / Experiences) + segment-OI-margin + services-mix drivers
투자 논리
Streaming margin inflection: Ent OI margin 11% FY25 to ~14.5% FY30E; parks/cruise capex cycle; FY26 = 53 wks
업데이트
2026-07-16 · 77 KB
모델 미리보기
DIS 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Revenues — Services$79,562.0$81,841.0$84,588.0$91,541.3$95,542.2$101,004.8
Revenues — Products9,336.09,520.09,837.010,530.111,030.511,598.1
Total Revenues$88,898.0$91,361.0$94,425.0$102,071.4$106,572.7$112,602.9
Less: Cost of Services (exclusive of D&A)($53,139.0)($52,509.0)($52,677.0)($56,786.3)($58,741.4)($61,612.9)
Less: Cost of Products (exclusive of D&A)(6,062.0)(6,189.0)(6,089.0)(6,312.7)(6,618.3)(6,935.7)
Less: Selling, General, Administrative and Other(15,336.0)(15,759.0)(16,501.0)(17,236.3)(17,918.2)(19,255.1)
Less: Depreciation and Amortization(5,369.0)(4,990.0)(5,326.0)(5,594.8)(6,041.4)(6,159.4)
Total Costs and Expenses($79,906.0)($79,447.0)($80,593.0)($85,930.0)($89,319.3)($93,963.1)
Less: Restructuring and Impairment Charges($3,892.0)($3,595.0)($819.0)($239.0)$0.0$0.0
Other Income (Expense), Net96.0(65.0)0.00.00.00.0
Interest Expense, Net(1,209.0)(1,260.0)(1,305.0)(1,035.0)(1,040.0)(1,020.0)
Equity in the Income of Investees782.0575.0295.0305.0330.0340.0
Income Before Income Taxes$4,769.0$7,569.0$12,003.0$15,172.3$16,543.4$17,959.8
Less: Income Taxes($1,379.0)($1,796.0)$1,428.0($4,098.5)($4,053.1)($4,400.1)
Net Income from Continuing Operations$3,390.0$5,773.0$13,431.0$11,073.8$12,490.3$13,559.6
Income (Loss) from Discontinued Operations, Net0.00.00.00.00.00.0
Net Income (consolidated)$3,390.0$5,773.0$13,431.0$11,073.8$12,490.3$13,559.6
Less: NI Attributable to Noncontrolling Interests(1,036.0)(801.0)(1,027.0)(790.0)(999.2)(1,084.8)
Net Income Attributable to Disney$2,354.0$4,972.0$12,404.0$10,283.8$11,491.1$12,474.9
EPS — Basic$1.29$2.72$6.88$5.82$6.64$7.36
EPS — Diluted$1.29$2.72$6.85$5.80$6.62$7.33
Shares — Basic (M, weighted avg)1,828.01,825.01,804.01,765.71,730.11,695.5
Shares — Diluted (M, weighted avg)1,830.01,831.01,811.01,771.91,736.01,701.3
Ratios & Assumptions
YoY Services Revenue Growth7.2%2.9%3.4%8.2%4.4%5.7%
YoY Products Revenue Growth9.6%2.0%3.3%7.0%4.8%5.1%
YoY Total Revenue Growth7.5%2.8%3.4%8.1%4.4%5.7%
YoY Entertainment Revenue Growth (recast basis from FY24)2.7%1.4%3.1%10.3%5.0%6.0%
YoY Sports Revenue Growth (Star India JV drag FY25)(0.9%)3.0%0.3%3.5%1.1%3.5%

전체 모델에는 과거 22개 분기와 추정 6개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

DIS 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

PLTR Palantir Technologies Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 7Q + 5A
세그먼트
2
KPI
YoY growth x segment (Government / Commercial) + contribution-bridge margins (SBC = tying residual) + US-geo driver
투자 논리
US-led AIP compounding: NDR 150 + Gov +84%; FY26E $7.9B (+76%) decel to +21% FY30E at ~55% GAAP OM
업데이트
2026-07-16 · 76 KB
모델 미리보기
PLTR 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Government Segment Revenue$1,222.2$1,569.6$2,402.3$4,000.0$5,724.3$7,441.6
Commercial Segment Revenue1,002.81,295.92,073.23,864.95,820.27,915.4
Total Revenue$2,225.0$2,865.5$4,475.4$7,864.9$11,544.5$15,357.0
Less: Cost of Revenue($431.1)($566.0)($789.2)($1,038.0)($1,482.3)($1,935.0)
Gross Profit$1,793.9$2,299.5$3,686.3$6,826.9$10,062.1$13,422.1
Less: Sales and Marketing($745.0)($887.8)($1,056.9)($1,500.9)($2,057.3)($2,580.0)
Less: Research and Development(404.6)(507.9)(557.7)(775.2)(1,101.4)(1,428.2)
Less: General and Administrative(524.3)(593.5)(657.7)(848.0)(1,133.8)(1,351.4)
Total Operating Expenses($1,673.9)($1,989.1)($2,272.3)($3,124.0)($4,292.5)($5,359.6)
Income (Loss) from Operations$120.0$310.4$1,414.0$3,702.8$5,769.7$8,062.4
Interest Income$132.6$196.8$229.2$301.4$432.4$540.9
Less: Interest Expense(3.5)0.00.00.0
Other Income (Expense), Net(12.0)(18.0)14.268.20.00.0
Income (Loss) Before Provision for Income Taxes$237.1$489.2$1,657.4$4,072.4$6,202.1$8,603.4
Less: Provision for Income Taxes($19.7)($21.3)($22.7)($75.9)($124.0)($344.1)
Net Income (Loss)$217.4$467.9$1,634.6$3,996.5$6,078.1$8,259.2
Less: Net Income Attributable to NCI (Japan JV, from Q4'22)($7.5)($5.7)($9.6)($21.8)($31.0)($43.0)
Net Income (Loss) Attributable to Common Stockholders$209.8$462.2$1,625.0$3,974.7$6,047.1$8,216.2
EPS — Basic (Q4s from year-end 8-K)$0.10$0.21$0.69$1.65$2.47$3.31
EPS — Diluted$0.09$0.19$0.63$1.54$2.30$3.08
Shares — Basic (M, weighted avg)2,147.42,250.22,369.62,408.32,447.02,483.7
Shares — Diluted (M, weighted avg)2,297.92,450.82,565.22,586.42,628.02,667.4
Ratios & Assumptions
YoY Government Revenue Growth14.0%28.4%53.1%66.5%43.1%30.0%
YoY Commercial Revenue Growth20.2%29.2%60.0%86.4%50.6%36.0%
YoY US Revenue Growth18.7%37.9%74.7%88.8%51.8%35.0%
YoY International Revenue Growth13.7%14.0%19.7%38.2%27.0%23.8%
YoY Total Revenue Growth16.7%28.8%56.2%75.7%46.8%33.0%

전체 모델에는 과거 21개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

PLTR 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

AMZN Amazon.com, Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 7Q + 5A
세그먼트
3
KPI
YoY growth x segment (NA / International / AWS) + disaggregation, mix and segment-margin drivers
투자 논리
AWS re-acceleration (+28% and rising) funds the ~$200B AI capex cycle; retail margin grind does the rest
업데이트
2026-07-13 · 74 KB
모델 미리보기
AMZN 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
North America Segment Net Sales$352,828.0$387,497.0$426,305.0$477,936.4$527,336.9$577,433.9
International Segment Net Sales131,200.0142,906.0161,894.0189,347.9210,822.4229,796.4
AWS Segment Net Sales90,757.0107,556.0128,725.0165,532.0207,609.6253,283.7
Total Net Sales$574,785.0$637,959.0$716,924.0$832,816.4$945,768.9$1,060,514.1
Less: Cost of Sales($304,739.0)($326,288.0)($356,414.0)($406,915.8)($457,139.2)($511,167.8)
Less: Fulfillment(90,619.0)(98,505.0)(109,074.0)(123,830.5)(138,238.2)(152,714.0)
Less: Technology and Infrastructure(85,622.0)(88,544.0)(108,521.0)(132,770.9)(150,395.2)(163,319.2)
Less: Marketing(44,370.0)(43,907.0)(47,129.0)(52,020.0)(57,121.7)(62,570.3)
Less: General and Administrative(11,816.0)(11,359.0)(11,172.0)(11,816.0)(13,115.6)(14,316.9)
Other Operating Income (Expense), Net(767.0)(763.0)(4,639.0)(1,797.0)(1,800.0)(1,800.0)
Total Operating Expenses($537,933.0)($569,366.0)($636,949.0)($729,150.2)($817,809.9)($905,888.2)
Operating Income$36,852.0$68,593.0$79,975.0$103,666.1$127,959.0$154,625.8
Interest Income$2,949.0$4,677.0$4,381.0$4,660.0$5,050.0$5,600.0
Less: Interest Expense(3,182.0)(2,406.0)(2,274.0)(4,250.0)(5,000.0)(5,200.0)
Other Income (Expense), Net938.0(2,250.0)15,229.016,547.01,200.01,200.0
Total Non-Operating Income (Expense)$705.0$21.0$17,336.0$16,957.0$1,250.0$1,600.0
Income Before Income Taxes$37,557.0$68,614.0$97,311.0$120,623.1$129,209.0$156,225.8
Less: Provision for (Benefit from) Income Taxes($7,120.0)($9,265.0)($19,087.0)($23,698.1)($22,611.6)($28,120.6)
Equity-Method Investment Activity, Net of Tax(12.0)(101.0)(554.0)(94.0)(100.0)(100.0)
Net Income (Loss)$30,425.0$59,248.0$77,670.0$96,831.0$106,497.5$128,005.2
EPS — Basic$2.95$5.66$7.29$8.99$9.83$11.75
EPS — Diluted$2.90$5.53$7.17$8.88$9.71$11.61
Shares — Basic10,304.010,473.010,656.010,767.210,831.910,896.9
Shares — Diluted10,492.010,721.010,827.010,898.510,964.011,029.8
Ratios & Assumptions
YoY Total Net Sales Growth11.8%11.0%12.4%16.2%13.6%12.1%
Operating Margin6.4%10.8%11.2%12.4%13.5%14.6%
North America Segment Operating Margin4.2%6.4%6.9%8.1%8.5%9.3%
International Segment Operating Margin(2.0%)2.7%2.9%3.2%3.8%3.1%
AWS Segment Operating Margin27.1%37.0%35.4%35.6%36.3%37.0%

전체 모델에는 과거 21개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

AMZN 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

AVGO Broadcom Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
22Q + 5A · 6Q + 5A
세그먼트
2
KPI
YoY growth x segment (Semiconductor Solutions / Infrastructure Software) + COGS-mix + AOA-runoff drivers
투자 논리
XPU custom-AI ramp: FY26E AI ~$55B, FY27E ~$103B at the >$100B floor; revenue $105B to $161B FY27E
업데이트
2026-07-13 · 70 KB
모델 미리보기
AVGO 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Net Revenue — Semiconductor Solutions$28,182.0$30,096.0$36,858.0$75,911.9$128,812.3$175,184.7
Net Revenue — Infrastructure Software (VMware from Q1'24)7,637.021,478.027,029.029,282.632,201.135,099.2
Total Net Revenue$35,819.0$51,574.0$63,887.0$105,194.5$161,013.4$210,283.9
Check: Products + Subs − Total (must = 0)0.0000.0000.000
Less: Cost of Products Sold($8,636.0)($9,797.0)($12,115.0)($22,503.8)($35,947.3)($48,365.3)
Less: Cost of Subscriptions & Services(636.0)(2,991.0)(2,371.0)(3,057.5)(4,258.0)(5,257.1)
Less: Amortization of Acquisition-Related Intangibles (COGS)(1,853.0)(6,023.0)(6,031.0)(5,779.6)(5,460.5)(4,914.5)
Less: Restructuring Charges (COGS)(4.0)(254.0)(76.0)(23.0)0.00.0
Total Cost of Revenue($11,129.0)($19,065.0)($20,593.0)($31,363.9)($45,665.8)($58,536.9)
Gross Margin$24,690.0$32,509.0$43,294.0$73,830.6$115,347.6$151,747.0
Less: Research & Development($5,253.0)($9,310.0)($10,977.0)($12,794.9)($15,688.0)($18,505.0)
Less: Selling, General & Administrative(1,592.0)(4,959.0)(4,211.0)(4,807.9)(6,284.4)(7,359.9)
Less: Amortization of Acquisition-Related Intangibles (OpEx)(1,394.0)(3,244.0)(2,031.0)(2,017.4)(1,978.9)(1,879.9)
Less: Restructuring & Other Charges(244.0)(1,533.0)(591.0)(174.0)0.00.0
Total Operating Expenses($8,483.0)($19,046.0)($17,810.0)($19,794.2)($23,951.3)($27,744.9)
Operating Income$16,207.0$13,463.0$25,484.0$54,036.4$91,396.3$124,002.2
Less: Interest Expense($1,622.0)($3,953.0)($3,210.0)($3,137.0)($3,120.0)($3,120.0)
Other Income (Expense), Net512.0406.0455.0791.0480.0480.0
Income Before Income Taxes$15,097.0$9,916.0$22,729.0$51,690.4$88,756.3$121,362.2
Less: Provision for (Benefit from) Income Taxes($1,015.0)($3,748.0)$397.0($5,336.2)($10,650.8)($15,777.1)
Income from Continuing Operations$14,082.0$6,168.0$23,126.0$46,354.2$78,105.6$105,585.1
Income (Loss) from Discontinued Operations, Net0.0(273.0)0.00.00.00.0
Net Income$14,082.0$5,895.0$23,126.0$46,354.2$78,105.6$105,585.1
Less: Dividends on Preferred Stock$0.0$0.0$0.0$0.0$0.0$0.0
Net Income Attributable to Common Stock$14,082.0$5,895.0$23,126.0$46,354.2$78,105.6$105,585.1
EPS — Basic$3.39$1.27$4.91$9.76$16.34$21.96
EPS — Diluted$3.30$1.23$4.77$9.49$15.91$21.38
Shares — Basic4,150.04,624.04,712.04,750.84,779.14,807.8
Shares — Diluted4,270.04,778.04,853.04,884.54,909.04,938.5
Ratios & Assumptions
YoY Total Net Revenue Growth7.9%44.0%23.9%64.7%53.1%30.6%
Gross Margin %68.9%63.0%67.8%70.2%71.6%72.2%
Operating Margin45.2%26.1%39.9%51.4%56.8%59.0%
Net Margin39.3%11.4%36.2%44.1%48.5%50.2%
Effective Tax Rate6.7%37.8%(1.7%)10.3%12.0%13.0%

전체 모델에는 과거 22개 분기와 추정 6개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

AVGO 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

COIN Coinbase Global, Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 8Q + 5A
세그먼트
9
KPI
Volume x blended take rate x mix (transaction) + QoQ-growth S&S components (stablecoin / rewards / interest & finance / other)
투자 논리
Volume x take-rate cycle trough (FY26E -18%) + stablecoin/staking S&S compounding; buybacks fund the wait
업데이트
2026-07-13 · 109 KB
모델 미리보기
COIN 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
2023202420252026E2027E2028E
Consumer transaction revenue, net$1,334.0$3,430.3$3,322.8$2,224.5$2,805.0$3,139.0
Institutional transaction revenue, net90.2345.6479.7533.6673.2753.4
Other transaction revenue, net (2023+)95.5210.2252.9207.9261.8293.0
Total Transaction Revenue$1,519.7$3,986.1$4,055.4$2,966.0$3,740.0$4,185.3
Stablecoin revenue (2023+ presentation)$694.2$910.5$1,348.8$1,287.5$1,502.7$1,728.1
Blockchain rewards330.9705.8677.4428.1484.1542.2
Custodial fee revenue69.50.00.0
Earn campaign revenue (2021 only; folded 2022)0.00.0
Interest income0.00.0
Interest and finance fee income (2023+)186.7265.8247.0281.5305.5329.9
Other subscription and services revenue125.6425.1554.8468.1548.9631.2
Total Subscription & Services Revenue$1,406.9$2,307.1$2,828.0$2,465.3$2,841.2$3,231.4
Net Revenue$2,926.5$6,293.2$6,883.4$5,431.3$6,581.1$7,416.8
Crypto asset sales revenue (2021-2022)$0.0$0.0
Corporate interest and other income181.8270.8297.9285.8263.6276.8
Total Other Revenue$181.8$270.8$297.9$285.8$263.6$276.8
Total Revenue$3,108.4$6,564.0$7,181.3$5,717.1$6,844.8$7,693.6
Less: Transaction expense($420.7)($897.7)($1,020.2)($798.4)($958.3)($1,077.1)
Less: Technology and development(1,324.5)(1,468.3)(1,670.6)(2,071.6)(2,342.6)(2,461.9)
Less: Sales and marketing(332.3)(654.4)(1,058.6)(1,084.5)(1,300.5)(1,461.8)
Less: General and administrative(1,074.3)(1,300.3)(1,619.6)(1,484.7)(1,703.4)(1,846.5)
Less: Losses (gains) on crypto held for operations (2024+)0.071.7(20.7)(35.2)0.00.0
Less: Crypto asset impairment, net (2023 presentation)34.70.00.00.00.0
Less: Restructuring(142.6)0.00.0(55.0)0.00.0
Less: Other operating expense, net(10.3)(7.9)(356.1)(34.9)0.00.0
Total Operating Expenses($3,270.0)($4,256.9)($5,745.9)($5,564.3)($6,304.8)($6,847.3)
Operating Income (Loss)($161.7)$2,307.2$1,435.4$152.8$540.0$846.3
EBITDA (OpInc + D&A)($22.0)$2,434.7$1,623.9$356.7$715.8$1,005.8
Interest expense($82.8)($80.6)($85.4)($90.3)($90.3)($90.3)
Gains (losses) on crypto held for investment (2024+)0.0687.1(528.9)(482.4)0.00.0
Other income (expense), net167.629.1700.961.60.00.0
Income (Loss) Before Income Taxes($76.8)$2,942.6$1,522.1($358.2)$449.7$756.0
Less: Provision for (Benefit from) Income Taxes171.7(363.6)(261.7)49.3(89.9)(151.2)
Net Income (Loss)$94.9$2,579.1$1,260.3($308.9)$359.7$604.8
NI Attributable to Common — Basic (numerator)$94.8$2,577.8$1,260.3($308.9)$359.7$604.8
NI Attributable to Common — Diluted (numerator)94.82,591.21,277.3(308.9)359.7604.8
Weighted Avg Shares — Basic (M)235.8247.4260.1264.8264.8264.8
Weighted Avg Shares — Diluted (M)254.4273.4287.2264.8264.8264.8
EPS — Basic$0.40$10.42$4.85($1.17)$1.36$2.28
EPS — Diluted$0.37$9.48$4.45($1.17)$1.36$2.28
Ratios & Assumptions
Operating Margin(5.2%)35.1%20.0%2.7%7.9%11.0%
Net Margin3.1%39.3%17.6%(5.4%)5.3%7.9%
Effective Tax Rate [DRIVER]223.5%12.4%17.2%13.8%20.0%20.0%

전체 모델에는 과거 22개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

COIN 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

CPRT Copart, Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
23Q + 5A · 9Q + 5A
세그먼트
2
KPI
YoY growth x segment (Service/Vehicle x US/International)
투자 논리
US service stall (FY26 flat) vs Intl DD growth; cash-pile buybacks at 52-wk lows carry EPS $1.59→$2.19 by FY30
업데이트
2026-07-13 · 76 KB
모델 미리보기
CPRT 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY2026EFY2027EFY2028E
Service Revenues$3,198.1$3,561.0$3,968.7$3,977.6$4,137.6$4,342.5
Vehicle Sales671.4675.8678.3683.4699.1720.9
Total Revenue$3,869.5$4,236.8$4,647.0$4,660.9$4,836.7$5,063.4
Less: Facility Operations (Yard Operations pre-FY26)($1,518.0)($1,710.1)($1,944.3)($1,933.2)($1,993.7)($2,081.5)
Less: Cost of Vehicle Sales(614.5)(619.5)(603.0)(601.5)(615.2)(634.4)
Less: General and Administrative(250.4)(335.2)(402.9)(422.0)(435.3)(455.7)
Total Operating Expenses($2,382.9)($2,664.8)($2,950.2)($2,956.7)($3,044.1)($3,171.6)
Operating Income$1,486.6$1,572.0$1,696.7$1,704.3$1,792.6$1,891.8
Interest Income (Expense), Net$65.9$145.7$178.9$173.8$113.2$105.2
Other Income (Expense), Net1.8(3.1)20.06.69.710.1
Loss on Extinguishment of Debt (4Q22 notes redemption)$0.0$0.0$0.0
Total Other Income (Expense)$67.8$142.6$198.9$180.4$122.8$115.4
Income Before Income Taxes$1,554.3$1,714.6$1,895.6$1,884.6$1,915.4$2,007.2
Less: Income Tax Expense($316.6)($352.3)($347.2)($365.3)($373.5)($391.4)
Net Income (Consolidated)$1,237.7$1,362.3$1,548.4$1,519.3$1,541.9$1,615.8
Less: Net Loss (Income) Attributable to Redeemable NCI($0.7)($4.1)($4.3)($4.0)($4.0)
Net Income Attributable to Copart, Inc.$1,237.7$1,363.0$1,552.4$1,523.6$1,545.9$1,619.8
Weighted Avg Shares — Basic (M)953.574960.739965.306949.053899.660867.679
Weighted Avg Shares — Diluted (M)966.647974.798977.563956.604905.884873.681
EPS — Basic$1.30$1.42$1.61$1.61$1.72$1.87
EPS — Diluted$1.28$1.40$1.59$1.59$1.71$1.85
Ratios & Assumptions
YoY Service Revenues Growth12.1%11.3%11.4%0.2%4.0%5.0%
YoY Vehicle Sales Growth3.6%0.7%0.4%0.7%2.3%3.1%
YoY Total Revenue Growth10.5%9.5%9.7%0.3%3.8%4.7%
Implied Vehicle Sales Gross Margin8.5%8.3%11.1%12.0%12.0%12.0%
Operating Margin38.4%37.1%36.5%36.6%37.1%37.4%

전체 모델에는 과거 23개 분기와 추정 9개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

CPRT 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

NFLX 넷플릭스 (Netflix, Inc.)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 7Q + 5A
세그먼트
4
KPI
YoY growth x regional streaming revenue (UCAN / EMEA / LATAM / APAC) + content amort/spend-ratio drivers
투자 논리
Ads scaling + pricing carry low-teens growth post-members disclosure; OM 31.5% guided FY26E stepping to 38% FY30E
업데이트
2026-07-13 · 66 KB
모델 미리보기
NFLX 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Streaming Revenue — UCAN (US & Canada)$14,873.8$17,359.4$19,957.2$22,117.3$23,937.1$25,612.7
Streaming Revenue — EMEA10,556.512,387.014,514.616,753.818,802.720,870.9
Streaming Revenue — LATAM4,446.54,839.85,357.56,226.97,019.77,791.8
Streaming Revenue — APAC3,763.74,414.75,353.76,278.67,172.18,104.5
DVD Revenue (wound down Sep 2023)82.80.00.00.00.00.0
Total Revenues$33,723.3$39,001.0$45,183.0$51,376.7$56,931.6$62,380.0
Less: Cost of Revenues($19,715.4)($21,038.5)($23,275.3)($25,412.1)($27,280.5)($29,006.7)
Less: Marketing(2,657.9)(2,917.6)(3,301.3)(3,735.1)(4,027.2)(4,553.7)
Less: Technology and Development(2,675.8)(2,925.3)(3,391.4)(3,774.5)(4,122.9)(4,491.4)
Less: General and Administrative(1,720.3)(1,702.0)(1,888.4)(2,243.1)(2,384.9)(2,495.2)
Operating Income$6,954.0$10,417.6$13,326.6$16,211.9$19,116.1$21,833.0
Less: Interest Expense($699.8)($718.7)($776.5)($1,027.1)($1,020.0)($1,020.0)
Interest and Other Income (Expense)(48.8)266.8172.53,002.2200.0200.0
Income Before Income Taxes$6,205.4$9,965.7$12,722.6$18,187.0$18,296.1$21,013.0
Less: Provision for (Benefit from) Income Taxes($797.4)($1,254.0)($1,741.4)($3,068.5)($2,835.9)($3,257.0)
Net Income$5,408.0$8,711.6$10,981.2$15,118.5$15,460.2$17,756.0
EPS — Basic$1.23$2.03$2.58$3.60$3.72$4.33
EPS — Diluted$1.20$1.98$2.53$3.53$3.66$4.25
Shares — Basic4,415.74,295.24,249.54,203.84,153.64,099.6
Shares — Diluted4,495.04,392.64,343.94,279.14,228.04,173.0
Ratios & Assumptions
YoY Total Revenue Growth6.7%15.6%15.9%13.7%10.8%9.6%
Operating Margin20.6%26.7%29.5%31.6%33.6%35.0%
Net Margin16.0%22.3%24.3%29.4%27.2%28.5%
Effective Tax Rate12.9%12.6%13.7%16.9%15.5%15.5%

전체 모델에는 과거 21개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

NFLX 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

TSM TSMC (Taiwan Semiconductor Manufacturing Company Limited)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 8Q + 5A
세그먼트
6
KPI
QoQ growth x platform (HPC / Smartphone / IoT / Automotive / DCE / Others); NT$ currency of record
투자 논리
AI-foundry monopoly: FY26E +37.5% NT$ on HPC; GM glides 66% to 59% by FY30E on overseas-fab dilution
업데이트
2026-07-13 · 76 KB
모델 미리보기
TSM 손익계산서 미리보기. NT$ in billions, except per share (EPS in NT$). 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY2026EFY2027EFY2028E
High Performance Computing Revenue929.51,476.12,209.23,312.74,062.14,712.1
Smartphone Revenue821.51,013.01,104.61,274.21,361.61,416.0
Internet of Things Revenue172.9173.7190.5304.0336.4370.1
Automotive Revenue129.7144.7190.5197.8222.3244.5
Digital Consumer Electronics Revenue43.228.938.150.052.954.0
Others Revenue64.957.976.299.4108.3113.8
Net RevenueNT$2,161.7NT$2,894.3NT$3,809.1NT$5,238.1NT$6,143.7NT$6,910.5
Less: Cost of Revenue(NT$986.6)(NT$1,270.0)(NT$1,527.8)(NT$1,779.1)(NT$2,260.0)(NT$2,729.6)
Gross ProfitNT$1,175.1NT$1,624.4NT$2,281.3NT$3,459.0NT$3,883.7NT$4,180.8
Less: Research and Development Expenses(NT$182.4)(NT$204.2)(NT$246.4)(NT$322.1)(NT$385.2)(NT$449.2)
Less: Sales, General and Administrative Expenses(71.5)(96.9)(99.2)(119.1)(135.2)(152.0)
Total Operating Expenses(NT$253.8)(NT$301.1)(NT$345.6)(NT$441.2)(NT$520.4)(NT$601.2)
Other Operating Income and Expenses, NetNT$0.2(NT$1.2)NT$0.4NT$1.7NT$0.0NT$0.0
Income from OperationsNT$921.5NT$1,322.1NT$1,936.1NT$3,019.5NT$3,363.3NT$3,579.6
Share of Profits of AssociatesNT$4.7NT$4.9NT$5.5NT$1.7NT$0.0NT$0.0
Net Interest Income (Expenses)48.376.793.4116.4135.2138.2
Other Gains and Losses4.82.26.71.00.00.0
Total Non-operating Income and ExpensesNT$57.7NT$83.8NT$105.6NT$119.1NT$135.2NT$138.2
Income Before Income TaxNT$979.2NT$1,405.8NT$2,041.7NT$3,138.6NT$3,498.5NT$3,717.8
Less: Income Tax Expenses(NT$141.4)(NT$233.4)(NT$326.3)(NT$531.6)(NT$594.7)(NT$632.0)
Net IncomeNT$837.8NT$1,172.4NT$1,715.4NT$2,607.0NT$2,903.8NT$3,085.8
Less: Net Income Attributable to Noncontrolling Interests(NT$0.7)(NT$0.8)(NT$2.5)NT$0.3NT$0.0NT$0.0
Net Income Attributable to Shareholders of the ParentNT$838.5NT$1,173.3NT$1,717.9NT$2,606.7NT$2,903.8NT$3,085.8
Ratios & Assumptions
YoY Net Revenue Growth(4.5%)33.9%31.6%37.5%17.3%12.5%
YoY HPC Revenue Growth0.1%58.8%49.7%49.9%22.6%16.0%
YoY Smartphone Revenue Growth(7.0%)23.3%9.0%15.4%6.9%4.0%

전체 모델에는 과거 22개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

TSM 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

META Meta Platforms, Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 7Q + 5A
세그먼트
3
KPI
YoY growth x revenue disaggregation (Advertising / FoA Other / Reality Labs); segment operating income tied FoA + RL = total
투자 논리
AI capex supercycle: $125-145B FY26 capex vs ads +25% guide; FY26E $253B at consensus, FCF pinned near zero through FY27
업데이트
2026-07-10 · 65 KB
모델 미리보기
META 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Advertising Revenue (Family of Apps)$131,948.0$160,633.0$196,175.0$246,490.6$291,834.5$338,528.0
Other Revenue (Family of Apps)1,058.01,722.02,584.03,956.05,108.36,232.2
Reality Labs Revenue1,896.02,146.02,207.02,405.82,767.83,459.8
Total Revenue$134,902.0$164,501.0$200,966.0$252,852.4$299,710.6$348,219.9
Less: Cost of Revenue($25,959.0)($30,161.0)($36,175.0)($50,277.9)($64,437.8)($76,608.4)
Less: Research and Development(38,483.0)(43,873.0)(57,372.0)(84,610.3)(100,149.3)(109,689.3)
Less: Marketing and Sales(12,301.0)(11,347.0)(11,991.0)(14,600.1)(18,239.8)(20,893.2)
Less: General and Administrative(11,408.0)(9,740.0)(12,152.0)(13,670.5)(16,226.9)(18,107.4)
Total Costs and Expenses($88,151.0)($95,121.0)($117,690.0)($163,158.8)($199,053.8)($225,298.3)
Income from Operations$46,751.0$69,380.0$83,276.0$89,693.5$100,656.8$122,921.6
Interest and Other Income (Expense), Net$677.0$1,283.0$2,656.0($670.0)$800.0$800.0
Income Before Provision for Income Taxes$47,428.0$70,663.0$85,932.0$89,023.5$101,456.8$123,721.6
Less: Provision for (Benefit from) Income Taxes($8,330.0)($8,303.0)($25,474.0)($4,733.4)($15,218.5)($19,176.9)
Net Income$39,098.0$62,360.0$60,458.0$84,290.2$86,238.3$104,544.8
EPS — Basic$15.19$24.61$23.98$33.16$33.66$40.48
EPS — Diluted$14.87$23.86$23.49$32.78$33.27$40.01
Shares — Basic (M, weighted avg)2,574.02,534.02,521.02,541.62,562.02,582.5
Shares — Diluted (M, weighted avg)2,629.02,614.02,574.02,571.72,592.32,613.1
Ratios & Assumptions
YoY FoA Other Revenue Growth30.9%62.8%50.1%53.1%29.1%22.0%
YoY Total Revenue Growth15.7%21.9%22.2%25.8%18.5%16.2%
Operating Margin34.7%42.2%41.4%35.5%33.6%35.3%
FoA Operating Margin (FoA OI / FoA Revenue)47.3%53.7%51.6%43.7%40.9%42.0%
Net Margin29.0%37.9%30.1%33.3%28.8%30.0%

전체 모델에는 과거 21개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

META 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

SKHY SK하이닉스 (SK hynix Inc.)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 8Q + 5A
세그먼트
3
KPI
QoQ bit-shipment growth × blended ASP change per product (DRAM / NAND Flash / Other); KRW currency of record
투자 논리
HBM-led supercycle at a 72%-OM blow-off: sold-out 2026 (+216% rev), 2027 ASP correction modeled vs Street's uninterrupted ramp
업데이트
2026-07-10 · 86 KB
모델 미리보기
SKHY 손익계산서 미리보기. KRW in billions, except per share (EPS in KRW). 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY2026EFY2027EFY2028E
DRAM Revenue₩20,768.7₩44,731.7₩74,904.1₩237,610.9₩252,600.8₩202,080.7
NAND Flash Revenue9,653.119,274.120,690.168,370.468,393.753,347.1
Other Revenue (modules/services)2,344.02,187.21,552.51,415.41,428.61,428.6
Total Revenue₩32,765.7₩66,193.0₩97,146.7₩307,396.7₩322,423.1₩256,856.4
Less: Cost of Sales(₩33,299.2)(₩34,364.8)(₩38,455.9)(₩65,508.4)(₩92,084.3)(₩89,899.7)
Gross Profit(₩533.4)₩31,828.1₩58,690.8₩241,888.3₩230,338.9₩166,956.6
Less: Selling & Administrative Expenses(₩7,196.9)(₩8,360.8)(₩11,484.5)(₩22,262.6)(₩27,711.9)(₩25,685.6)
Operating Profit(₩7,730.3)₩23,467.3₩47,206.3₩219,625.7₩202,626.9₩141,271.0
Finance Income₩2,261.8₩4,855.1₩16,373.5₩18,330.5₩1,612.1₩1,284.3
Less: Finance Expenses(6,093.2)(5,708.0)(12,505.0)(3,023.5)0.00.0
Share of Profit (Loss) of Equity-Accounted Investees15.1(38.2)(564.6)(26.8)0.00.0
Other Income623.91,476.6333.315.00.00.0
Less: Other Expenses(735.1)(167.4)(378.0)(14.5)0.00.0
Profit Before Income Tax(₩11,657.8)₩23,885.4₩50,465.6₩234,906.3₩204,239.1₩142,555.3
Less: Income Tax Expense/(Benefit)₩2,520.3(₩4,088.4)(₩7,517.6)(₩51,594.6)(₩44,932.6)(₩31,362.2)
Profit for the Period (Net Income)(₩9,137.5)₩19,796.9₩42,947.9₩183,311.7₩159,306.5₩111,193.1
Ratios & Assumptions
YoY Total Revenue Growth(26.6%)102.0%46.8%216.4%4.9%(20.3%)
YoY DRAM Revenue Growth(26.3%)115.4%67.5%217.2%6.3%(20.0%)
YoY NAND Flash Revenue Growth(31.9%)99.7%7.3%230.5%0.0%(22.0%)

전체 모델에는 과거 22개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

SKHY 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

U Unity Software Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
21Q + 5A · 7Q + 5A
세그먼트
2
KPI
YoY growth x filed segment (Create / Grow); cross-regime 2021 basis preserved; Strategic/Non-Strategic overlay calibrates the path
투자 논리
Vector ad inflection (strategic Grow +49%) + ironSource sunset; GAAP-profit Q4'26E; FY26 +13.5% -> FY30 +10.1%
업데이트
2026-07-09 · 64 KB
모델 미리보기
U 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Create Solutions Revenue$859.2$614.0$621.4$654.2$714.7$779.0
Grow Solutions Revenue$1,328.1$1,199.3$1,228.2$1,445.0$1,635.7$1,881.1
Total Revenue$2,187.3$1,813.3$1,849.6$2,099.2$2,350.4$2,660.1
Less: Cost of Revenue($733.7)($480.9)($477.7)($604.5)($367.2)($412.3)
Gross Profit$1,453.6$1,332.4$1,371.9$1,494.6$1,983.3$2,247.8
Less: Research and Development($1,053.6)($924.8)($929.5)($966.3)($953.9)($1,024.1)
Less: Sales and Marketing(834.6)(752.6)(652.9)(702.9)(684.4)(731.5)
Less: General and Administrative(398.2)(410.1)(268.5)(199.5)(194.9)(207.5)
Total Operating Expenses($2,286.4)($2,087.6)($1,851.0)($1,868.7)($1,833.2)($1,963.2)
Loss from Operations($832.8)($755.1)($479.1)($374.1)$150.1$284.6
Less: Interest Expense($24.6)($23.5)($24.0)($24.0)($14.0)($14.0)
Interest Income and Other Income (Expense), Net59.5111.6107.947.566.070.0
Loss Before Income Taxes($797.8)($667.1)($395.2)($350.6)$202.1$340.6
Less: Provision for (Benefit from) Income Taxes($28.5)$2.8($6.3)($7.3)($21.2)($53.2)
Net Loss (incl. NCI)($826.3)($664.3)($401.5)($357.9)$180.9$287.4
Less: NI Attributable to NCI and Redeemable NCI(4.3)(0.2)1.30.70.00.0
Net Loss Attributable to Unity Software Inc.($822.0)($664.1)($402.8)($358.6)$180.9$287.4
EPS — Basic and Diluted (as filed)($2.16)($1.68)($0.96)($0.82)$0.40$0.62
EPS — Diluted($2.16)($1.68)($0.96)($0.82)$0.40$0.62
Shares — Basic (M, weighted avg)380.5396.0420.9439.5453.7466.4
Shares — Diluted (M, weighted avg)380.5396.0420.9439.5453.7466.4
Ratios & Assumptions
YoY Total Revenue Growth57.2%(17.1%)2.0%13.5%12.0%13.2%
Gross Margin %66.5%73.5%74.2%71.2%84.4%84.5%
Operating Margin(38.1%)(41.6%)(25.9%)(17.8%)6.4%10.7%
Net Margin (incl. NCI)(37.8%)(36.6%)(21.7%)(17.0%)7.7%10.8%
Effective Tax Rate(3.6%)0.4%(1.6%)(2.1%)10.5%15.6%

전체 모델에는 과거 21개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

U 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

INTU Intuit Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
23Q + 5A · 9Q + 5A
세그먼트
2
KPI
YoY-by-quarter growth × sub-offering (GBS: Online/Desktop Eco; Consumer: TurboTax/Credit Karma/ProTax); tax-season seasonality preserved
투자 논리
Online Eco +16% + IES mid-market; DIY value-based pricing pivot; 2026 Plan +250bp FY27 OM; FY26 +13.5% → FY30 +7.4%
업데이트
2026-07-08 · 83 KB
모델 미리보기
INTU 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY23FY24FY25FY26EFY27EFY28E
Service Revenue$12,398$13,861$16,400$18,828$20,964$23,041
Product and Other Revenue (FY21-23: Product)1,9702,4242,4312,5432,7172,903
Total Net Revenue$14,368$16,285$18,831$21,371$23,681$25,944
Less: Cost of Service Revenue($2,909)($3,250)($3,624)($4,065)($4,532)($4,931)
Less: Cost of Product and Other Revenue(71)(69)(68)(64)(82)(87)
Less: Amortization of Acquired Technology(163)(146)(156)(174)(159)(138)
Total Cost of Revenue($3,143)($3,465)($3,848)($4,304)($4,773)($5,156)
Gross Profit$11,225$12,820$14,983$17,067$18,908$20,788
Less: Selling and Marketing($3,762)($4,312)($5,035)($5,639)($6,182)($6,716)
Less: Research and Development(2,539)(2,754)(2,928)(3,396)(3,704)(4,030)
Less: General and Administrative(1,300)(1,418)(1,601)(1,694)(1,841)(1,988)
Less: Amortization of Other Acquired Intangible Assets(483)(483)(481)(484)(441)(384)
Less: Restructuring0(223)(15)(320)00
Total Operating Expenses (excl. COGS; derived)($8,084)($9,190)($10,060)($11,532)($12,168)($13,118)
Total Costs and Expenses (as filed)($11,227)($12,655)($13,908)($15,836)($16,941)($18,274)
Operating Income$3,141$3,630$4,923$5,534$6,740$7,670
Less: Interest Expense($248)($242)($247)($245)($245)($245)
Interest and Other Income, Net96162158340340340
Income Before Income Taxes$2,989$3,550$4,834$5,629$6,835$7,765
Less: Income Tax Provision($605)($587)($965)($1,310)($1,606)($1,825)
Net Income$2,384$2,963$3,869$4,320$5,229$5,940
EPS — Basic$8.49$10.58$13.82$15.60$19.35$22.51
EPS — Diluted$8.42$10.43$13.67$15.55$19.35$22.51
Shares — Basic (M)281280280277270264
Shares — Diluted (M)283284283278270264
Ratios & Assumptions
YoY Service Revenue Growth12.9%11.8%18.3%14.8%11.3%9.9%
YoY Product and Other Revenue Growth12.8%23.0%0.3%4.6%6.8%6.8%
YoY Total Revenue Growth12.9%13.3%15.6%13.5%10.8%9.6%
Service Gross Margin (direct cost only)76.5%76.6%77.9%78.4%78.4%78.6%
Product and Other Gross Margin (direct cost only)96.4%97.2%97.2%97.5%97.0%97.0%

전체 모델에는 과거 23개 분기와 추정 9개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

INTU 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

ADBE Adobe Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
22Q + 5A · 10Q + 5A
세그먼트
2
KPI
QoQ growth × customer group (BP&C / C&MP subscription revenue)
투자 논리
Organic ARR decel caps growth at HSD; ~95%-of-FCF buybacks carry GAAP EPS $18→$29 by FY30; freemium conversion is the unmodeled upside
업데이트
2026-07-04 · 73 KB
모델 미리보기
ADBE 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY2026EFY2027EFY2028E
Subscription Revenue$18,284$20,521$22,904$25,773$28,173$29,746
Product Revenue460386325357356356
Services and Other Revenue665598540436377320
Total Revenue$19,409$21,505$23,769$26,566$28,905$30,422
Less: Cost of Subscription Revenue($1,822)($1,799)($2,027)($2,323)($2,564)($2,707)
Less: Cost of Product Revenue(29)(25)(23)(22)(21)(21)
Less: Cost of Services and Other Revenue(503)(534)(501)(465)(395)(336)
Total Cost of Revenue($2,354)($2,358)($2,551)($2,810)($2,980)($3,064)
Gross Profit$17,055$19,147$21,218$23,755$25,925$27,358
Less: Research and Development($3,473)($3,944)($4,294)($4,774)($5,246)($5,575)
Less: Sales and Marketing(5,351)(5,764)(6,488)(7,440)(8,180)(8,548)
Less: General and Administrative(1,413)(1,529)(1,573)(2,032)(2,096)(2,190)
Less: Acquisition Termination Fee (Figma, Q1'24)($1,000)$0$0$0$0
Less: Amortization of Intangibles(168)(169)(157)(160)(139)(102)
Total Operating Expenses($10,405)($12,406)($12,512)($14,406)($15,661)($16,415)
Operating Income$6,650$6,741$8,706$9,350$10,264$10,943
Interest Expense($113)($169)($263)($258)($260)($260)
Investment Gains (Losses), Net1648432300
Other Income (Expense), Net246311248203188188
Total Non-Operating Income (Expense), Net$149$190$28($32)($72)($72)
Income Before Income Taxes$6,799$6,931$8,734$9,318$10,192$10,871
Less: Provision for Income Taxes($1,371)($1,371)($1,604)($2,130)($2,344)($2,500)
Net Income$5,428$5,560$7,130$7,187$7,848$8,370
EPS — Basic$11.87$12.43$16.73$18.00$20.71$23.13
EPS — Diluted$11.82$12.36$16.70$17.98$20.71$23.13
Shares — Basic (M)457447426399379362
Shares — Diluted (M)459450427400379362
Ratios & Assumptions
YoY Subscription Revenue Growth11.6%12.2%11.6%12.5%9.3%5.6%
YoY Product Revenue Growth(13.5%)(16.1%)(15.8%)9.8%(0.3%)0.0%
YoY Services and Other Revenue Growth(3.1%)(10.1%)(9.7%)(19.3%)(13.6%)(15.1%)
YoY Total Revenue Growth10.2%10.8%10.5%11.8%8.8%5.2%
Subscription Gross Margin90.0%91.2%91.2%91.0%90.9%90.9%

전체 모델에는 과거 22개 분기와 추정 10개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

ADBE 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

BSP Bending Spoons

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
2Q + 3A (424B4 disclosure depth; deepens with post-IPO 10-Qs) · 8Q + 5A
세그먼트
1
KPI
Monthly Paying Customers × ARPU (units × ASP, single consolidated segment)
투자 논리
Post-IPO ($29, Jul '26): acquisition annualization FY26 +100% → +15% FY30; $933M raise banked for M&A; net-cash ~FY29E
업데이트
2026-07-04 · 31 KB
모델 미리보기
BSP 손익계산서 미리보기. Dollars in millions, except per share (IFRS; USD presentation). 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
2023202420252026E2027E2028E
Revenue$387.1$671.1$1,306.4$2,609.8$3,434.1$4,224.0
Less: Cost of Revenue($150.6)($242.2)($449.1)($874.5)($1,153.5)($1,410.8)
Gross Profit$236.5$428.9$857.3$1,735.3$2,280.6$2,813.2
Less: Research & Development($51.8)($92.6)($120.7)($297.1)($338.0)($409.7)
Less: Sales & Marketing(42.6)(79.2)(131.7)(253.3)(324.3)(392.8)
Less: General & Administrative(57.8)(129.8)(327.0)(594.3)(730.2)(844.8)
Total Operating Expenses($152.3)($301.5)($579.4)($1,144.7)($1,392.4)($1,647.4)
Operating Income (Loss)$84.3$127.4$277.9$590.6$888.2$1,165.8
EBITDA$119.2$216.5$434.9$870.8$1,141.3$1,396.8
Less: Interest Expense($17.2)($32.6)($142.6)($354.6)($334.5)($315.2)
Other (Expense) Income, Net(9.6)10.1(24.1)49.30.00.0
Income (Loss) Before Income Taxes$57.5$104.8$111.2$285.4$553.7$850.6
Less: Income Tax (Expense) Benefit$103.1($15.8)($111.4)($103.2)($144.0)($221.2)
Net Income (Loss)$160.6$89.0($0.2)$182.2$409.7$629.5
Net Income Attributable to NCI($0.1)($0.5)($0.1)$0.0$0.0$0.0
Net Income to BSP Shareholders$160.8$89.5($0.1)$182.2$409.7$629.5
EPS, Basic$0.32$0.16$0.00$0.30$0.65$0.99
EPS, Diluted$0.31$0.15$0.00$0.28$0.61$0.94
Weighted Avg Shares — Basic (M)502.4559.5581.0617.2635.2635.2
Weighted Avg Shares — Diluted (M)518.6596.8621.2654.1672.1672.1
Ratios & Assumptions
YoY Revenue Growth73.4%94.7%99.8%31.6%23.0%
Gross Margin61.1%63.9%65.6%66.5%66.4%66.6%
Operating Margin21.8%19.0%21.3%22.6%25.9%27.6%
Net Margin41.5%13.3%(0.0%)7.0%11.9%14.9%
Effective Tax Rate [DRIVER](179.3%)15.1%100.2%26.0%26.0%26.0%

전체 모델에는 과거 4개 분기와 추정 6개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

BSP 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

MU Micron Technology, Inc.(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
23Q + 5A · 9Q + 5A
세그먼트
3
KPI
bit growth × ASP change × technology (DRAM / NAND / Other)
투자 논리
$50B FQ4'26 guide-anchored; 2027-28 supply response normalizes GM 86%→52% by FY29; SCA floor holds trough above prior-cycle peaks
업데이트
2026-07-04 · 64 KB
모델 미리보기
MU 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY2026EFY2027EFY2028E
Revenue$15,540$25,111$37,378$129,016$217,842$190,006
Less: Cost of Goods Sold($16,956)($19,498)($22,505)($25,510)($48,107)($81,015)
Gross Margin($1,416)$5,613$14,873$103,506$169,735$108,991
Less: Research and Development($3,114)($3,430)($3,798)($5,139)($6,258)($7,494)
Less: Selling, General, and Administrative(920)(1,129)(1,205)(1,513)(1,960)(1,993)
Less: Restructure and Asset Impairments($171)($1)($39)$0$0$0
Less: Other Operating (Income) Expense, Net(124)251(61)(43)00
Operating Income (Loss)($5,745)$1,304$9,770$96,811$161,517$99,504
Interest Income$468$529$496$759$1,089$1,233
Interest Expense(388)(562)(477)(106)00
Other Non-Operating Income (Expense), Net7(31)(135)(859)(1,307)(1,140)
Pretax Income (Loss)($5,658)$1,240$9,654$96,605$161,299$99,597
Less: Income Tax (Provision) / Benefit($177)($451)($1,124)($14,354)($25,001)($15,437)
Equity in Net Income (Loss) of Equity Method Investees2(11)91300
Net Income (Loss)($5,833)$778$8,539$82,264$136,298$84,159
EPS — Basic($5.34)$0.70$7.65$72.94$121.35$77.22
EPS — Diluted($5.34)$0.70$7.59$71.93$119.55$76.07
Shares — Basic (M)1,0931,1051,1161,1281,1231,090
Shares — Diluted (M)1,0931,1181,1251,1441,1401,106
Ratios & Assumptions
YoY Revenue Growth(49.5%)61.6%48.9%245.2%68.8%(12.8%)
Gross Margin %(9.1%)22.4%39.8%80.2%77.9%57.4%
Operating Margin(37.0%)5.2%26.1%75.0%74.1%52.4%
Net Margin(37.5%)3.1%22.8%63.8%62.6%44.3%
Effective Tax Rate(3.1%)36.4%11.6%14.9%15.5%15.5%

전체 모델에는 과거 23개 분기와 추정 9개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

MU 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

SPCX 스페이스X (SpaceX)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
2Q + 3A (424B4 disclosure depth; deepens with post-IPO 10-Qs) · 8Q + 5A
세그먼트
3
KPI
Subs × ARPU (Starlink Consumer) + QoQ growth × 5 sub-segments (Space / E&G / AI)
투자 논리
Post-IPO ($135, Jun '26): Starlink subs 10.3M→36M; $25B notes fund AI capex supercycle; FY26 +21% → FY30 +18%
업데이트
2026-07-04 · 42 KB
모델 미리보기
SPCX 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
2023202420252026E2027E2028E
Space Revenue$3,557.0$3,796.0$4,086.0$3,243.8$4,150.1$4,648.1
Connectivity Revenue (Starlink)3,869.07,599.011,387.015,284.421,223.026,727.9
AI Revenue (xAI + X)2,961.02,620.03,201.04,027.06,259.18,690.4
Total Revenue$10,387.0$14,015.0$18,674.0$22,555.2$31,632.3$40,066.4
Less: Cost of Revenue($6,110.0)($7,996.0)($9,451.0)($11,223.2)($15,089.6)($18,230.2)
Gross Profit$4,277.0$6,019.0$9,223.0$11,331.9$16,542.7$21,836.2
Less: Research & Development($2,105.0)($3,464.0)($8,643.0)($13,825.2)($14,391.5)($14,423.9)
Less: Selling, General & Administrative(1,665.0)(1,813.0)(2,644.0)(3,419.1)(4,301.9)(5,008.3)
Less: Restructuring Charges (Credits)(237.0)(213.0)(487.0)11.00.00.0
Less: Impairment(3,775.0)(63.0)(38.0)0.00.00.0
Total Costs and Expenses($13,892.0)($13,549.0)($21,263.0)($28,456.5)($33,782.9)($37,662.4)
Income (Loss) from Operations($3,505.0)$466.0($2,589.0)($5,901.4)($2,150.7)$2,404.0
EBITDA($870.0)$4,290.0$4,112.0$6,611.7$15,967.7$21,423.1
Interest Income$249.0$371.0$492.0$2,311.2$3,283.5$3,012.6
Interest Expense(1,693.0)(1,580.0)(1,945.0)(2,247.5)(2,197.6)(2,184.2)
Other Income (Expense), Net(42.0)985.0(177.0)(1,876.0)0.00.0
Income (Loss) Before Income Taxes($4,991.0)$242.0($4,219.0)($7,713.7)($1,064.8)$3,232.3
Less: Provision for (Benefit from) Income Taxes$363.0$549.0($718.0)($57.7)($16.0)($484.8)
Net Income (Loss)($4,628.0)$791.0($4,937.0)($7,771.3)($1,080.8)$2,747.5
Ratios & Assumptions
YoY Total Revenue Growth34.9%33.2%20.8%40.2%26.7%
YoY Space Revenue Growth6.7%7.6%(20.6%)27.9%12.0%
YoY Connectivity Revenue Growth96.4%49.8%34.2%38.9%25.9%
YoY AI Revenue Growth(11.5%)22.2%25.8%55.4%38.8%
Gross Margin (memo)41.2%42.9%49.4%50.2%52.3%54.5%

전체 모델에는 과거 3개 분기와 추정 7개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

SPCX 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

NVDA NVIDIA Corporation(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
16Q + 5A · 8Q + 5A
세그먼트
2
KPI
QoQ growth × segment (Compute & Networking / Graphics)
투자 논리
AI infra ramp: GB300 + Vera Rubin H2 FY27 drive FY27E rev +71% to ~$369B, decel to +8% by FY31; net margin holds ~55%
업데이트
2026-06-18 · 51 KB
모델 미리보기
NVDA 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2024FY2025FY2026FY27EFY28EFY29E
Revenue$60,922$130,497$215,938$368,856$419,207$490,678
Less: Cost of Revenue($16,621)($32,639)($62,475)($92,907)($106,639)($132,483)
Gross Profit$44,301$97,858$153,463$275,949$312,567$358,195
Less: Research and Development($8,675)($12,914)($18,497)($26,799)($29,320)($33,366)
Less: Sales, General & Administrative(2,654)(3,491)(4,579)(6,470)(7,435)(8,342)
Total Operating Expenses($11,329)($16,405)($23,076)($33,269)($36,755)($41,708)
Operating Income$32,972$81,453$130,387$242,680$275,812$316,487
Interest Income$866$1,786$2,300$2,449$2,298$2,453
Interest Expense(257)(247)(259)(447)(503)(589)
Other Income/(Expense), Net (incl. equity gains)2371,0349,02217,3652,0962,453
Pretax Income$33,818$84,026$141,450$262,048$279,702$320,805
Less: Income Tax (Provision)/Benefit($4,058)($11,146)($21,383)($42,944)($42,630)($48,121)
Net Income$29,760$72,880$120,067$219,104$237,072$272,684
EPS — Basic$1.210$2.970$4.930$9.090$10.034$11.777
EPS — Diluted$1.190$2.940$4.900$9.051$9.991$11.727
Shares — Basic (M, post-split)24,69024,55524,35924,10423,62623,153
Shares — Diluted (M, post-split)24,94024,80424,51424,20923,72823,254
Ratios & Assumptions
YoY Revenue Growth125.9%114.2%65.5%70.8%13.7%17.0%
Gross Margin %72.7%75.0%71.1%74.8%74.6%73.0%
Operating Margin54.1%62.4%60.4%65.8%65.8%64.5%
Net Margin48.8%55.8%55.6%59.4%56.6%55.6%
Effective Tax Rate12.0%13.3%15.1%16.4%15.2%15.0%

전체 모델에는 과거 16개 분기와 추정 8개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

NVDA 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

ORCL Oracle Corporation(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
16Q + 5A · 8Q + 5A
세그먼트
4
KPI
YoY growth × segment (Cloud / Software / Hardware / Services), FY26-recast regime
투자 논리
$638B RPO converts: Cloud +65% FY27 on the DC build; GM troughs at the $90B capex/depreciation wave, FY30E rev ~$200B (10% haircut to mgmt path)
업데이트
2026-06-12 · 59 KB
모델 미리보기
ORCL 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY24FY25FY26FY27EFY28EFY29E
Cloud Revenue (SaaS + IaaS)$19,774$24,506$33,989$56,218$85,442$121,328
Software Revenue24,69024,72424,54124,29624,05323,812
Hardware Revenue3,0662,9363,0843,2073,3043,403
Services Revenue5,4315,2335,7436,3176,8237,232
Total Revenues$52,961$57,399$67,357$90,039$119,621$155,775
Less: Cloud and Software Expenses($9,427)($11,569)($17,597)($33,234)($44,948)($55,153)
Less: Hardware Expenses(891)(782)(868)(898)(925)(953)
Less: Services Expenses(4,825)(4,576)(4,556)(4,991)(5,390)(5,713)
Less: Sales and Marketing(8,274)(8,651)(8,331)(8,103)(9,057)(10,904)
Less: Research and Development(8,915)(9,860)(10,272)(10,001)(10,812)(12,774)
Less: General and Administrative(1,548)(1,602)(1,618)(1,602)(1,914)(2,337)
Less: Amortization of Intangible Assets(3,010)(2,307)(1,671)(1,024)(814)(779)
Less: Restructuring and Other(718)(374)(1,838)(377)(359)(389)
Total Operating Expenses($37,608)($39,721)($46,751)($60,229)($74,219)($89,002)
Operating Income$15,353$17,678$20,606$29,810$45,402$66,773
Less: Interest Expense($3,514)($3,578)($4,599)($5,867)($6,793)($7,431)
Non-Operating Income (Expenses), Net(98)603,547600600600
Income Before Income Taxes$11,741$14,160$19,554$24,543$39,209$59,942
Less: Provision for Income Taxes($1,274)($1,717)($2,467)($4,663)($7,450)($11,689)
Net Income$10,467$12,443$17,087$19,880$31,759$48,253
Less: Preferred Stock Dividends (6.50% Series D)$0$0($103)($325)($325)($325)
Net Income Available to Common Shareholders$10,467$12,443$16,984$19,555$31,434$47,928
EPS — Basic$3.82$4.46$5.94$6.64$10.48$15.91
EPS — Diluted$3.71$4.34$5.83$6.55$10.35$15.71
Ratios & Assumptions
YoY Cloud Revenue Growth24.5%23.9%38.7%65.4%52.0%42.0%
YoY Software Revenue Growth(2.0%)0.1%(0.7%)(1.0%)(1.0%)(1.0%)
YoY Hardware Revenue Growth(6.4%)(4.2%)5.0%4.0%3.0%3.0%
YoY Services Revenue Growth(2.9%)(3.6%)9.7%10.0%8.0%6.0%
YoY Total Revenue Growth6.0%8.4%17.3%33.7%32.9%30.2%

전체 모델에는 과거 16개 분기와 추정 8개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

ORCL 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

CHYM Chime Financial, Inc.(한국어판)

최신 ✓ C14 추적 ✓ C15 말단
기간
8Q + 3A · 8Q + 5A
세그먼트
1
KPI
Members × PV per Active Member × Take Rate (intensive: count × $/unit); MyPay ARR informational
투자 논리
Consumer fintech compounding: Members 8.6M → 13M+; PV/Member rising; MyPay attach driving ARPU; FY26 +27% → FY30 +18%
업데이트
2026-05-25 · 42 KB
모델 미리보기
CHYM 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
2023202420252026E2027E2028E
Revenue$1,278.5$1,673.3$2,186.8$2,778.4$3,303.6$3,713.6
Less: Cost of Revenue($219.7)($207.5)($263.0)($293.7)($335.9)($371.4)
Gross Profit$1,058.7$1,465.8$1,923.7$2,484.8$2,967.7$3,342.3
Less: Transaction & Risk Losses($152.4)($219.7)($407.3)($376.5)($397.2)($427.1)
Less: Member Support & Operations(272.8)(286.9)(458.0)(406.4)(441.0)(475.3)
Less: Sales & Marketing(443.8)(519.8)(635.4)(731.5)(849.5)(909.8)
Less: Technology & Development(259.0)(309.6)(934.9)(464.4)(502.9)(545.9)
Less: General & Administrative(154.9)(177.2)(512.1)(283.8)(275.8)(297.1)
Less: Depreciation & Amortization(11.6)(14.8)(16.0)(18.1)(21.5)(24.1)
Total Operating Expenses($1,294.5)($1,528.0)($2,963.7)($2,280.5)($2,487.8)($2,679.4)
Operating Income (Loss)($235.8)($62.2)($1,040.0)$204.2$479.9$662.9
EBITDA($222.8)($36.8)($1,010.0)$222.3$501.4$687.0
Other Income, Net$32.8$39.5$30.9$38.0$45.0$50.0
Income (Loss) Before Income Taxes($203.0)($22.7)($1,009.1)$242.2$524.9$712.9
Less: Provision for Income Taxes($0.2)($2.6)($0.8)($17.9)($99.6)($149.7)
Net Income (Loss)($203.2)($25.3)($1,009.9)$224.4$425.4$563.2
EPS, Basic($3.22)($0.39)($4.27)$0.60$1.13$1.50
EPS, Diluted($3.22)($0.39)($4.27)$0.60$1.13$1.50
Weighted Avg Shares — Basic (M)63.164.9236.3375.9375.9375.9
Weighted Avg Shares — Diluted (M)63.164.9236.3375.9375.9375.9
Ratios & Assumptions
YoY Revenue Growth61.8%97.1%142.7%27.1%18.9%12.4%
Gross Margin82.8%87.6%88.0%89.4%89.8%90.0%
Operating Margin(18.4%)(3.7%)(47.6%)7.4%14.5%17.8%
Net Margin(15.9%)(1.5%)(46.2%)8.1%12.9%15.2%
Effective Tax Rate [DRIVER](0.1%)(11.5%)(0.1%)7.4%19.0%21.0%

전체 모델에는 과거 10개 분기와 추정 6개 분기, 그리고 KPI Drivers · Balance Sheet · Cash Flow Statement가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

CHYM 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

SE Sea Limited(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
16Q + 5A · 8Q + 5A
세그먼트
4
KPI
QoQ growth × segment (Garena / Shopee / Monee / Other)
투자 논리
Shopee ROW expansion (Brazil/Latam) + Monee consumer credit compounding; FY26 +32% → FY30 +13%
업데이트
2026-05-20 · 52 KB
모델 미리보기
SE 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY26EFY27EFY28E
Service Revenue$11,942.4$15,261.3$20,913.1$27,673.3$30,746.1$36,261.0
Sales of Goods$1,121.2$1,558.6$2,025.4$2,707.9$2,856.2$3,239.0
Total Revenue$13,063.6$16,819.9$22,938.5$30,381.2$33,602.3$39,500.0
Less: Cost of Service($6,202.5)($8,164.4)($10,812.0)($14,261.9)($15,623.7)($18,311.8)
Less: Cost of Goods Sold($1,027.4)($1,450.4)($1,882.7)($2,563.6)($2,659.3)($2,996.1)
Total Cost of Revenue($7,229.9)($9,614.8)($12,694.7)($16,825.6)($18,282.9)($21,307.9)
Gross Profit$5,833.6$7,205.1$10,243.7$13,555.6$15,319.3$18,192.1
Less: Sales and Marketing($2,779.2)($3,472.7)($4,492.2)($5,838.1)($6,128.6)($6,912.5)
Less: General and Administrative($1,134.7)($1,267.7)($1,357.8)($1,684.4)($1,770.8)($1,975.0)
Less: Research and Development($1,164.1)($1,206.0)($1,157.1)($1,196.2)($1,199.6)($1,303.5)
Less: Provision for Credit Losses($633.9)($776.9)($1,372.6)($2,079.0)($2,189.7)($2,488.5)
Other Operating Income/(Expense), Net$103.1$180.4$121.3$120.7$134.4$158.0
Total Operating Expenses($5,608.9)($6,542.9)($8,258.4)($10,677.1)($11,154.3)($12,521.5)
Operating Income (Loss)$224.8$662.2$1,985.3$2,878.5$4,165.1$5,670.6
Interest Income$331.3$365.8$331.1$338.4$327.0$395.0
Interest Expense($41.1)($38.3)($33.6)($11.0)($13.4)($15.8)
Other Income/(Expense), Net (incl. equity investees)($89.7)($220.6)($20.8)($29.6)($33.6)($39.5)
Pretax Income (Loss)$425.4$769.0$2,262.0$3,176.4$4,445.1$6,010.3
Less: Income Tax (Expense)/Benefit($262.7)($321.2)($651.1)($1,047.0)($1,431.9)($1,863.2)
Net Income (Loss)$162.7$447.8$1,610.9$2,129.4$3,013.2$4,147.1
Less: NI Attributable to Non-controlling Interest$12.0$3.5$32.7$44.1$60.3$82.9
Net Income to Sea Limited$150.7$444.3$1,578.1$2,085.3$2,952.9$4,064.2
EPS — Basic$0.27$0.77$2.65$3.50$4.96$6.70
EPS — Diluted$0.25$0.74$2.52$3.27$4.63$6.24
Shares — Basic (M)566.6575.0595.0595.0595.0606.9
Shares — Diluted (M)594.4604.7638.2638.2638.2651.0
IS Ratios & Projection Drivers
Effective Tax Rate31.0%

전체 모델에는 과거 16개 분기와 추정 8개 분기, 그리고 Balance Sheet · Cash Flow Statement · KPI Drivers — Segment Revenue가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

SE 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

INTC Intel Corporation(한국어판)

최신 ✓ C13 대사 ✓ C14 추적 ✓ C15 말단
기간
16Q + 5A · 8Q + 5A
세그먼트
7
KPI
QoQ growth × segment (CCG / DCAI / NEX / Intel Foundry / Mobileye / All Other / Eliminations)
투자 논리
Intel Foundry external customer ramp + DCAI AI server share recovery; FY26 +6.5% → FY30 +8.1%
업데이트
2026-05-17 · 44 KB
모델 미리보기
INTC 손익계산서 미리보기. Dollars in millions, except per share. 실적 회계연도에 이어 당사 추정치를 제시한다.
Income Statement
실적추정
FY2023FY2024FY2025FY26EFY27EFY28E
Revenue$54,228$53,101$52,853$56,276$61,537$67,137
Less: Cost of Sales($32,517)($35,756)($34,478)($33,124)($32,899)($34,911)
Gross Profit$21,711$17,345$18,375$23,153$28,638$32,226
Less: Research and Development($16,046)($16,546)($13,774)($14,040)($14,300)($14,770)
Less: Marketing, General and Administrative($5,634)($5,507)($4,624)($4,667)($4,996)($5,237)
Less: Restructuring and Other Charges$62($6,970)($2,191)($4,320)$0$0
Total Operating Expenses($21,618)($29,023)($20,589)($23,028)($19,297)($20,007)
Operating Income (Loss)$93($11,678)($2,214)$125$9,341$12,219
Gains (Losses) on Equity Investments, Net$40$242$514$78$200$200
Interest and Other, Net$629$226$3,257($588)$200$200
Income (Loss) Before Taxes$762($11,210)$1,557($385)$9,741$12,619
Less: Provision for (Benefit from) Taxes$913($8,023)($1,531)($1,083)($2,046)($2,650)
Net Income (Loss)$1,675($19,233)$26($1,468)$7,696$9,969
Less: Net Income (Loss) Attributable to NCI($14)($477)$293($703)($200)($200)
Net Income (Loss) Attributable to Intel$1,689($18,756)($267)($765)$7,896$10,169
EPS, Basic$0.00$0.00$0.00($0.15)$1.52$1.93
EPS, Diluted$0.40($4.38)($0.06)($0.15)$1.52$1.93
Weighted Avg Shares — Basic (M)0.00.00.05,1285,2005,275
Weighted Avg Shares — Diluted (M)0.00.00.05,1285,2005,275

전체 모델에는 과거 16개 분기와 추정 8개 분기, 그리고 Balance Sheet · Cash Flow Statement · KPI Drivers — Segment Revenue가 추가로 담겨 있다. 모든 소계는 살아 있는 수식이며, 모든 추정치는 드라이버까지 추적된다.

INTC 모델 전체 다운로드 (xlsx)무료 — 로그인 또는 가입 후 이용

방법론

모든 추정 매출 셀은 KPI/드라이버 행까지 추적할 수 있다(C14). 말단 드라이버 셀은 비율, 수량 또는 과거 실적 앵커만 허용되며 — 추정 달러 금액의 직접 입력은 허용되지 않는다(C15). 모든 소계-공시값 대사 행은 $0으로 일치한다(C13). 각 모델은 해당 기업의 실제 계정 구조에 맞춰 개별 작성되며 — 다른 모델의 복제나 금액 직접 입력의 지름길은 사용하지 않는다.