Meta Platforms

META · NASDAQ · USD

$728.08Change from previous close: +0.30%Absolute change: +$2.15

Close · October 2, 2026

At a glance

Revenue growth
+22.17%
2025 vs 2024
Net income growth
−3.05%
2025 vs 2024
Net margin
30.1%
2024: 37.9%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow31,86232,22636,21429,99925,56124,02627,98824,72419,37019,24619,40420,402
Depreciation and amortization6,3565,9995,4114,9634,3423,9004,4024,0273,6373,3743,1722,859
Capital expenditure-30,116-18,997-21,383-18,829-16,538-12,941-14,425-8,258-8,173-6,400-7,592-6,496
Investing cash flow-49,653-33,678-34,187-21,848-25,958-20,010-21,498-8,620-8,298-8,734-6,472-6,077
Financing cash flow15,967-6,55325,149-10,047-15,977-19,495-5,465-4,371-11,178-19,767-8,401-5,875
Dividends paid-1,353-1,346-1,338-1,330-1,327-1,329-1,270-1,263-1,266-1,273——
Share repurchases-4,281-4,423-4,272-8,462-14,277-17,637-3,857-12,361-9,507-18,170-8,165-5,657
Debt issued24,910—29,9060.0——0.010,432————
Debt repaid-962-843-754-545-474-751-411-944-299-315-307-267
Effect of exchange rates-7.07.0-17.09.0131112-714368-152-288396-354
Net change in cash-1,831-7,99827,159-1,887-16,243-15,36731112,101-258-9,5434,9278,096
Free cash flow1,74613,22914,83111,1709,02311,08513,56316,46611,19712,84611,81213,906
Levered free cash flow-42910,54711,1091,7712,1328,4217,02015,1446,8007,9338,4958,077