grepcent / static financial knowledge base

Meta Platforms, Inc. (META) single-company analysis

AI-assembled from public SEC filings. Generated: 2026-06-29. Pack hash: fb2090fc275caac2b5fbfb3376000a3ce6932a6110f55079b8c853b4ec3c185a.

This page is a descriptive assembly from a frozen evidence pack of public SEC filing excerpts and verified SEC companyfacts metrics. It is not a rating, recommendation, endorsement, forecast, valuation, or investment advice. Filer viewpoints are attributed to the filer and figures are as of their cited filing dates.

Informational only - not investment advice. See Disclaimer.

Back to META company profile. Existing company-page SVG figures remain the source for financial time-series context.

Gate result: 10 claims survived; 0 dropped; 1 sections quarantined.

Business & segments

On products and services:

In 2026, we intend to focus on several key investment areas: AI, Reels and our discovery engine, wearables, monetization of our products and services, youth, platform integrity and community support, and infrastructure capacity.

Source: business; filed 2026-01-29; SEC filing; fact QUOTE_META_BUSINESS_26.

On Reality Labs products:

In general, our Reality Labs efforts include shorter-term projects developing specific products and services to go to market, as well as longer-term research and development projects.

Source: business; filed 2026-01-29; SEC filing; fact QUOTE_META_BUSINESS_17.

Financial profile

The values below are templated from verified SEC companyfacts-derived facts. The embedded SVG figures show selected annual series from the same facts.

Reported revenue: 200,966,000,000 FY 2025 ended 2025-12-31; fact NUM_META_REVENUE_FY2025.

Operating margin: 41.44% FY 2025 ended 2025-12-31; fact NUM_META_OPERATING_MARGIN_FY2025.

Free cash flow: 46,109,000,000 FY 2025 ended 2025-12-31; fact NUM_META_FREE_CASH_FLOW_FY2025.

META revenue, last 5 periods. Source: SEC companyfacts concept RevenueFromContractWithCustomerExcludingAssessedTax; latest filing 2026-01-29.META RevenueLatest point: FY2025 ended 2025-12-31 = $201.0BSource: SEC companyfacts RevenueFromContractWithCustomerExcludingAssessedTax; accession 0001628280-26-003942; filed 2026-01-29.Fiscal yearReported revenue$0.0B$125.0B$250.0B$117.9BFY2021$116.6BFY2022$134.9BFY2023$164.5BFY2024$201.0BFY2025
META operating margin, last 5 periods. Source: SEC companyfacts concept OperatingIncomeLoss / RevenueFromContractWithCustomerExcludingAssessedTax; latest filing 2026-01-29.META Operating marginLatest point: FY2025 ended 2025-12-31 = 41.4%Source: SEC companyfacts OperatingIncomeLoss / RevenueFromContractWithCustomerExcludingAssessedTax; accession 0001628280-26-003942; filed 2026-01-29.Fiscal yearOperating margin (%)0.0%25.0%50.0%FY202139.6%FY202224.8%FY202334.7%FY202442.2%FY202541.4%
META net margin, last 5 periods. Source: SEC companyfacts concept NetIncomeLoss / RevenueFromContractWithCustomerExcludingAssessedTax; latest filing 2026-01-29.META Net marginLatest point: FY2025 ended 2025-12-31 = 30.1%Source: SEC companyfacts NetIncomeLoss / RevenueFromContractWithCustomerExcludingAssessedTax; accession 0001628280-26-003942; filed 2026-01-29.Fiscal yearNet margin (%)0.0%20.0%40.0%FY202133.4%FY202219.9%FY202329.0%FY202437.9%FY202530.1%
META free cash flow, last 5 periods. Source: SEC companyfacts concept NetCashProvidedByUsedInOperatingActivities - PaymentsToAcquirePropertyPlantAndEquipment; latest filing 2026-01-29.META Free cash flowLatest point: FY2025 ended 2025-12-31 = $46.1BSource: SEC companyfacts NetCashProvidedByUsedInOperatingActivities - PaymentsToAcquirePropertyPlantAndEquipment; accession 0001628280-26-003942; filed 2026-01-29.Fiscal yearFree cash flow$0.0B$37.5B$75.0B$39.0BFY2021$19.3BFY2022$44.1BFY2023$54.1BFY2024$46.1BFY2025
META capital expenditures, last 5 periods. Source: SEC companyfacts concept PaymentsToAcquirePropertyPlantAndEquipment; latest filing 2026-01-29.META Capital expendituresLatest point: FY2025 ended 2025-12-31 = $69.7BSource: SEC companyfacts PaymentsToAcquirePropertyPlantAndEquipment; accession 0001628280-26-003942; filed 2026-01-29.Fiscal yearCapital expenditures$0.0B$37.5B$75.0B$18.7BFY2021$31.2BFY2022$27.0BFY2023$37.3BFY2024$69.7BFY2025
META dividends paid, last 4 periods. Source: SEC companyfacts concept PaymentsOfDividends; latest filing 2026-01-29.META Dividends paidLatest point: FY2025 ended 2025-12-31 = $5.3BSource: SEC companyfacts PaymentsOfDividends; accession 0001628280-26-003942; filed 2026-01-29.Fiscal yearDividends paid$0.0B$3.0B$6.0BFY2022$0.0BFY2023$0.0BFY2024$5.1BFY2025$5.3B
META share buybacks, last 5 periods. Source: SEC companyfacts concept PaymentsForRepurchaseOfCommonStock; latest filing 2026-01-29.META Share buybacksLatest point: FY2025 ended 2025-12-31 = $26.2BSource: SEC companyfacts PaymentsForRepurchaseOfCommonStock; accession 0001628280-26-003942; filed 2026-01-29.Fiscal yearShare buybacks$0.0B$25.0B$50.0B$44.5BFY2021$28.0BFY2022$19.8BFY2023$30.1BFY2024$26.2BFY2025

Revenue scale is shown from verified SEC companyfacts. Revenue: 200,966,000,000 FY 2025 ended 2025-12-31.

Source: verified SEC companyfacts; SEC filing; fact NUM_META_REVENUE_FY2025.

Operating margin is shown from verified SEC companyfacts. Operating margin: 41.44% FY 2025 ended 2025-12-31.

Source: verified SEC companyfacts; SEC filing; fact NUM_META_OPERATING_MARGIN_FY2025.

Net margin is shown from verified SEC companyfacts. Net margin: 30.08% FY 2025 ended 2025-12-31.

Source: verified SEC companyfacts; SEC filing; fact NUM_META_NET_MARGIN_FY2025.

Free cash flow is computed from verified operating cash flow and capital expenditure facts. Free cash flow: 46,109,000,000 FY 2025 ended 2025-12-31.

Source: verified SEC companyfacts; SEC filing; fact NUM_META_FREE_CASH_FLOW_FY2025.

Capital expenditures are shown as reported payment magnitude from verified SEC companyfacts. Capital expenditures: 69,691,000,000 FY 2025 ended 2025-12-31.

Source: verified SEC companyfacts; SEC filing; fact NUM_META_CAPEX_FY2025.

Dividends paid are shown as reported cash outflow magnitude from verified SEC companyfacts. Dividends paid: 5,324,000,000 FY 2025 ended 2025-12-31.

Source: verified SEC companyfacts; SEC filing; fact NUM_META_DIVIDENDS_PAID_FY2025.

MetricValueFiscal yearPeriod endSource
Capital expenditures69,691,000,00020252025-12-31USD
Dividends paid5,324,000,00020252025-12-31USD
Free cash flow46,109,000,00020252025-12-31USD
Liabilities / equity0.6820252025-12-31Ratio
Net income60,458,000,00020252025-12-31USD
Net margin30.08%20252025-12-31Percent
Operating cash flow115,800,000,00020252025-12-31USD
Operating income83,276,000,00020252025-12-31USD

Stated strategy

Quarantined: No direct section-relevant quote survived source selection.

Key idiosyncratic risks

On supply-chain exposure:

We face a number of risks related to design, manufacturing, and supply chain management with respect to our consumer hardware products.

Source: risk; filed 2026-01-29; SEC filing; fact QUOTE_META_RISK_23.

Recent developments

On advertising revenue:

Income from operations for 2025 was $83.28 billion, an increase of $13.90 billion, or 20%, compared to 2024, driven by an increase in advertising revenue, partially offset by an increase in costs and expenses.

Source: mda; filed 2026-01-29; SEC filing; fact QUOTE_META_MDA_6.