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Purchases of Equity Securities by the Issuer and Affiliated PurchasersTotal Number of Shares Purchased (1)Average Price Paid Per Share (2)Total Number of Shares Purchased as Part of Publicly Announced Programs (1)Approximate Dollar Value of Shares that May Yet Be Purchased Under the Plans or Programs (1)(in thousands)(in millions)October 1 - 31, 2022November 1 - 30, 2022December 1 - 31, 2022Consolidated and Segment ResultsFamily of AppsReality LabsTotalYear Ended
December 31,20222021% change(in millions, except percentages)Revenue(1)%(5)%Costs and expenses22%27%23%Income (loss) from operations(25)%(35)%(38)%Operating margin37%49%(635)%(448)%25%40%RestructuringFacilities ConsolidationSeverance and Other Personnel CostsData Center AssetsCost of revenue$—Research and development—Marketing and salesGeneral and administrativeResults of OperationsYear Ended December 31,2020Costs and expenses:Total costs and expensesIncome from operationsInterest and other income (expense), netIncome before provision for income taxesProvision for income taxesNet incomeYear Ended December 31,100%20%33%34%2022 vs 2021 % change2021 vs 2020 % changeAdvertisingOther revenue12%10%36%Total revenue11%Percentage of revenue19%43%30%21%9%13%50%8%Segment profitability45%(54)%Total income from operationsInterest income, net(40)%(31)%Foreign currency exchange losses, net42%(9)%Other income (expense), net(252)%NM(124)%4%(29)%96%Effective tax rate19.5%16.7%12.2%Liquidity and Capital ResourcesNet cash provided by operating activitiesNet cash used in investing activitiesNet cash used in financing activitiesFree Cash FlowPurchases of property and equipment, netPrincipal payments on finance leasesCONSOLIDATED BALANCE SHEETSDecember 31,AssetsCurrent assets:Cash and cash equivalentsMarketable securitiesAccounts receivable, netPrepaid expenses and other current assetsTotal current assetsNon-marketable equity securitiesProperty and equipment, netOperating lease right-of-use assetsIntangible assets, netGoodwillOther assetsTotal assetsLiabilities and stockholders' equityCurrent liabilities:Accounts payablePartners payableOperating lease liabilities, currentAccrued expenses and other current liabilitiesTotal current liabilitiesOperating lease liabilities, non-currentLong-term debtOther liabilitiesTotal liabilitiesCommitments and contingenciesStockholders' equity:Common stock, $0.000006 par value; 5,000 million Class A shares authorized, 2,247 million and 2,328 million shares issued and outstanding, as of December 31, 2022 and 2021, respectively; 4,141 million Class B shares authorized, 367 million and 413 million shares issued and outstanding, as of December 31, 2022 and 2021, respectivelyAdditional paid-in capitalAccumulated other comprehensive lossRetained earningsTotal stockholders' equityTotal liabilities and stockholders' equityCONSOLIDATED STATEMENTS OF INCOMEEarnings per share attributable to Class A and Class B common stockholders:BasicDilutedWeighted-average shares used to compute earnings per share attributable to Class A and Class B common stockholders:Share-based compensation expense included in costs and expenses:Total share-based compensation expenseCONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOMEOther comprehensive income (loss):Change in foreign currency translation adjustment, net of taxChange in unrealized gain (loss) on available-for-sale investments and other, net of taxComprehensive incomeCONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITYClass A and Class B Common StockAdditional Paid-In CapitalAccumulated Other Comprehensive Income (Loss)Retained EarningsTotal Stockholders' EquitySharesPar ValueBalances at December 31, 2019Issuance of common stockShares withheld related to net share settlementShare-based compensationShare repurchasesOther comprehensive incomeBalances at December 31, 2020Other comprehensive lossBalances at December 31, 2021Balances at December 31, 2022CONSOLIDATED STATEMENTS OF CASH FLOWSYear Ended December 31,Cash flows from operating activitiesAdjustments to reconcile net income to net cash provided by operating activities:Depreciation and amortizationDeferred income taxesImpairment charges for leases and leasehold improvementsAbandonment charges for data center assetsFair value adjustments for non-marketable securitiesOtherChanges in assets and liabilities:Accounts receivableCash flows from investing activitiesPurchases of property and equipmentProceeds relating to property and equipmentPurchases of marketable debt securitiesSales of marketable debt securitiesMaturities of marketable debt securitiesPurchases of non-marketable equity securitiesAcquisitions of businesses and intangible assetsOther investing activitiesCash flows from financing activitiesTaxes paid related to net share settlement of equity awardsRepurchases of Class A common stockProceeds from issuance of long-term debt, netOther financing activitiesEffect of exchange rate changes on cash, cash equivalents, and restricted cashNet decrease in cash, cash equivalents, and restricted cashCash, cash equivalents, and restricted cash at beginning of the periodCash, cash equivalents, and restricted cash at end of the periodReconciliation of cash, cash equivalents, and restricted cash to the consolidated balance sheetsRestricted cash, included in prepaid expenses and other current assetsRestricted cash, included in other assetsTotal cash, cash equivalents, and restricted cashSupplemental cash flow dataCash paid for income taxes, netNon-cash investing and financing activities:Property and equipment in accounts payable and accrued expenses and other current liabilitiesAcquisition of businesses in accrued expenses and other current liabilities and other liabilitiesOther current assets through financing arrangement in accrued expenses and other current liabilitiesRepurchases of Class A common stock in accrued expenses and other current liabilitiesUnited States and Canada (1)Europe (2)Asia-PacificRest of World (2)Facilities Consolidation (1)Balance as of January 1, 2022Severance and other personnel costsCash payments during the periodBalance as of December 31, 2022 (1)Earnings per ShareClass
AClass
BClass BBasic EPS:NumeratorDenominatorShares used in computation of basic earnings per shareBasic EPSDiluted EPS:Reallocation of net income as a result of conversion of Class B to Class A common stockReallocation of net income to Class B common stockNet income for diluted EPSConversion of Class B to Class A common stockWeighted-average effect of dilutive RSUsShares used in computation of diluted earnings per shareDiluted EPSCash, Cash Equivalent, Marketable Securities, and Restricted CashCash and cash equivalents:CashMoney market fundsU.S. government securitiesU.S. government agency securitiesCertificates of deposit and time depositsCorporate debt securitiesTotal cash and cash equivalentsMarketable securities:Marketable debt securities:Total marketable debt securitiesMarketable equity securitiesTotal marketable securitiesRestricted cash:Restricted cash included in prepaid expenses and other current assetsRestricted cash included in other assetsTotal restricted cashTotal cash, cash equivalents, marketable securities, and restricted cashDecember 31, 2022Less than 12 months12 months or greaterFair ValueUnrealized LossesDecember 31, 2021Non-marketable Equity SecuritiesNon-marketable equity securities under measurement alternative:Initial costCumulative upward adjustmentsCumulative impairment/downward adjustmentsCarrying valueNon-marketable equity securities under equity methodFair Value MeasurementsFair Value Measurement at Reporting Date UsingDescriptionDecember 31,
2022Quoted Prices in Active Markets for Identical Assets
(Level 1)Significant Other Observable Inputs
(Level 2)Significant Unobservable Inputs
(Level 3)Cash equivalents:Restricted cash equivalentsDecember 31,
2021Property and EquipmentDecember 31,LandServers and network assetsBuildingsLeasehold improvementsEquipment and otherFinance lease right-of-use assetsConstruction in progressProperty and equipment, grossLess: Accumulated depreciationLeasesFinance lease cost:Amortization of right-of-use assetsInterestOperating lease costVariable lease cost and other, netTotal lease costWeighted-average remaining lease term:Finance leases14.4 years13.9 yearsOperating leases12.5 years13.0 yearsWeighted-average discount rate:3.1%2.7%3.2%2.8%Operating LeasesFinance Leases20232024202520262027ThereafterTotal undiscounted cash flowsLess: Imputed interestPresent value of lease liabilities (1)Lease liabilities, currentLease liabilities, non current_________________Cash paid for amounts included in the measurement of lease liabilities:Operating cash flows for operating leasesOperating cash flows for finance leasesFinancing cash flows for finance leasesLease liabilities arising from obtaining right-of-use assets:Acquisitions, Goodwill, and Intangible AssetsGoodwill at December 31, 2020AcquisitionsAdjustments/transferEffect of currency translation adjustmentSegment allocation in the fourth quarter of 2021 (1)Acquisitions in the fourth quarter of 2021Goodwill at December 31, 2021AdjustmentsGoodwill at December 31, 2022Weighted-Average Remaining Useful Lives
(in years)Gross Carrying AmountAccumulated AmortizationNet Carrying AmountAcquired technologyAcquired patentsTrade namesTotal finite-lived assetsTotal indefinite-lived assetsN/ATotal intangible assetsLong-term DebtMaturityStated Interest RateEffective Interest Rate2027 Notes3.50%3.63%2032 Notes20323.85%3.92%2052 Notes4.45%4.51%2062 Notes4.65%4.71%Total face amount of long-term debtUnamortized discount and issuance costs, net2023 through 2026Total outstanding debtLiabilitiesLegal-related accruals (1)Accrued compensation and benefitsAccrued property and equipmentAccrued taxesOther current liabilitiesLegal and Related MattersIncome tax payableOther non-current liabilitiesContractual CommitmentsShare-based Compensation PlanNumber of SharesWeighted-Average Grant Date Fair Value Per ShareUnvested at December 31, 2021GrantedVestedForfeitedUnvested at December 31, 2022Interest and Other Income (Expense), NetIncome TaxesDomesticForeignCurrent:FederalStateTotal current tax expenseDeferred:Total deferred tax (benefits)/expenseU.S. federal statutory income tax rate21.0%State income taxes, net of federal benefitResearch and development tax creditsForeign-derived intangible income deductionEffect of non-U.S. operationsResearch and development capitalizationDeferred tax assets:Loss carryforwardsTax credit carryforwardsAccrued expenses and other liabilitiesLease liabilitiesCapitalized research and developmentUnrealized losses in securities and investmentsTotal deferred tax assetsLess: valuation allowanceDeferred tax assets, net of valuation allowanceDeferred tax liabilities:Right-of-use assetsTotal deferred tax liabilitiesNet deferred tax assetsGross unrecognized tax benefits ‑ beginning of periodIncreases related to prior year tax positionsDecreases related to prior year tax positionsIncreases related to current year tax positionsDecreases related to settlements of prior year tax positionsGross unrecognized tax benefits ‑ end of periodNote 17. Segment and Geographical InformationRevenue:Income (loss) from operations:United StatesRest of the world (1)Total long-lived assetsExhibitIncorporated by ReferenceFiled
HerewithNumberExhibit DescriptionFormFile No.Filing DateAmended and Restated Certificate of Incorporation.8-K001-35551October 28, 2021Amended and Restated Bylaws.Form of Class A Common Stock Certificate.10-KFebruary 3, 2022Form of Class B Common Stock Certificate.Form of "Type 1" Holder Voting Agreement, between Registrant, Mark Zuckerberg, and certain parties thereto.S-1333-179287February 8, 2012Indenture, dated as of August 9, 2022, between Meta Platforms, Inc. and U.S. Bank Trust Company, National Association, as trustee.August 9, 2022First Supplemental Indenture, dated as of August 9, 2022, between Meta Platforms, Inc. and U.S. Bank Trust Company, National Association, as trustee.Description of Registrant's Capital Stock.X10.1+Form of Indemnification Agreement.April 15, 201910.2(A)+2012 Equity Incentive Plan, as amended.10.2(B)+Third Amendment to the 2012 Equity Incentive Plan .10.2(C)+2012 Equity Incentive Plan forms of award agreements.10-QJuly 31, 201210.2(D)+2012 Equity Incentive Plan forms of award agreements (Additional Forms).May 4, 201710.2(E)+July 27, 201710.2(F)+April 26, 201810.2(G)+10.3(G)January 31, 201910.2(H)+April 25, 201910.2(I)+2012 Equity Incentive Plan forms of award agreements (Additional Forms) .April 30, 202010.2(J)+July 29, 202110.2(K)+April 28, 202210.3+Bonus Plan, effective January 1, 2022.10.4+Amended and Restated Offer Letter, dated January 27, 2012, between Registrant and Mark Zuckerberg.10.5+Offer Letter, dated November 15, 2022, between Registrant and David M. Wehner.10.6+Offer Letter, dated June 5, 2020, between Registrant and Christopher K. Cox .April 29, 202110.7+Amended and Restated Offer Letter, dated September 14, 2021, between Registrant and Marne L. Levine.10.8+Offer Letter, dated December 22, 2022, between Registrant and Javier Olivan.10.9+Form of Executive Officer Offer Letter.July 25, 201910.10+Executive Sales Incentive Plan.10.11+Director Compensation Policy, as amended.10.12+Deferred Compensation Plan for Non-Employee Directors .10.13+Indemnification Agreement Relating to Subsidiary Operations, dated March 14, 2021, between Registrant and Mark Zuckerberg.List of Subsidiaries.Consent of Independent Registered Public Accounting Firm.Certification of Mark Zuckerberg, Chief Executive Officer, pursuant to Rule 13a-14(a)/15d-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.Certification of Susan Li , Chief Financial Officer, pursuant to Rule 13a-14(a)/15d-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.32.1#Certification of Mark Zuckerberg, Chief Executive Officer, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.Performance Factors(a)Profit Before Tax;(b)Billings;(c)Revenue;(d)Net revenue;(e)Earnings (which may include earnings before interest and taxes, earnings before taxes, and net earnings);(f)Operating income;(g)Operating margin;(h)Operating profit;(i)Controllable operating profit, or net operating profit;(j)Net Profit;(k)Gross margin;(l)Operating expenses or operating expenses as a percentage of revenue;(m)Net income;(n)Earnings per share;(o)Total stockholder return;(p)Market share;(q)Return on assets or net assets;(r)The Company’s stock price;(s)Growth in stockholder value relative to a pre-determined index;(t)Return on equity;(u)Return on invested capital;(v)Cash Flow (including free cash flow or operating cash flows)(w)Cash conversion cycle;(x)Economic value added;(y)Individual confidential business objectives;(z)Contract awards or backlog;(aa)Overhead or other expense reduction;(bb)Credit rating;(cc)Strategic plan development and implementation;(dd)Succession plan development and implementation;(ee)Improvement in workforce diversity;(ff)Customer indicators;(gg)New product invention or innovation;(hh)Attainment of research and development milestones;(ii)Improvements in productivity;(jj)Bookings;(kk)Attainment of objective operating goals and employee metrics; and(ll)Any other metric that is capable of measurement as determined by the Committee.DefinitionsVery truly yours,Meta Platforms, Inc./s/ Miranda KalinowskiBy: Miranda Kalinowski, VP, Global RecruitingACCEPTED AND AGREED:David Wehner/s/ David WehnerSignatureDate: January 31, 2023January 27, 2023FACEBOOK SPAIN S.L/s/ William LyallWilliam LyallTransformation Lead, Global People ServicesJavier Olivan/s/ Javier OlivanDate: January 26, 2023THE SARBANES-OXLEY ACT OF 2002Date:February 1, 2023/s/ MARK ZUCKERBERGMark ZuckerbergChairman and Chief Executive Officer(Principal Executive Officer)/s/ SUSAN LISusan LiChief Financial Officer(Principal Financial Officer)OF THE SARBANES-OXLEY ACT OF 2002PK ! Q docProps/app.xml
Microsoft Excel0falseWorksheets63purchases of equity securiconsolidated and segment rrestructuringresults of operationsresults of operations-1revenuecost of revenueresearch and developmentmarketing and salesgeneral and administrativesegment profitabilityinterest and other incomeprovision for income taxesliquidity and capital resofree cash flowconsolidated balance sheetsincomecomprehensive incomestockholders equitycash flowscash flows-1revenue-1revenue-2restructuring-1restructuring-2earnings per sharecash cash equivalent markecash cash equivalent marke-1cash cash equivalent marke-2nonmarketable equity securfair value measurementsfair value measurements-1property and equipmentleasesleases-1leases-2leases-3acquisitions goodwill andacquisitions goodwill and -1acquisitions goodwill and -2longterm debtlongterm debt-1liabilitieslegal and related matterscontractual commitmentssharebased compensation planinterest and other income -1income taxesincome taxes-1income taxes-2income taxes-3income taxes-4note 17 segment and geogranote 17 segment and geogra-1note 17 segment and geogra-2note 17 segment and geogra-3performance factorsdefinitionsjanuary 27 2023the sarbanesoxley act of 2the sarbanesoxley act of 2-1of the sarbanesoxley act oof the sarbanesoxley act o-1falsefalsefalse12.0000PK ! [P P docProps/core.xml
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