need help with Profibility Ratio for attached income statement and balance.sheet. ...

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need help with Profibility Ratio for attached income statement and balance.sheet.

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Starbucks 111.82 -1.59 (-1.40%) SBUX Income Statement Income ! Annual Quarterly Col Period Ending 2020 27/09 2019 29/09 2018 30/09 Total Revenue 23518 26508.6 24719.5 22 Revenue 23518 26508.6 24719.5 22 Other Revenue, Total Cost of Revenue, Total 18399.3 19020.5 17367.7 9 Gross Profit 5118.7 7488.1 7351.8 13 21956.3 21807.9 18960.6 18 1679.6 1824.1 1759 7 1431.3 1377.3 1247 1 Total Operating Expenses Selling/General/Admin. Expenses, Total Research & Development Depreciation / Amortization Interest Expense (Income) - Net Operating Unusual Expense (Income) Other Operating Expenses. Total Operating Income -322.5 -298 -301.2 338.3 -487 - 1651.2 430.3 371 539.3 1561.7 4700.7 5758.9 4. Interest Income (Expense), Net Non-Operating -397.3 -234.5 21.1 Gain (Loss) on Sale of Assets Other, Net Net Income Before Taxes 1164.4 4466.2 5780 Provision for Income Taxes 239.7 871.6 1102 Net Income After Taxes 924.7 3594.6 4678 3.6 4.6 0.3 Minority Interest Equity In Affiliates U.S GAAP Adjustment Net Income Before Extraordinary Items Total Extraordinary Items Net Income 928.3 3599.2 4678.3 -160 3599.2 928.3 45 Total Adjustments to Net Income Income Available to Common Excluding Extraordinary Items Dilution Adjustment 928.3 3599.2 467 Diluted Net Income 928.3 3599.2 451 Diluted Weighted Average Shares 1181.8 1233.2 139 0.79 2.92 3 Diluted EPS Excluding Extraordinary Items DPS - Common Stock Primary Issue 1.64 1.44 1 1.12 Diluted Normalized EPS 2.68 2 in Millions of USD (except for per share items) Beelance! 2020 27/09 2019 29/09 2018 30/09 Period Ending Total Current Assets 7806.4 5653.9 12494.2 Cash and Short Term Investments 4632.1 2757.1 8937.8 Cash 4350.9 2686.6 8756.3 281.2. 70.5 181.5 1395.4 1020.3 1648.5 Cash & Equivalents Short Term Investments Total Receivables, Net Accounts Receivables - Trade, Net Total Inventory Prepaid Expenses Other Current Assets. Total 883.4 879.2 693.1 1551.4 1529.4 1400.5 227.5 334.5 482.9 12.6 24.5 Total Assets 29374.5 19219.6 24156.4 14375.5 6431.7 5929.1 22289.4 14273.5 13197.1 -7913.9 -7841.8 -7268 3597.2 3490.8 3541.6 Property/Plant/Equipment, Total - Net Property/Plant/Equipment, Total - Gross Accumulated Depreciation. Total Goodwill, Net Intangibles, Net Long Term Investments Note Receivable - Long Term Other Long Term Assets, Total Other Assets, Total 552.1 781.8 1042.2 684.8 616 602.4 2358.5 2245.4 546.9 Total Current Liabilities 7346.8 6168.7 5684.2 are 2 438.8 Notes Payable/Short Term Debt Current Port of LT Debt/Capital Leases Other Current liabilities, Total 1249.9 349 1961.3 3439.3 2595 Total Liabilities 37179.6 25451.8 22986 Total Long Term Debt 14659.6 11167 9090 Long Term Debt 14659.6 11167 9090 Capital Lease Obligations Deferred Income Tax 158.1 189.4 Minority Interest 5.7 1.2. E Other Liabilities. Total 15009.4 7925.5 8206 Total Equity -7805.1 -6232.2 116 Redeemable Preferred Stock, Total Preferred Stock - Non Redeemable, Net Common Stock, Total 1.2. 1.2 373.9 41.1 4 -7815.6 -5771.2 145 Additional Paid-In Capital Retained Earnings (Accumulated Deficit) Treasury Stock - Common ESOP Debt Guarantee 5.7 3.9 -370.3 -507.2 -32 29374.5 19219.6 Unrealized Gain (Loss) Other Equity, Total Total Liabilities & Shareholders' Equity Total Common Shares Outstanding Total Preferred Shares Outstanding 2415 1184.6 130 1173.3

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