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Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31 December 2020. You are required to: a) Compute the current

Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31
December 2020. You are required to:
a) Compute the current ratio, quick ratio, gross profit margin and net profit margin for the
past 2 years (using group figures and calculations based on 2 decimal points)
b) Briefly assess the above ratios.
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I have the answers for question A i just need the answer for question B
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Updated the question hope its clearer
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Below aracted brownportes Malaysia Botad for the wonded December 2020. Your a) Compute the stock tres profil nagu and net profit margin the past year fires and actions based on teie 18 mars 112 Statements of Comprehensive Income Statements of Financial Position 11 Bs. Il QUESTION 5 120 MARKS Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31 December 2020. You are required to: a) Compute the current ratio, quick ratio, gross profit margin and net profit margin for the past 2 years (using group figures and calculations based on 2 decimal points) 18 marks) b) Brietly assess the above ratios. [12 marks] 56. Statements of Comprehensive Income For the year ended 31 December 2020 3.10 401.67 Other come Selingen . . Results from 0.001 UB 736.000 25 S. OL 72 SELEN 01.06 NT 724 (170 2.213 MELAN Other compreens, ut efter Mam that may be med spruttori og periode 11:23 w for the 3 LS Total conhecem heyat ST 12,7 6611 672913 LAN S. S. SELA Care este 20 20 27 Page 6 of 10 54 Statements of Financial Position Ast December 2010 Lena 30 11.12 Current 10 62.70 SO Cathew TES 2 Eowity Tutela 9.30 25701 LABLE 02 15 0.000 T301 15 Total equity and atten 20 2.81.31 2. 2.73 Page 7 of 10 Statements of Comprehensive Income For the year ended 31 December 2020 Company Note 2019 RMODO RADO Group 2020 RM600 5.412,180 (3.446.678) 1,965,502 18 544.450 562.050 544450 662050 2015 RMOOC 5.518,076 3.444.561) 2,073,515 20.960 (977,094 (192,373) (16.399) 3384 911.993 3,662 (40,663) (37.001) (2.405) (946,492) (211,159) (52.404) 553 756,000 3.538 (35.466) 131.928) 3.495) 502.081 1.813 6585 2.455 1.813 2.865 19 661 DOS 697 724769 (172,056) 552.713 733 875.725 (202812 672.913 22 543,894 (434) 543.460 660 253 Revenue Cost of sales Gross profit Other income Selling and Gistribution expenses Administrative expenses Other expenses Reversal of impairment lors on trade receivables Results from operating activities Finance income Finance costs Net finance costs income Share of profit of an equity-accounted associate net of tax Profit before tax Income tax expense Profit net of tax Other comprehensive expense, net of tax Item that may be reclassified to profit or loss in subsequent periods Netloss on cash flow hedges Item that will not be reclassified to profit or loss in subsequent periods Remeasurement loss on defined benefit ability Other comprehensive expense for the year. net of tax Total comprehensive income for the year net of tax Profit attributable to owners of the parent Total comprehensive income attributable to owners of the parent Earnings per share attributable to owners of the parent (sen Basic (2.603) 3.4291 (1,298) 2.2921 23 (3.901) 15.7223 548,812 552.713 567,191 672.913 543.450 543.460 660253 660 253 548.812 667.191 543.450 660 253 24 236 287 Statements of Financial Position As at 31 December 2020 2020 2013 Company 2020 MOOD Note 2015 MODO Assets Non-current assets Property plant and equipment Right- 127201 1423.10 23123 54500 53 10.02 3.000 022 2.000 Instant bodies Investment Deferred Trade and other movables 3.614 22 12.05 170 15.30 191.022 191.022 Current 55127 508.07 11 472.70 25-0,560 20111 Trade and other Current Cathedrales 12 155 LO 10:00 07200 252500 0111 Ashed shald for sale 1.07.12 234560 10.111 107.13 272338 2.un 85.382 500133 Total Equity and abilities Equity attributable to owners of the parent Share capital 14 27500 267,500 267,500 Retained carings 257 500 (2.534 21.10 55.136 2355 62934 216.507 ALT 3296 597,147 15 2572 Current liabilities Loans and borrowing Lasse Trade and others Curretta 3 15 257.701 31063 LAOS 41 222 1.1.2 2007 1.950 1654.750 1.575 1.900 G 2020 RADO 2013 Company 2020 RM DOO 2015 RM DOO Non-current liabilities Loans and borrowing La la lay dutie Employee bent 15 5 17 100.000 102.345 0512 133.0 2.400 91 1352 . Total Mobiles Total equity and abilities 2.304235 2.861371 2.061614 272533 1,575 35 582 1986 500.133 QUESTION 5 [20 MARKSI Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31 December 2020. You are required to: a) Compute the current ratio, quick ratio, gross profit margin and net profit margin for the past 2 years (using group figures and calculations based on 2 decimal points). [8 marks] b) Briefly assess the above ratios. (12 marks] Group 2020 0.59 2019 0.65 Current ratro (cument Assets / Current arabilities) (1.079,892 /1.816.929) (1.073,013 / 1,654, 750) (294,5to / 1,575) (408,111 / 1,986) 2020 2019 0.27 0.31 Quick ratio (ament Assets - Inventoric / ciment liabolitus (1.079.882 - 574.270) / 1.816.824 (1.073,013 - 551, 827)/ 1.654,750 |(29u, sto /1,575) (400, 111 7 11986) Gross profit margin 2020 2014 36.32% 37.58% (Gross profit Revenue) 10.21% 12.19% Net profit margin (Profit Revenue Statements of Comprehensive Income For the year ended 31 December 2020 Group 2020 RMDOO 2019 RAIDOO Company 2020 RM DOO 2019 RUTOOO Note 18 SULASO 662,050 5.412,180 (3,445,678) 1,965,502 54,490 562.050 1946.492) 1211,159) (52.404) 2.405) 5.518,076 (3.444.561) 2.073.515 20.960 1977.094) (192.373) (16.399) 3.384 911.993 3.662 (40.663) (37.001) 13.495) (14) Revenue Cost of sales Gross profit Other income Selling and distribution expenses Administrative expenses Other expenses Reversal of impairment loss on trade receivables Results from operating activities Finance Income Finance costs Net finance costs income Share of profit of an equity-accounted associate net of tax Profit before tax Income tax expense Profit net of tax 553 52.081 1.813 658.541 2.465 756.000 3,538 (35,466) 31.928) 1.813 2.465 733 875.725 19 543,894 697 74769 (172056) 552 713 22 (202.812 672.913 661,006 (753) 660.253 543,460 (2.603) (3.429) (1.296) (2.293) Other comprehensive expense, net of taxt Item that may be reclassified to profit or loss in subsequent periods Net loss on cash flow hedges Item that will not be reclassified to profit or loss in subsequent periods Remeasurement loss on defined benefit liability Other comprehensive expense for the year. net of tax Total comprehensive income for the year, net of tax Profit attributable to owners of the parent Total comprehensive income attributable to owners of the parent Earnings per share attributable to owners of the parent (sen) - Basic 23 (3.901) (5.722) 548,812 552,713 667.191 672.913 543,450 543.480 660.253 660.253 S48,812 667.191 543,460 660.253 24 236 287 Statements of Financial Position As at 31 December 2020 2019 Company 2020 RM200 2019 RONDO Note RM DOO DO Assets Non-current assets Property, plant and equipment Right-of-use asses Intangible assess Investments in subsidianes Investment in an associate Deferred tax assets Trade and other receivables LAZIO 2312 SUSO 1.277.961 254184 65.795 16,022 3.000 188,022 3.000 5,614 3179 12.036 1781489 5.367 34.311 15.807 1.653 525 191,022 191,022 Current mets Inventones Trade and other receivables Current tax assets Cash and bark balances 10 11 2944560 408,111 52.220 072705 54 2.359 1071 55127 508.097 2.690 10.00 107301) 12 234560 400, 111 Assets classified as held for sale 13 1,071.682 1.073.013 294560 400.111 2.86.371 2.726.530 185.582 599,133 14 207.500 267,500 Total assets Equity and liabi Equity attributable to owners of the parent Share capital Reserves Retained earrings Total quity Current liabilities Loans and borrowings Lease Trade and other payables Current tax liabilities 267,500 2534 293.170 552.136 267500 631 39355 664934 216.507 184007 329.647 597,147 15 5 16 257,701 31063 14.90 257 431 28.753 1321407 1486 120 1.986 1,816 1654.750 1,575 Group 2020 RADO 2019 R000 Company 2020 RMOGO 2019 RANDO Note Non-current liabilities Loans and borrowing Leasehabilities Employee benefits Deferred tax liabilibes 15 5 17 100.000 102.846 90.592 133.96 37.400 176-823 91 444 138.507 25,064 Total abilities Total equity and liabilities 230L235 2.861,371 2.061.614 2 726.538 1.575 485_SR2 1.986 599 133 QUESTION 5 [20 MARKSI Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31 December 2020. You are required to: a) Compute the current ratio, quick ratio, gross profit margin and net profit margin for the past 2 years (using group figures and calculations based on 2 decimal points). [8 marks) b) Briefly assess the above ratios. [12 marks] Below aracted brownportes Malaysia Botad for the wonded December 2020. Your a) Compute the stock tres profil nagu and net profit margin the past year fires and actions based on teie 18 mars 112 Statements of Comprehensive Income Statements of Financial Position 11 Bs. Il QUESTION 5 120 MARKS Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31 December 2020. You are required to: a) Compute the current ratio, quick ratio, gross profit margin and net profit margin for the past 2 years (using group figures and calculations based on 2 decimal points) 18 marks) b) Brietly assess the above ratios. [12 marks] 56. Statements of Comprehensive Income For the year ended 31 December 2020 3.10 401.67 Other come Selingen . . Results from 0.001 UB 736.000 25 S. OL 72 SELEN 01.06 NT 724 (170 2.213 MELAN Other compreens, ut efter Mam that may be med spruttori og periode 11:23 w for the 3 LS Total conhecem heyat ST 12,7 6611 672913 LAN S. S. SELA Care este 20 20 27 Page 6 of 10 54 Statements of Financial Position Ast December 2010 Lena 30 11.12 Current 10 62.70 SO Cathew TES 2 Eowity Tutela 9.30 25701 LABLE 02 15 0.000 T301 15 Total equity and atten 20 2.81.31 2. 2.73 Page 7 of 10 Statements of Comprehensive Income For the year ended 31 December 2020 Company Note 2019 RMODO RADO Group 2020 RM600 5.412,180 (3.446.678) 1,965,502 18 544.450 562.050 544450 662050 2015 RMOOC 5.518,076 3.444.561) 2,073,515 20.960 (977,094 (192,373) (16.399) 3384 911.993 3,662 (40,663) (37.001) (2.405) (946,492) (211,159) (52.404) 553 756,000 3.538 (35.466) 131.928) 3.495) 502.081 1.813 6585 2.455 1.813 2.865 19 661 DOS 697 724769 (172,056) 552.713 733 875.725 (202812 672.913 22 543,894 (434) 543.460 660 253 Revenue Cost of sales Gross profit Other income Selling and Gistribution expenses Administrative expenses Other expenses Reversal of impairment lors on trade receivables Results from operating activities Finance income Finance costs Net finance costs income Share of profit of an equity-accounted associate net of tax Profit before tax Income tax expense Profit net of tax Other comprehensive expense, net of tax Item that may be reclassified to profit or loss in subsequent periods Netloss on cash flow hedges Item that will not be reclassified to profit or loss in subsequent periods Remeasurement loss on defined benefit ability Other comprehensive expense for the year. net of tax Total comprehensive income for the year net of tax Profit attributable to owners of the parent Total comprehensive income attributable to owners of the parent Earnings per share attributable to owners of the parent (sen Basic (2.603) 3.4291 (1,298) 2.2921 23 (3.901) 15.7223 548,812 552.713 567,191 672.913 543.450 543.460 660253 660 253 548.812 667.191 543.450 660 253 24 236 287 Statements of Financial Position As at 31 December 2020 2020 2013 Company 2020 MOOD Note 2015 MODO Assets Non-current assets Property plant and equipment Right- 127201 1423.10 23123 54500 53 10.02 3.000 022 2.000 Instant bodies Investment Deferred Trade and other movables 3.614 22 12.05 170 15.30 191.022 191.022 Current 55127 508.07 11 472.70 25-0,560 20111 Trade and other Current Cathedrales 12 155 LO 10:00 07200 252500 0111 Ashed shald for sale 1.07.12 234560 10.111 107.13 272338 2.un 85.382 500133 Total Equity and abilities Equity attributable to owners of the parent Share capital 14 27500 267,500 267,500 Retained carings 257 500 (2.534 21.10 55.136 2355 62934 216.507 ALT 3296 597,147 15 2572 Current liabilities Loans and borrowing Lasse Trade and others Curretta 3 15 257.701 31063 LAOS 41 222 1.1.2 2007 1.950 1654.750 1.575 1.900 G 2020 RADO 2013 Company 2020 RM DOO 2015 RM DOO Non-current liabilities Loans and borrowing La la lay dutie Employee bent 15 5 17 100.000 102.345 0512 133.0 2.400 91 1352 . Total Mobiles Total equity and abilities 2.304235 2.861371 2.061614 272533 1,575 35 582 1986 500.133 QUESTION 5 [20 MARKSI Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31 December 2020. You are required to: a) Compute the current ratio, quick ratio, gross profit margin and net profit margin for the past 2 years (using group figures and calculations based on 2 decimal points). [8 marks] b) Briefly assess the above ratios. (12 marks] Group 2020 0.59 2019 0.65 Current ratro (cument Assets / Current arabilities) (1.079,892 /1.816.929) (1.073,013 / 1,654, 750) (294,5to / 1,575) (408,111 / 1,986) 2020 2019 0.27 0.31 Quick ratio (ament Assets - Inventoric / ciment liabolitus (1.079.882 - 574.270) / 1.816.824 (1.073,013 - 551, 827)/ 1.654,750 |(29u, sto /1,575) (400, 111 7 11986) Gross profit margin 2020 2014 36.32% 37.58% (Gross profit Revenue) 10.21% 12.19% Net profit margin (Profit Revenue Statements of Comprehensive Income For the year ended 31 December 2020 Group 2020 RMDOO 2019 RAIDOO Company 2020 RM DOO 2019 RUTOOO Note 18 SULASO 662,050 5.412,180 (3,445,678) 1,965,502 54,490 562.050 1946.492) 1211,159) (52.404) 2.405) 5.518,076 (3.444.561) 2.073.515 20.960 1977.094) (192.373) (16.399) 3.384 911.993 3.662 (40.663) (37.001) 13.495) (14) Revenue Cost of sales Gross profit Other income Selling and distribution expenses Administrative expenses Other expenses Reversal of impairment loss on trade receivables Results from operating activities Finance Income Finance costs Net finance costs income Share of profit of an equity-accounted associate net of tax Profit before tax Income tax expense Profit net of tax 553 52.081 1.813 658.541 2.465 756.000 3,538 (35,466) 31.928) 1.813 2.465 733 875.725 19 543,894 697 74769 (172056) 552 713 22 (202.812 672.913 661,006 (753) 660.253 543,460 (2.603) (3.429) (1.296) (2.293) Other comprehensive expense, net of taxt Item that may be reclassified to profit or loss in subsequent periods Net loss on cash flow hedges Item that will not be reclassified to profit or loss in subsequent periods Remeasurement loss on defined benefit liability Other comprehensive expense for the year. net of tax Total comprehensive income for the year, net of tax Profit attributable to owners of the parent Total comprehensive income attributable to owners of the parent Earnings per share attributable to owners of the parent (sen) - Basic 23 (3.901) (5.722) 548,812 552,713 667.191 672.913 543,450 543.480 660.253 660.253 S48,812 667.191 543,460 660.253 24 236 287 Statements of Financial Position As at 31 December 2020 2019 Company 2020 RM200 2019 RONDO Note RM DOO DO Assets Non-current assets Property, plant and equipment Right-of-use asses Intangible assess Investments in subsidianes Investment in an associate Deferred tax assets Trade and other receivables LAZIO 2312 SUSO 1.277.961 254184 65.795 16,022 3.000 188,022 3.000 5,614 3179 12.036 1781489 5.367 34.311 15.807 1.653 525 191,022 191,022 Current mets Inventones Trade and other receivables Current tax assets Cash and bark balances 10 11 2944560 408,111 52.220 072705 54 2.359 1071 55127 508.097 2.690 10.00 107301) 12 234560 400, 111 Assets classified as held for sale 13 1,071.682 1.073.013 294560 400.111 2.86.371 2.726.530 185.582 599,133 14 207.500 267,500 Total assets Equity and liabi Equity attributable to owners of the parent Share capital Reserves Retained earrings Total quity Current liabilities Loans and borrowings Lease Trade and other payables Current tax liabilities 267,500 2534 293.170 552.136 267500 631 39355 664934 216.507 184007 329.647 597,147 15 5 16 257,701 31063 14.90 257 431 28.753 1321407 1486 120 1.986 1,816 1654.750 1,575 Group 2020 RADO 2019 R000 Company 2020 RMOGO 2019 RANDO Note Non-current liabilities Loans and borrowing Leasehabilities Employee benefits Deferred tax liabilibes 15 5 17 100.000 102.846 90.592 133.96 37.400 176-823 91 444 138.507 25,064 Total abilities Total equity and liabilities 230L235 2.861,371 2.061.614 2 726.538 1.575 485_SR2 1.986 599 133 QUESTION 5 [20 MARKSI Below data extracted from annual report of Nestle (Malaysia) Berhad for the year ended 31 December 2020. You are required to: a) Compute the current ratio, quick ratio, gross profit margin and net profit margin for the past 2 years (using group figures and calculations based on 2 decimal points). [8 marks) b) Briefly assess the above ratios. [12 marks]

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