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How do I identify which accounting method Netflix used based on the 2018 financial statement? How does the company treat its intangible assets/amortization? Income Statement

How do I identify which accounting method Netflix used based on the 2018 financial statement? How does the company treat its intangible assets/amortization?

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Income Statement Balance Sheet Cash Flow Statement Key Financial Ratios Format: Annual Search for ticker or company nam Annual Data Millions of US S except per share data 2018-12-31 2017-12-31 2016-12-31 Revenue Cost Of Goods Sold Gross Profit Research And Development Expenses SG&A Expenses Other Operating Income Or Expenses Operating Expenses Operating Income Total Non-Operating Income/Expense $15,794.34 $9.967.538 $5,826.803 $1,221.814 $2,999.763 $11,692.71 $8,033 $3,659.713 $953.71 $1,867.324 $8,830.669 $6 257.462 $2,573.207 $780.232 $1,413.182 EEEEEEEEEE $14.189.11 $1,605,227 5-378.768 $1,226.458 $15.216 $1,211.242 $10,854.03 $838.679 5-353.358 $485.321 $-73.608 $558.929 $8.450.876 $379.793 $-119.286 $260.507 $73.829 $186.678 Pre-Tax Income Income Taxes $1,211.242 $558.929 $186.678 Income After Taxes Other Income Income From Continuous Operations Income From Discontinued Operations Net Income EBITDA EBIT Basic Shares Outstanding Shares Outstanding Basic EPS EPS - Earnings Per Share $1,211.242 $9,261.684 $1,605.227 435 451 $2.78 $2.68 $558.929 $7,169.064 $838.679 432 EEEE $186.678 $5,304.771 $379.793 429 439 $0.44 $0.43 447 $1.29 $1.25 Income Statement Balance Sheet Cash Flow Statement Key Financial Ratios Format: Annual Search for ticker or company name Annual Data Millions of US $ except per share data 2018-12-31 2017-12-31 2016-12-31 Label $3,794.483 $2,822.795 $1,733.782 $5,899.652 $9.694.135 $418.281 $4,847.179 57.669.974 $319.404 $3.986.509 $5,720.291 $250.395 Cash On Hand Notes And Loans Receivable Inventory Other Current Assets Total Current Assets Property, Plant, And Equipment Long-Term Investments Goodwill And Intangible Assets Other Long-Term Assets Total Long-Term Assets Total Assets Total Current Liabilities Long Term Debt Other Non-Current Liabilities Total Long Term Liabilities Total Liabilities Common Stock Net Retained Earnings (Accumulated Deficit) Comprehensive Income Other Share Holders Equity Share Holder Equity Total Liabilities And Share Holders Equity EEEEEEEEEE EEEEEEE $15,861.98 $16.280.27 $25,974.4 $6,487.32 $10.360.06 $3.888.257 $14,248.31 $20,735.63 $2,315.988 $2.942.359 5-19.582 $11,023.36 $11,342.77 $19,012.74 $5,466.312 $6.499.432 $3.465.042 $9.964.475 $15,430.79 $1,871 396 $1,731. 117 $-20.557 $7,615.924 $7,866.319 $13,586.61 $4,586.657 $3,364.311 $2.955.842 $6,320.153 $10,906.81 $1,599.762 $1,128.603 $-48.565 $5,238.765 $25,974.4 $3,581.956 $19,012.74 $2.679.8 $13,586.61 Income Statement Balance Sheet Cash Flow Statement Key Financial Ratios Format: Annual Search for ticker or company name Annual Data Millions of US $ except per share data 2018-12-31 2017-12-31 2016-12-31 $1,211.242 $7,656.457 $-12,841.83 $-5,185.368 $558.929 $186.678 $6,330 385 $4.924.978 -9,634 244 5-8,550.67 -3,303.8595-3,625 692 $199.198 $944.027 $1.293.647 $ 2,680.479 $-173.946 5-38.586 $74.559 $770.087 $958.983 $-1,785.948 $-173.302 S-53.72 $32.247 $1,864.077 $1,965.03 $-1,473.984 5-107.653 $-77.177 $268.04 $235.536 Net Income Loss Total Depreciation And Amortization - Cash Flow Other Non-Cash Items Total Non-Cash Items Change In Accounts Receivable Change In Inventories Change In Accounts Payable Change In Assets/Liabilities Total Change In Assets/Liabilities Cash Flow From Operating Activities Net Change In Property, Plant, And Equipment Net Change In Intangible Assets Net Acquisitions/Divestitures Net Change In Short-term Investments Net Change In Long-Term Investments Net Change In Investments - Total Investing Activities - Other Cash Flow From Investing Activities Net Long-Term Debt Net Current Debt Debt Issuance/Retirement Net - Total Net Common Equity Issued/Repurchased Net Total Equity Issued/Repurchased Total Common And Preferred Stock Dividends Paid Financial Activities - Other Cash Flow From Financial Activities Net Cash Flow Stock-Based Compensation Common Stock Dividends Paid EEEEEEEEEEEEEEE $-126 588 $-339.12 $3,961.852 $268.04 $-6.689 $34.329 $3,020.51 $235.536 5-0.941 $49.765 $1,000 $3,961.852 $124.502 $124.502 $3,020.51 $88.378 $88 378 $1,000 $36.979 $36.979 Lalul 5-37 827 $4,048.527 $989.246 $320.657 $-31.898 $3,076.99 $1,355.219 $182.209 $54.651 $1,091.63 $-341.754 $173.675

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