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In which year did The Goldman Sachs Group, Inc. have a better liquidity position (Data provided in Exam#1 Data file)? O A. 2018 OB. 2017
In which year did The Goldman Sachs Group, Inc. have a better liquidity position (Data provided in Exam#1 Data" file)? O A. 2018 OB. 2017 OC. 2016 D. Data provided is not enough Exam# 1 Data.pdf - Adobe Acrobat Pro DC File Edit View Window Help Home Tools Document 0 1 ? Sign In The Goldman Sachs Group, Inc. (GS) The following Financials (balance sheet, income statement, cash flow) are the end of year financial report of The Goldman Sachs Group, Inc. (GS) for three-year period. 12/31/2018 12/31/2017 12/31/2016 130.000.000 336 000 000 160,000,000 110051.000 580 321 000 157.517.000 121,711.000 543 805.000 123.824.000 276.000.000 902.000.000 634.000 895.890,000 1.254.000 15.094 000 3.665,000 373.000 843,012.000 988.0001 12.070.000 3,666.000 429.000 31.000.000 933,000,000 916,776,000 860,165.000 Balance Sheet All in bouwde ... Period Ending Current Assets Cash And Cash Equivalents Short Term Investments Net Receivables Inventory Other Current Assets Total Curent Assets Long Term Investments Property Plant and Equipment Goodwill Intangible Assets Other Asus Total Assets Current Liabilities Accounts Payable Short Current Long Term Debt Other Current Laabalsts Total Curent Liabilities Long Term Dely Other Lalalties Deferred Long Terin Liability Charges Minonty Interest Negative Goodwill Total Liabilities Stockholders' Equity Common Stock Retained Lunes Treasury Stock Capital Surplus Other Stockholder Equity Total Sluckolder Taunty Net Tangible Assets 180.000.000 109,000,000 330,000,000 337,000,000 176,000,000 178,169,000 30.000.000 104.493.000 495.921,000 227,598,000 110,461 000 188.455.000 23,528 0001 71.438.000 450.593.000 198,075,000 124.000.000 553 000 506 000 Total 843,000,000 833.980,000 772,766,000 79.797 000 78.797,000 70.390,000 66.352,000 75.690.000 71.595.000 Income Statement in thousands O HE Type here to search 8:47 PM 9/25/2020 Exam# 1 Data.pdf - Adobe Acrobat Pro DC File Edit View Window Help X Home Tools Document 1 ? Sign In Treasury STOCK Capital Surplus Other Stockholder Equuty Total Stockholder Equity Net Tangible Assets 78.797,000 78,797,000 70.390,000 66,352,000 75,690.000 71,395,000 12/31/2018 | 12/31/2017 12/31/2016 35.942.000 32 073 000 30.608,000 4.223.000 3.437.000 3,364,000 31.719.000 28.686,000 27,244,000 15,091 000 14. 179 100 13.774.000 Income Statement members in the Revenue Total Revenue Cost of Revenue Gross Profit Operating Expenses Research Developatent Selling General and Administrative Nou Recumne Others Total Operating Expenses Operating Incuine or LUSS Income from Continuing Operations Total Other face Expenses Net Eamings Before Interest and Taxes Interest Expense Icoane Defure Tax Income Tax Exprease Minonty Interest 1,975.000 22. 617.000 13,325.000 2.025,000 20.753.000 11.320,000 1.772,000 19.908,000 10,700,000 814.000 188,000 396,000 12.181.000 2,022,000 11.132.000 6.846,000 559.000 10.301.000 2.906.000 506,000 Page 1 of 3 Net Income True Continuing Ops Net Income Preferred Stock And Other Adustments Net Income To Common Shares 10,439,000 10,459,000 4,286,000 4,286.000 7.398,000 7.398,000 9,841,000 3.661.0001 7.066.000 HE Type here to search O 8:47 PM 9/25/2020 Exam# 1 Data.pdf - Adobe Acrobat Pro DC File Edit View Window Help X Home Tools Document 2 ? Sign In Net Income From Continuing Ops Net Income Preferred Stock And Other Adjustments Net Income To Common Shares 10,459.000 10,459,000 4,286.000 4.286,000 7,398,000 7,398,000 9,841,000 3,661,000 7,066,000 12/31/2018 12/31/2017| 12/31/2016 4,286,000 7.398,000 1.152.00 7,113.000 30,082,000 998.000 2.665.000 15.813,000 211.000 -17,742,000 11.652,000 6,900,000 Cash Flow is the Period Ending Net Income Operating Activities Depreciation Adjustments To Net Income Changes in Accounts Receivables Changes in Liabilities Changes in Inventos Changes in Other Operating Activities Total From Operating Activities Investing Activities Capital Expenditures vene Investments Other Cash flows from Investing Activities Total From investing Activities Financing Activities Dividends Paid Sale Purchase of Stock Net Borrowings Other Cash Flows from Financing Activities Total From Financing Activities Effect Of Exchange Rate Changes Change in Cash & Cash Equivalent -3,185,000 -6.966.000 -2.876.000 1.512.000 -29,116.000 9.270,000 1,709,000 1.706.000 29.123.000 16,187.000 35,198.000 7.532.000 12.173,000 12.102,000 -11,660,000 28,272,000 Walmart Inc. (WMT) The following Financials (balance sheet, income statement, cash flow) are the end of year financial report of Walmart Inc. (WMT) for three-year period. HE Type here to search O w 8:47 PM 9/25/2020
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