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In which year did Walmart Inc. (WMT) have a better liquidity position (Data provided in Exam#1 Data file)? A. 2018 OB. 2017 OC. 2016 OD.
In which year did Walmart Inc. (WMT) have a better liquidity position (Data provided in "Exam#1 Data" file)? A. 2018 OB. 2017 OC. 2016 OD. Data provided is not enough Exam# 1 Data.pdf - Adobe Acrobat Pro DC File Edit View Window Help X Home Tools Document 2 ? Sign In 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. 1/31/2018 | 1/31/2017 1/31/2016 6,756 000 6,867 000 8,705 000 5,614.000 43,783 000 5,835,000 43,046 000 3,624,000 44 469 000 59,664,000 2 000 000 114,818.000 18.242.000 57,689,000 479.000 111,178,000 17,037,000 60,239,000 621 000 116,516.000 16,695.000 Balance Sheet munters in thewande Period Ending Current Assels Cash And Cash Equivalents Sbort Tem Lavestments Net Receivables Inventory Other Curent Assets Total Current Assets Long Term Investments Property Plant Equipment Goodwill Intangible Assets Accumulated Amortization Other Assets Deferred Long Term Asset Charors Total Assets Current Liabilities Accounts Payable Sbort Curent Long Term Debt Other Current Lantes Total Current Liabilities Long Tern Debt Other Lanbulatas Deferred Long Term Liability Cluse Minority Interest Negative Codwill Total Linbilities Stockholders' Equity Common Stock 9,290.000 1879 000 204.522.000 9.442.000 1.565 000 198,825,000 3,510.000 1 504 000 199,581.000 46,092.000 3,738,000 2.662.000 78,521.000 30,231 000 8.168.000 11.433,000 2.256,000 2.777.000 66,928,000 36.645,000 8,714,000 88,187,000 2,745,000 521000 64,619.000 38,952,000 6.583.000 2,953.000 2,737,000 3,065,000 12.5,700.000 118 290,000 113.970,000 295.000 305,000 317,000 Page 2 of 3 HE Type here to search O 8:57 PM 9/25/2020 Exam# 1 Data.pdf - Adobe Acrobat Pro DC File Edit View Window Help X Home Tools Document 3 ? Sign In Page 2 of 3 Retained Earnings Treasury Stock Capital Surplus Other Stockholder Equity Total Stockholder Tqualy Net Tangible Assets 85,107 000 -10 181.000 2,6-48.000 -10 181 000 77,869.000 59,627,000 89 354.000 -14.232,000 2.371.000 -14232 000 77,798,000 60.761,000 20.021 000 -11.597,000 1.805.000 -11 597.000 80,546 000 63,851.000 1/31/2018 500,343.000 373,396,000 126,947.000 1/31/2017 485.873,000 361 256.000 124,617,000 1/31/2016 482,130.000 360.984.000 121.146.000 104.699.000 101 853,000 97.041 000 478,094,000 22.249.000 163,109,000 22.764,000 453,025.000 24,105.000 Income Statemente in monaad Revenue Total Revenue Cost of Resome Gross Profit Operating Expenses Research Development Selling General and Administrative Others Total Overaly Expenses Operating Income or Loss Income from Continuing Operations Total Other Tuc Expenses Nel Earnings Before Interest and Taxes Interest Expense Income Betare Tax Income Tax Expense Minority Interest Net Theme Froin Continuing Ops Net Income Net Income Preferred Stock And Other Adjustments Net Income To Common Shares -7,126.000 22.249.000 -2.330.000 15.123.000 4,500,000 2.953 000 10,523,000 -2.267,000 22.764,000 -2.367.000 20,497,000 6.204,000 2,737,000 14.293,000 -2.467.000 24,105.000 -2.548.000 21.630.000 6.558,000 305.000 15.080.000 9,862,000 13,643,000 14,694,000 9,862,000 13,643,000 14,694,000 HE Type here to search O 8:58 PM 9/25/2020 Exam# 1 Data.pdf - Adobe Acrobat Pro DC File Edit View Window Help X Home Tools Document 3 ? Sign In 1/31/2018 9.862,000 1/31/2017 1.1.64.1000 1/31/2016 14,694,000 10.529,000 4,709,000 -1.074 000 4.086,000 -140,000 928,000 28.337,000. 10,080.000 1,617.000 -402.000 3,942.000 1,021 000 1,290.000 31,673,000 9,454,000 1.124.000 -19,000 2,008,000 -703 000 1,466,000 27,552,000 Cash Flow me in de Period Ending Net Income Operating Activities Depreciation Adjustments To Net Income Clases In Accounts Receivables changes in Liabilities Changes In Inventories Chunges In Other Operly Activities Total From Operating Activities Investing Activities Capital Expenditures Investments Oder buen Investmy Activities Total From Investing Activities Financing Activities Dividends Pard! Sale Purchase of Stock Net Buttuwings Other fruen Fancong Activities Total From Financing Activities Effect Of Exchange Rate Changes Change In Cash and Cash Equin alents -10.051.000 -10.619.000 -1.901 000 -122.000 -13,987.000 -11,477,000 -1.901.000 -79,000 -10,675,000 -S8,000 -9.060,000 -6,124,000 -6,216 000 -6,294,000 1.437,000 4,018,000 -19.875,000 487.000 -111,000 3.591.000 967.000 19,072.000 -452000 -1,838.000 3,158,000 2,721,000 -16.285,000 -1.022.000 Page 3 of 3 HE Type here to search O w x 8:58 PM 9/25/2020
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