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please calculate the four ratios for 2018 and 2019 and show your work. If you're not able to answer all just do the ones you

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please calculate the four ratios for 2018 and 2019 and show your work. If you're not able to answer all just do the ones you can.

B 17,504 16,718 D 18,492 E 15,905 F 14,272 17,147 17,233 20,435 22,922 20,904 A Cash and cash equivalents Marketable securities Ford Credit finance receivables, net Trade and other receivables, less allowances 54,353 52,210 46,266 45,137 53,651 9,237 11,195 10,599 11,102 11,042 Inventories 10,786 11,220 10,277 8,898 8,319 Assets held for sale 2,383 Other assets 3,339 3,930 3,889 3,368 2,913 Current assets 114,047 114,649 115,902 108,461 102,587 Ford Credit finance receivables, net 53,703 55,544 56,182 49,92 45,554 29,230 29,119 28,235 28,829 27,093 36,469 36,178 35,327 32,072 30,163 Net investment in operating leases Net property Equity in net assets of affiliated companies Deferred income taxes 2,519 2,709 3,085 3,304 3,224 11,863 10,412 10,973 9,705 11,509 Other assets 10,706 7,929 8,104 5,656 Non-current assets 144,490 141,891 141,906 129,490 4,795 122,338 224,925 Total assets 258,537 256,540 257,808 237,951 BalanceSheet Assets BalanceSheet Liabilities Equity Income Statement Complncome Cash FlowStatement Dec 31, 2019 Dec 31, 2018 Dec 31, 2017 Dec 31, 2016 Dec 31, 2015 20,673 21,520 23,282 21,296 20,272 13,113 11,369 10,902 9,542 8,122 Payables Dealer and dealers' customer allowances and claims Deferred revenue Employee benefit plans Accrued interest 2,091 2,095 2,107 3,866 4,675 1,857 1,755 1,661 1,469 1,562 1,128 988 1,057 974 840 OPEB 332 339 348 349 354 Pension 185 204 229 247 249 367 Current operating lease liabilities Other 3,914 3,806 3,393 2,869 3,287 22,987 20,556 19,697 19,316 19,089 1,445 2,314 3,356 2,685 1,779 Current other liabilities and deferred revenue Automotive debt payable within one year Ford Credit debt payable within one year Other debt payable within one year Liabilities held for sale 52,371 51,179 48,265 46,984 41,196 130 526 Attie. Balance Sheet Assets Balance Sheet Liabilities Equity Income Statement Complncome Cash FlowStatement A B D E F Current liabilities 94,600 Pension 98,132 9,878 95,569 9,423 9,932 90,281 10,150 5,516 2,564 82,336 9,543 5,347 OPEB 5,740 5,220 5,821 1,921 2,497 2,471 2,731 4,191 3,985 3,829 3,687 3,285 1,047 1,104 1,080 1,139 1,063 1,041 Dealer and dealers' customer allowances and claims Deferred revenue Non-current operating lease liabilities Employee benefit plans Other Non-current other liabilities and deferred revenue Automotive long-term debt payable after one year Ford Credit long-term debt payable after one year Other long-term debt payable after one year Deferred income taxes 1,443 1,383 1,519 1,415 1,510 23,588 24,395 23,457 25,324 13,233 24,711 12,575 11,233 13,222 11,060 87,658 88,887 89,492 80,079 78,819 470 600 599 490 597 815 691 502 Non-current liabilities 124,905 128,192 118,387 113,838 127,175 225,307 Total liabilities 220,474 222,792 208,668 196,174 Dodomablonencontrollin interact 4 10 no nc Balance Sheet Assets Balance Sheet Liabilities Equity Income Statement Complncome Cash FlowStatement D B F E 1 470 600 599 A Other long-term debt payable after one year Deferred income taxes -2 490 597 815 691 502 33 Non-current liabilities 127,175 225,307 124,905 220,474 128,192 222,792 118,387 208,668 113,838 196,174 34 Total liabilities 35 100 98 96 94 36 40 40 40 40 40 37 1 1 1 1 1 38 22,006 21,843 21,630 21,421 39 22,668 21,218 15,634 14,414 Redeemable noncontrolling interest Common Stock, par value $.01 per share Class B Stock, par value $.01 per share Capital in excess of par value of stock Retained earnings Accumulated other comprehensive loss Treasury stock Equity attributable to Ford Motor Company Equity attributable to noncontrolling interests Total equity Total liabilities and equity 22,165 20,320 (7,728) (1,613) 40 (6,959) 41 (7,366) (1,417) 35,932 (1,253) 34,890 (7,013) (1,122) 29,170 (6,257) (977) 28,642 42 33,185 43 45 34 28 17 15 44 33,230 34,918 28,657 35,966 256,540 29,187 237,951 45 258,537 257,808 224,925 46 Based on 10-K (filing date: 2020-02-05),10-K (filing date: 2019-02-21), 10-K (filing date: 2018-02-08), 10-K (filing date: 2017-02-09), 10-K (filing date: 2016-02-11). E Balance Sheet Assets Balance Sheet Liabilities Equity Income Statement Complncome Cash FlowStatement B E F 12 months ended: Dec 31, 2019 Dec 31, 2018 Dec 31, 2017 Dec 31, 2016 Dec 31, 2015 . Automotive revenues 143,599 148,294 145,653 141,546 140,566 Cost of sales (134,693) (136,269) (131,332) (126,183) (124,446) Gross profit 8,906 12,025 14,321 15,363 16,120 Ford Credit revenues 12,260 12,018 11,113 10,253 8,992 41 26 10 (11,527) 1 (10,972) 1 (11,161) (11,403) (10,763) Mobility revenues Selling, administrative, and other expenses Ford Credit interest, operating, and other expenses 12 (9,472) (9,463) (9,104) (8,904) (7,368) 13 Operating income 574 3,203 4,813 5,741 6,981 14 Interest expense on Automotive debt (963) (1,171) (1,133) (894) (773) 15 Interest expense on Other debt (57) (57) 16 (1,020) (1,228) (1,133) (894) (773) Interest expense Net periodic pension and OPEB income Icost evcluding cervicaract (1 on 78A 1 757 (1 62511 GAA 17 Balance Sheet Assets BalanceSheet Liabilities Equity Income Statement Complncome Cash FlowStatement A B D E F G (1,020) (1,228) (1,133) (894) (773) Interest expense Net periodic pension and OPEB income (cost), excluding service cost (1,602) 786 1,757 (1,625) 666 Investment-related interest income 809 667 459 291 309 (29) 33 2 3 3 Interest income (expense) on income taxes Realized and unrealized gains (losses) on cash equivalents, marketable securities, and other investments Gains (losses) on changes in investments in affiliates 144 115 (23) 2 46 20 42 14 139 42 2 Gains (losses) on extinguishment of debt (55) 1 23 Royalty income 381 491 678 714 666 24 Insurance premiums earned 156 133 25 Other 106 113 380 489 360 26 Other income (loss), net (226) 2,247 3,267 169 2,226 --- 40 E Balance Sheet Assets BalanceSheet Liabilities Equity Income Statement Compincome Cash FlowStatement A B D E F affiliates 20 42 14 139 42 Gains (losses) on extinguishment of debt (55) 1 Royalty income 381 491 678 714 666 Insurance premiums earned 156 133 5 Other 106 113 380 489 360 8 Other income (loss), net (226) 2,247 3,267 169 2,226 7 32 123 1,201 1,780 1,818 Equity in net income of affiliated companies Income (loss) before income taxes 28 (640) 4,345 8,148 6,796 10,252 9 (Provision for) benefit from income taxes 724 (650) (520) (2,189) (2.881) 30 84 3,695 7,628 4,607 7,371 31 Net income (Income) loss attributable to noncontrolling interests Net income attributable to Ford Motor Company (37) (18) (26) (11) 2. 32 47 3,677 7,602 4,596 7,373 Balance Sheet Assets BalanceSheet Liabilities Equity Income Statement Complncome Cash FlowStatement A B D E F Dec 31, 2019 84 9,689 (1,199) 804 Dec 31, 2018 3,695 9,280 (972) Dec 31, 2017 7,628 9,122 (669) Dec 31, 2016 4,607 9,023 (306) Dec 31, 2015 7,371 7,993 (27) 413 609 717 672 418 2,625 400 12 months ended: Vet income Depreciation and tooling amortization Other amortization Held-for-sale impairment charges Provision for credit and insurance losses Pension and other postretirement employee benefits (OPEB) expense (income) Equity investment (earnings) losses in excess of dividends received Foreign currency adjustments Net (gain) loss on changes in investments in affiliates Stock compensation Provision for deferred income taxes (Increase) decrease in finance receivables (wholesale and other) (608) 2,667 511 206 529 203 (54) (29) 228 (1,370) (42) 191 (197) 240 (403) (7) 246 (232) (178) 283 (139) 210 1,478 (333) 710 (42) 199 2,120 1,554 (2,408) (836) (1,449) (5,090) (Increase) decrease in accounts receivable and other assets (Increase) decrease in inventory (816) 206 (2,239) (828) (2,297) (959) (2,855) (815) (3,563) (1,155) Balance Sheet Assets BalanceSheet Liabilities Equity Income Statement Complncome Cash FlowStatement Workbook Statistics A B D E F 206 (828) (959) (815) (1,155) (Increase) decrease in inventory Increase (decrease) in accounts payable and accrued and other liabilities Cash changes in operating assets and liabilities Other Net cash provided by operating activities Capital spending Acquisitions of finance receivables and operating leases Collections of finance receivables and operating leases Purchases of marketable securities and other investments 5 Sales and maturities of marketable and other investments Settlements of derivatives 0 Other :1 Net cash used in investing activities 32 Cash payments for dividends and dividend equivalents 33 Purchases of common stock 34 Net changes in short-term debt 35 Proceeds from issuance of long-term debt Principal payments on long-term debt 5,260 6,204 41 17,639 (7,632) (55,576) 50,182 (17,472) 16,929 (114) (38) (13,721) (2,389) (237) (1,384) 47,604 (46,497) 7 6,781 1,306 17 15,022 (7,785) (62,924) 50,880 (17,140) 20,527 358 (177) (16,261) (2,905) (164) (2,819) 50,130 (44,172) 6,089 1,997 65 18,096 (7,049) (59,354) 44,641 (27,567) 29,898 100 (61) (19,392) (2,584) (131) 1,229 45,801 (40,770) 6,595 1,476 (1) 19,792 (6,992) (56,007) 38,834 (31,428) 29,354 825 7,758 (2,050) (700) 16,170 (7,196) (57,217) 38,130 (41,279) 40,766 134 500 (26,162) (2,380) (129) 1,646 48,860 (33,358) 9 62 (25,352) (3,376) (145) 3,864 45,961 (38,797) 36 Balance Sheet Assets BalanceSheet Liabilities Equity Income Statement Complncome Cash FlowStatement A B VC Sales and maturities of marketable and other investments Settlements of derivatives Other Net cash used in Investing activities Cash payments for dividends and dividend equivalents Purchases of common stock Net changes in short-term debt Proceeds from issuance of long-term debt Principal payments on long-term debt Other Net cash provided by (used in) financing activities Effect of exchange rate changes on cash, cash equivalents, and restricted cash Net increase (decrease) in cash, cash equivalents, and restricted cash Cash, cash equivalents, and restricted cash at beginning of period 16,929 (114) (38) (13,721) (2,389) (237) (1,384) 47,604 (46,497) (226) (3,129) TITIF 20,527 358 (177) (16,261) (2,905) (164) (2,819) 50,130 (44,172) (192) (122) TZTJUT 29,898 100 (61) (19,392) (2,584) (131) 1,229 45,801 (40,770) (151) 3,394 E POZOT 29,354 825 62 (25,352) (3,376) (145) 3,864 45,961 (38,797) (49) 7,458 40,766 134 500 (26,162) (2,380) (129) 1,646 48,860 (33,358) (317) 14,322 45 (370) 489 (265) (815) 834 (1,731) 2,587 1,633 3,515 16,907 18,638 15,905 14,272 10,757 Cash, cash equivalents, and restricted cash at end of period 17,741 16,907 18,492 15,905 14,272 Balance Sheet Assets BalanceSheet Liabilities Equity Income Statement Complncome Cash FlowStatement Workbook Statistics Year Market cap Change 2019 $37.96 B 21.9% 2018 $31.14 B -37.23% 2017 $49.61 B 2.93% 2016 $48.20 B -15.13% Calculate the following ratios Interest coverage ratio Operating cash flow to total liabilities ratio Current asset turnover .Market to book ratio

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