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Question 1 What is Walmart's cash ratio for the year of 2018 (round it to 3 numbers after the decimal point -> 0.112)? To access

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Question 1 What is Walmart's cash ratio for the year of 2018 (round it to 3 numbers after the decimal point -> 0.112)? To access WMT's financial statement, click here D Question 2 What is Walmart's Quick ratio for the year of 2018 (round it to 3 numbers after the decimal point -> 0.112)? To access WMT's financial statement, click here Question 3 What is Walmart's current ratio for the year of 2018 (round it to 3 numbers after the decimal point -> 0.112)? To access WMT's financial statement, click here Walmart Inc (WMT US) - GAAP Walmart Inc (WMT US - Standardized FY 2019 FY 2018 01/31/2019 01/31/2018 FY 2017 01/31/2017 FY 2016 01/31/2016 FY 2015 01/31/2015 7,722.0 7,722.0 0.0 6,283.0 6,283.0 0.0 44,269.0 3,623.0 0.0 6,756.0 6,756.0 0.0 5,614.0 5,614.01 0.0 43,783.0 3,511.0 0.0 6.867.0 6.867.0 0.0 5,835.0 5,835.0 0.0 43,046.0 1,941.0 0.0 8,705.0 8,705.0 0.0 5,624.0 5,624.0 0.0 44,469.00 1,441.0 0.0 In Millions of USD except Per Share 12 Months Ending Revenue + Sales & Services Revenue + Other Revenue - Cost of Revenue + Cost of Goods & Services Gross Profit + Other Operating Income Operating Expenses + Selling, General & Admin + Research & Development + Other Operating Expense Operating Income (Loss) -Non-Operating (Income) Loss + Interest Expense, Net + Interest Expense - Interest Income + Foreign Exch (Gain) Loss + Other Non-Op (Income) Loss Pretax Income - Income Tax Expense (Benefit) + Current Income Tax + Deferred Income Tax Income (Loss) from Cont Ops - Net Extraordinary Losses (Gains) + Discontinued Operations + XO & Accounting Changes Income (Loss) Incl. MI - Minority Interest Net Income, GAAP Preferred Dividends - Other Adjustments Net Income Avail to Common, GAAP FY 2019 01/31/2019 514,405.0 510,329.01 4,076.00 385,301.0 385,301.0 129,104.0 0.01 107,147.0 107,147.0 0.0 0.0 21,957.00 10,497.0 1,758.0 1,975.0 217.0 0.0 8,739.0 11,460.0 4,281.0 4,751.0 470.0 7,179.0 0.0 0.0 0.0 7,179.0 509.0 6,670.0 0.0 0.01 6,670.0 FY 2018 01/31/2018 500,343.0 495,761.0 4,582.0 373,396.0 373,396.0 126,947.0 0.0 106,510.0 106,510.0 0.0 0.0 20,437.0 5,314.0 1,826.0 1.978.0 152.0 0.0 3,488.0 15,123.0 4,600.0 4,780.0 -180.0 10,523.0 0.0 0.0 0.0 10,523.0 661.0 9,862.0 0.0 0.0 9,862.00 FY 2017 01/31/2017 485.873.0 481,317,0 4,556.01 361,256.0 361,256.0 124,617.01 0.01 101,853.0 101,853.0 0.01 0.0 22,764.0 2,267.0 1,944.00 2,044.0 100.0 0.0 323.00 20,497.0 6,204.0 5,459.01 745.0 14,293.0 0.01 0.0 0.01 14,293.0 650.0 13,643.0 0.01 0.01 13,643.0 FY 2016 01/31/2016 482,130.0 478,614.0 3,516.0 360,984.0 360,984.0 121,146.0 0.0 97,041.0 97,041.0 0.0 0.0 24,105.01 2.467.0 1,946.0 2,027.0 81.0 0.0 521.0 21,638.00 6,558.00 7,584.0 -1.026.0 15,080.0 0.0 0.0 0.0 15,080.0 386.0 14,694.0 0.0 0.0 14,694.0 FY 2015 01/31/2015 485,651.0 482,229.01 3,422.01 365,086.01 365,086.0 120,565.00 0.0 93,418.0 93,418.0 0.0 0.0 27,147.0 2,348.0 2,048.0 2,161.0 113.0 0.0 300.0 24,799.0 7,985.0 8,504.0 -519.0 16,814.0 -285.0 -285.0 0.0 17,099.0 736.0 16,363.0 0.0 0.0 16,363.0 In Millions of USD except Per Share 12 Months Ending Total Assets + Cash, Cash Equivalents & STI + Cash & Cash Equivalents + ST Investments + Accounts & Notes Receiv + Accounts Receivable, Net + Notes Receivable, Net + Inventories + Other ST Assets + Derivative & Hedging Assets + Deferred Tax Assets + Discontinued Operations + Misc ST Assets Total Current Assets + Property, Plant & Equip, Net + Property, Plant & Equip - Accumulated Depreciation + LT Investments & Receivables + Other LT Assets + Total Intangible Assets + Goodwill + Other Intangible Assets + Deferred Tax Assets + Derivative & Hedging Assets + Misc LT Assets Total Noncurrent Assets Total Assets 3,623.0 61,897.01 111,395.0 192,888.0 81,493.0 0.0 46,003.0 31,181.0 31, 181.0 0.0 1,796.0 412.0 12,614.0 157,398.0 219,295.0 3,511.0 59,664.0 114.818.0 197,857.0 83,039.0 0.0 30,040.0 18,242.0 18,242.0 0.0 1,879.0 508.0 9,411.0 144,858.0 204,522.0 1,941.0 57,689.00 114, 178.0 191,129.0 76.951.0 0.0 26.958.0 17.037.0 17,037.0 0.0 1,565.0 479.0 7,877.00 141,136.00 198,825.0 1,441.0 60,239.0 116,516.0 188,054.0 71,538.0 0.0 22,826.0 16,695.00 16,695.0 0.01 1,504.0 621.0 4,006.0 139,342.0 199,581.0 9,135.0 9,135.0 0.0 6,778.0 6,778.0 0.0 45,141.0 2.224.0 0.0 728.0 0.0 1,496.0 63,278.0 116,655.0 182,634.0 65,979.0 0.0 23,557.0 18,102.0 18, 102.0 0.0 1,033.0 512.0 3,910.0 140,212.0 203,490.0 68,859.0 46,092.0 645.0 22.122.0 9,662.0 5,257.0 667.0 667.0 63,008.0 41,433.0 921.0 20,654.0 3,920.0 1,099.0 565.0 565.0 58,615.0 38,487.0 521.0 19,607.0 6,004.0 2,708.01 551.0 551.0 Net Income Avail to Common, Adj Net Abnormal Losses (Gains) Net Extraordinary Losses (Gains) 58,526.0 38,410.0 1,021.0 19,095.0 5,904.0 1,592.0 287.0 287.0 6,670.0 0.0 0.0 Liabilities & Shareholders' Equity + Payables & Accruals + Accounts Payable + Accrued Taxes + Other Payables & Accruals + ST Debt + ST Borrowings + ST Lease Liabilities + ST Finance Leases + ST Operating Leases + Current Portion of LT Debt + Other ST Liabilities + Deferred Revenue 13,293.4 3,431.4 0.0 67,715.0 47,060.00 428.0 20,227.0 7,830.0 5,225.0 729.0 729.0 0.0 1,876.0 1,932.0 1,932.0 13,456.3 -186.7 0.01 14,143.6 -550.4 0.0 16,240.2 162.2 -285.0 Basic Weighted Avg Shares Basic EPS, GAAP Basic EPS from Cont Ops Basic EPS from Cont Ops, Adjusted 2.929.0 2.28 2.28 2.28 2,995.0 3.29 3.29 4.44 3,101.01 4.40 4.40 4.34 3,207.0 4.58 4.58 4.41 3,230.01 5.07 4.98 5.03 3,738.0 0.0 0.0 2.256.0 0.0 0.0 2,745.0 0.0 0.0 4,025.0 823.0 0.0

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