Question 5 (20 pts) Use the given information on Walmart and the fact that it had 2.987 Billion shares outstandi market prices per share of stock was $78.14 to compute for the period ending Dec 31, 2019 the fol ratios: A. Average Collection Period D. Return on Stockholder Equity B. Asset Turnover E. Price to Earnings Ratio C. Current Ratio WALMART FINANCIAL INFORMATION Income Statement (All numbers in thousands) Period Ending 12/31/2019 Revenue $485,873,000.00 Total Revenue $361,256,000.00 Cost of Revenue $124,617,000.00 Gross Profit Operating Expenses $101,853,000.00 Selling General and Administrative Selling General and Administrative $101,853,000.00 $ 97,041,000.00 Operating Income or Loss $ 22,764,000.00 $ 24, 105,000.00 Income from Continuing Operations Total Other Income/Expenses Net 100,000.00 81,000.00 Earnings Before Interest and Taxes $ 22,864,000.00 $ 24,186,000.00 Interest Expense $ 2,367,000.00 $ 2,548,000.00 come Before Tax $ 20,497,000.00 $ 21,638,000.00 come Tax Expense $ 6,204,000.00 $ 6,558,000.00 ority Interest $ 2,737,000.00 $ 3,065,000.00 ncome From Continuing Ops $ 14,293,000.00 $ 15,080,000.00 Period Ending 12/31/2019 12/31/2018 Current Assets Cash and Cash Equivalents $ 6,867,000.00 $ 8,705,000.00 Net Receivables $ 5,835,000.00 $ 5,624,000.00 Inventory $ 43,046,000.00 $ 44,469,000.00 Other Current Assets $ 1,941,000.00 $ 1,441,000.00 Total Current Assets $ 57,689,000.00 $ 60,239,000.00 $114,178,000.00 $116,516,000.0 Property Plant and Equipment $ 57,689,000.00 Property Plant and Equipment $114,178,000.00 Goodwill $116516,000.00 $ 17,037,000.00 $ 16,695.000.00 Other Assets $ 9,921,000.00 $ 6,131,000.00 Total Assets $198,825,000.00 $199,581,000.00 Current Liabilities Accounts Payable $ 63,008,000.00 $ 58,615,000.00 Short/Current Long Term Debt $ 3,920,000.00 $ 6,004,000.00 Total Current Liabilities $ 66,928,000.00 $ 64,619,000.00 Long Term Debt $ 42,018,000.00 $ 44,030,000.00 eferred Long Term Liability Charges $ 9,344,000.00 $ 7,321,000.0 mority Interest $ 2,737.000.00 $ 3,065,000 Long Term Debt $ 42,078,000.00 $ 44,030,000.00 Deferred Long Term Liability Charges $9,344,000.00 $7,321,000.00 Minority Interest $ 2,737,000.00 $ 3,065,000.00 Total Liabilities $121,027,000.00 $119,035,000.00 Stockholders' Equity Common Stock 305,000.00 317,000.00 Retained Earnings $ 89,354,000.00 $ 90,021,000.00 Capital Surplus $ 2,371,000.00 $ 1,805,000.00 ther Stockholder Equity $(14,232,000.00) $(11,597,000.00) al Stockholder Equity $ 77,798,000.00 $ 80,546,000.00 Tangible Assets $ 60,761,000.00 $ 63,851.000.00 Common Stock Retained Earnings 305,000.00 317,000.00 $ 89,354,000.00 Capital Surplus $ 90,021,000.00 $ 2,371,000.00 Other Stockholder Equity $ 1,805,000.00 $(14,232,000.00) tal Stockholder Equity $(11,597,000.00) $ 77,798,000.00 $ 80,546,000.00 Tangible Assets $ 60,761,000.00 $ 63,851.000.C