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Using information on JNJ and NFLX from Yahoo Finance apply Merton's distance to default formula and show work. NFLX Income Statement All numbers in thousands

Using information on JNJ and NFLX from Yahoo Finance apply Merton's distance to default formula and show work.

NFLX

Income Statement

All numbers in thousands

Revenue 12/31/2015 12/31/2014 12/31/2013
Total Revenue 6,779,511 5,504,656 4,374,562
Cost of Revenue 4,591,476 3,752,760 3,117,203
Gross Profit 2,188,035 1,751,896 1,257,359
Operating Expenses
Research Development 650,788 472,321 378,769
Selling General and Administrative 1,231,421 876,927 650,243
Non Recurring - - -
Others - - -
Total Operating Expenses - - -
Operating Income or Loss 305,826 402,648 228,347
Income from Continuing Operations
Total Other Income/Expenses Net -31,225 -3,060 -28,131
Earnings Before Interest and Taxes 274,601 399,588 200,216
Interest Expense 132,716 50,219 29,142
Income Before Tax 141,885 349,369 171,074
Income Tax Expense 19,244 82,570 58,671
Minority Interest - - -
Net Income From Continuing Ops 122,641 266,799 87,274
Non-recurring Events
Discontinued Operations - - -
Extraordinary Items - - -
Effect Of Accounting Changes - - -
Other Items - - -
Net Income
Net Income 122,641 266,799 112,403
Preferred Stock And Other Adjustments - - -
Net Income Applicable To Common Shares 122,641 266,799 112,403

Cash Flow

All numbers in thousands

Period Ending 12/31/2015 12/31/2014 12/31/2013
Net Income 122,641 266,799 112,403
Operating Activities, Cash Flows Provided By or Used In
Depreciation 3,547,045 2,781,798 2,241,680
Adjustments To Net Income -4,592,012 -3,168,777 -2,357,062
Changes In Accounts Receivables - - -
Changes In Liabilities 172,560 198,267 66,610
Changes In Inventories - - -
Changes In Other Operating Activities 327 -61,604 34,200
Total Cash Flow From Operating Activities -749,439 16,483 97,831
Investing Activities, Cash Flows Provided By or Used In
Capital Expenditures -91,248 -69,726 -54,143
Investments -8,074 100,316 -141,837
Other Cash flows from Investing Activities -79,870 -73,456 -59,988
Total Cash Flows From Investing Activities -179,192 -42,866 -255,968
Financing Activities, Cash Flows Provided By or Used In
Dividends Paid - - -
Sale Purchase of Stock 60,351 53,464 115,143
Net Borrowings 1,499,455 398,907 279,458
Other Cash Flows from Financing Activities - - -
Total Cash Flows From Financing Activities 1,640,277 541,712 476,264
Effect Of Exchange Rate Changes -15,924 -6,686 -3,453
Change In Cash and Cash Equivalents 695,722 508,643 314,674

Balance Sheet

All numbers in thousands

Period Ending 12/31/2015 12/31/2014 12/31/2013
Current Assets
Cash And Cash Equivalents 1,809,330 1,113,608 604,965
Short Term Investments 501,385 494,888 595,440
Net Receivables - - -
Inventory - - -
Other Current Assets 3,121,125 2,318,557 1,858,358
Total Current Assets 5,431,840 3,927,053 3,058,763
Long Term Investments - - -
Property Plant and Equipment 173,412 149,875 133,605
Goodwill - - -
Intangible Assets 4,312,817 2,773,326 2,091,071
Accumulated Amortization - - -
Other Assets 284,802 192,246 129,124
Deferred Long Term Asset Charges - - -
Total Assets 10,202,871 7,042,500 5,412,563
Current Liabilities
Accounts Payable 393,880 271,327 162,453
Short/Current Long Term Debt - - -
Other Current Liabilities 3,135,744 2,391,827 1,991,750
Total Current Liabilities 3,529,624 2,663,154 2,154,203
Long Term Debt 2,371,362 885,849 500,000
Other Liabilities 2,078,459 1,635,789 1,424,799
Deferred Long Term Liability Charges - - -
Minority Interest - - -
Negative Goodwill - - -
Total Liabilities 7,979,445 5,184,792 4,079,002
Stockholders' Equity
Misc. Stocks Options Warrants - - -
Redeemable Preferred Stock - - -
Preferred Stock - - -
Common Stock 1,324,809 1,042,870 60
Retained Earnings 941,925 819,284 552,485
Treasury Stock - - -
Capital Surplus - - 777,441
Other Stockholder Equity -43,308 -4,446 3,575
Total Stockholder Equity 2,223,426 1,857,708 1,333,561
Net Tangible Assets -2,089,391 -915,618 -757,510

JNJ

Balance Sheet

All numbers in thousands

Period Ending 1/3/2016 12/28/2014 12/31/2013
Current Assets
Cash And Cash Equivalents 13,732,000 14,523,000 20,927,000
Short Term Investments 24,644,000 18,566,000 8,279,000
Net Receivables 10,734,000 10,985,000 15,320,000
Inventory 8,053,000 8,184,000 7,878,000
Other Current Assets 3,047,000 3,486,000 4,003,000
Total Current Assets 60,210,000 55,744,000 56,407,000
Long Term Investments - - -
Property Plant and Equipment 15,905,000 16,126,000 16,710,000
Goodwill 21,629,000 21,832,000 22,798,000
Intangible Assets 25,764,000 27,222,000 27,947,000
Accumulated Amortization - - -
Other Assets 4,413,000 3,232,000 4,949,000
Deferred Long Term Asset Charges 5,490,000 6,202,000 3,872,000
Total Assets 133,411,000 130,358,000 132,683,000
Current Liabilities
Accounts Payable 20,743,000 21,393,000 20,823,000
Short/Current Long Term Debt 7,004,000 3,638,000 4,852,000
Other Current Liabilities - - -
Total Current Liabilities 27,747,000 25,031,000 25,675,000
Long Term Debt 12,857,000 15,122,000 13,328,000
Other Liabilities 19,095,000 18,006,000 15,638,000
Deferred Long Term Liability Charges 2,562,000 2,447,000 3,989,000
Minority Interest - - -
Negative Goodwill - - -
Total Liabilities 62,261,000 60,606,000 58,630,000
Stockholders' Equity
Misc. Stocks Options Warrants - - -
Redeemable Preferred Stock - - -
Preferred Stock - - -
Common Stock 3,120,000 3,120,000 3,120,000
Retained Earnings 103,879,000 97,245,000 89,493,000
Treasury Stock -22,684,000 -19,891,000 -15,700,000
Capital Surplus - - -
Other Stockholder Equity -13,165,000 -10,722,000 -2,860,000
Total Stockholder Equity 71,150,000 69,752,000 74,053,000
Net Tangible Assets 23,757,000 20,698,000 23,308,000

JNJ Income Statement

All numbers in thousands

Revenue 1/3/2016 12/28/2014 12/31/2013
Total Revenue 70,074,000 74,331,000 71,312,000
Cost of Revenue 21,536,000 22,746,000 22,342,000
Gross Profit 48,538,000 51,585,000 48,970,000
Operating Expenses
Research Development 9,046,000 8,494,000 8,183,000
Selling General and Administrative 21,203,000 21,954,000 21,830,000
Non Recurring 733,000 178,000 580,000
Others - - -
Total Operating Expenses - - -
Operating Income or Loss 17,556,000 20,959,000 18,377,000
Income from Continuing Operations
Total Other Income/Expenses Net 2,192,000 137,000 -2,424,000
Earnings Before Interest and Taxes 19,748,000 21,096,000 15,953,000
Interest Expense 552,000 533,000 482,000
Income Before Tax 19,196,000 20,563,000 15,471,000
Income Tax Expense 3,787,000 4,240,000 1,640,000
Minority Interest - - -
Net Income From Continuing Ops 15,409,000 16,323,000 13,831,000
Non-recurring Events
Discontinued Operations - - -
Extraordinary Items - - -
Effect Of Accounting Changes - - -
Other Items - - -
Net Income
Net Income 15,409,000 16,323,000 13,831,000
Preferred Stock And Other Adjustments - - -
Net Income Applicable To Common Shares 15,409,000 16,323,000 13,831,000

Cash Flow

All numbers in thousands

Period Ending 1/3/2016 12/28/2014 12/31/2013
Net Income 15,409,000 16,323,000 13,831,000
Operating Activities, Cash Flows Provided By or Used In
Depreciation 3,746,000 3,895,000 4,104,000
Adjustments To Net Income -1,215,000 -681,000 307,000
Changes In Accounts Receivables -433,000 -247,000 -632,000
Changes In Liabilities -3,000 955,000 1,821,000
Changes In Inventories -449,000 -1,120,000 -622,000
Changes In Other Operating Activities 2,224,000 -654,000 -1,395,000
Total Cash Flow From Operating Activities 19,279,000 18,471,000 17,414,000
Investing Activities, Cash Flows Provided By or Used In
Capital Expenditures -3,463,000 -3,714,000 -3,595,000
Investments -6,679,000 -10,794,000 -865,000
Other Cash flows from Investing Activities 2,407,000 2,203,000 -643,000
Total Cash Flows From Investing Activities -7,735,000 -12,305,000 -5,103,000
Financing Activities, Cash Flows Provided By or Used In
Dividends Paid -8,173,000 -7,768,000 -7,286,000
Sale Purchase of Stock -3,995,000 -5,342,000 -889,000
Net Borrowings 1,379,000 850,000 2,028,000
Other Cash Flows from Financing Activities -57,000 -57,000 56,000
Total Cash Flows From Financing Activities -10,846,000 -12,260,000 -6,091,000
Effect Of Exchange Rate Changes -1,489,000 -310,000 -204,000
Change In Cash and Cash Equivalents -791,000 -6,404,000

6,016,000

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