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View Financial statement and write a 100 word analysis on your overall interpretation of the financial health of Tesla. Include if you would recommend investing

View Financial statement and write a 100 word analysis on your overall interpretation of the financial health of Tesla. Include if you would recommend investing in this company and explain your reasoning.image text in transcribedimage text in transcribedimage text in transcribedimage text in transcribed

IN ME STATEMENT PLANTE HELT CASH FLOW IMANOAL RAHIS IN THE ANNIAL Period Ending 12/31/2020 12/31/2019 12/31/2018 12/31/2017 Current Assets $19.304 000 $6,253,000 83,879.00 2EZEZ Cash and Cash Filents Short-Term Investments Net Redes tremory Dent Assets Terets $1,324,00 31 BSO 54,101.000 3 8949,390 2.773,000 $366 OGO $$, sun 39.9683/ $3552 000 995.00 $205365 86573520 CUDZI2928 SUU tenglam Am Gepleie Sixes 813 .. $2. 39220DD SIA OGI ODS $198. DAG 0.00 333,000 8.000 $455.552 $14, 1442 980-57 39 S 310 SOR Oths 5 3.000 Ez25 23 Fare 352 49000 25.00 || . . Current train COS 3529 9,55820 DECO besunto eis ShortTem Cantalones Other Current Lantes Total current Long-Term Bed Ser Lee 41 3996.54 A 656,59 30.4.0 55721 DDR 30 29.995.000 19404000 B 3.0 RAFAS SOLE ch SEVES COME STATEMENT BALANCE SHEET CASH FINANCIAL RATIO ANNUAL Period Ceding: 12/31/2019 12/31/2020 se cdo 12/31/2018 3976,000 12/31/2017 $1,962,00 Nex income -3070,000 Cash Flow Operating Activities 82,500,000 52,395,000 $9.342,000 59.187.000 $200.000 $1043,000 51,727,000 $950,000 $552000 -92500D Depreciation Net Income Acluszments Chonprin Operating Activities A Receivable Charles Other Operating active L! Net Cash Filcerating Cash Flow-inverting Attivities -9422,000 9179000 -91663,000 -5387.000 -5429,000 -9937,00 31000D $1.435000 3407.000 $1 199 000 2504,000 $2.000 $2.098.000 -51 610 000 S181.7.BAN 92 925,000 S5948000 -S61CCO 13 -81432 34 319 COC 940 S#000 18.00 $115.000 300 000 +339.000 $27,00 -$43.96.000 Capital Expenditures In esments Ciwan At Nerath Cash Flowe Financing des de and for Neronis Other Tites Met Een Hattone 12 55 27.000 3272.000 32:28 930 3000 5406 $5.77.0.0 1814910 son COM INCOME STATEMENT BALANCE SHEET CASH FLON FINANCIAL RATIOS NONSAS ANIN 12/31/2020 12/01/2019 12/31/2018 12/31/2017 BU 1805 1195 1595 004 59% 56% 130 594 993 4 Period Ending: Liquidity Ratios Carla Quick Ratio Cases Patio Profily Ride Gross Margin Margin Prat Morgen Proht Maran Fre-Tax ROC 199 195 $$$ OS 05 0 05 AS After Tax HUE 3 INCOHE STATEMENT BALANCE SHEET CASE FLOW FINANCIAL RATIOS SEPERTI AN 12/31/2020 12/31/2017 Period Ending Tell me 331,536 000 $11 759.000 12/31/2019 $24,578 $20,80,000 $4.069.000 17/01/2018 321,461 COO $17419000 $4,042.000 Cost of Revenue Gross Profia $24,906 non 56.630.000 89,036 CCO 32 233,000 Operating senses $734,000 $1.491.000 53,145 con $1,450.000 $2835000 3135,000 $1 278,000 $2472000 $2646,000 3119.000 $1994,200 -569,000 32,632.000 $888.000 $46.COD -392.000 599,00 $3.Yutoca 9106 CON 3178000 Hesearch and Development Sedente ng An Nors.Recurring Items Operating Operating Add comelexpert sem ang Defore ressante Tar Interest Expense Emas Before TX Income Tax M Et Led 3d Het On Dec Neringove Nietieplicable to share $20.000 65,000 36.00 5342,000 1668.000 40.cce 1140 $200 31.7,000 100.000 -S2 209,000 592,000 6.900 GUCCO DIE $395.000 82033 1300 C $87.2009 SATED 56976000 $174. OD 3279.000 +952 000 $1.962.000 51.952.000 UUU OLES 690,000 9. Ude OLBE IN ME STATEMENT PLANTE HELT CASH FLOW IMANOAL RAHIS IN THE ANNIAL Period Ending 12/31/2020 12/31/2019 12/31/2018 12/31/2017 Current Assets $19.304 000 $6,253,000 83,879.00 2EZEZ Cash and Cash Filents Short-Term Investments Net Redes tremory Dent Assets Terets $1,324,00 31 BSO 54,101.000 3 8949,390 2.773,000 $366 OGO $$, sun 39.9683/ $3552 000 995.00 $205365 86573520 CUDZI2928 SUU tenglam Am Gepleie Sixes 813 .. $2. 39220DD SIA OGI ODS $198. DAG 0.00 333,000 8.000 $455.552 $14, 1442 980-57 39 S 310 SOR Oths 5 3.000 Ez25 23 Fare 352 49000 25.00 || . . Current train COS 3529 9,55820 DECO besunto eis ShortTem Cantalones Other Current Lantes Total current Long-Term Bed Ser Lee 41 3996.54 A 656,59 30.4.0 55721 DDR 30 29.995.000 19404000 B 3.0 RAFAS SOLE ch SEVES COME STATEMENT BALANCE SHEET CASH FINANCIAL RATIO ANNUAL Period Ceding: 12/31/2019 12/31/2020 se cdo 12/31/2018 3976,000 12/31/2017 $1,962,00 Nex income -3070,000 Cash Flow Operating Activities 82,500,000 52,395,000 $9.342,000 59.187.000 $200.000 $1043,000 51,727,000 $950,000 $552000 -92500D Depreciation Net Income Acluszments Chonprin Operating Activities A Receivable Charles Other Operating active L! Net Cash Filcerating Cash Flow-inverting Attivities -9422,000 9179000 -91663,000 -5387.000 -5429,000 -9937,00 31000D $1.435000 3407.000 $1 199 000 2504,000 $2.000 $2.098.000 -51 610 000 S181.7.BAN 92 925,000 S5948000 -S61CCO 13 -81432 34 319 COC 940 S#000 18.00 $115.000 300 000 +339.000 $27,00 -$43.96.000 Capital Expenditures In esments Ciwan At Nerath Cash Flowe Financing des de and for Neronis Other Tites Met Een Hattone 12 55 27.000 3272.000 32:28 930 3000 5406 $5.77.0.0 1814910 son COM INCOME STATEMENT BALANCE SHEET CASH FLON FINANCIAL RATIOS NONSAS ANIN 12/31/2020 12/01/2019 12/31/2018 12/31/2017 BU 1805 1195 1595 004 59% 56% 130 594 993 4 Period Ending: Liquidity Ratios Carla Quick Ratio Cases Patio Profily Ride Gross Margin Margin Prat Morgen Proht Maran Fre-Tax ROC 199 195 $$$ OS 05 0 05 AS After Tax HUE 3 INCOHE STATEMENT BALANCE SHEET CASE FLOW FINANCIAL RATIOS SEPERTI AN 12/31/2020 12/31/2017 Period Ending Tell me 331,536 000 $11 759.000 12/31/2019 $24,578 $20,80,000 $4.069.000 17/01/2018 321,461 COO $17419000 $4,042.000 Cost of Revenue Gross Profia $24,906 non 56.630.000 89,036 CCO 32 233,000 Operating senses $734,000 $1.491.000 53,145 con $1,450.000 $2835000 3135,000 $1 278,000 $2472000 $2646,000 3119.000 $1994,200 -569,000 32,632.000 $888.000 $46.COD -392.000 599,00 $3.Yutoca 9106 CON 3178000 Hesearch and Development Sedente ng An Nors.Recurring Items Operating Operating Add comelexpert sem ang Defore ressante Tar Interest Expense Emas Before TX Income Tax M Et Led 3d Het On Dec Neringove Nietieplicable to share $20.000 65,000 36.00 5342,000 1668.000 40.cce 1140 $200 31.7,000 100.000 -S2 209,000 592,000 6.900 GUCCO DIE $395.000 82033 1300 C $87.2009 SATED 56976000 $174. OD 3279.000 +952 000 $1.962.000 51.952.000 UUU OLES 690,000 9. Ude OLBE

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