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What are the Liquidity Ratios (Current Ratio, Acid Test) for the following financial information? MICROSOFT CORP BALANCE SHEET 2014 2015 Assets Cash Cash and cash

What are the Liquidity Ratios (Current Ratio, Acid Test) for the following financial information?

MICROSOFT CORP BALANCE SHEET
2014 2015
Assets
Cash
Cash and cash equivalents $8,669 $5,595
Short-term investments $77,040 $90,931
Total cash $85,709 $96,526
Receivables $19,544 $17,908
Inventories $2,660 $2,902
Deferred income taxes $1,941 $1,915
Other current assets $4,392 $5,461
Total current assets $114,246 $124,712
Non-current assets
Gross property, plant and equipment $27,804 $32,337
Accumulated Depreciation -$14,793 -$17,606
Net property, plant and equipment $13,011 $14,731
Equity and other investments $14,597 $12,053
Goodwill $20,127 $16,939
Intangible assets $6,981 $4,835
Other long-term assets $3,422 $2,953
Total non-current assets $58,138 $51,511
Total assets $172,384 $176,223
Liabilities and stockholders' equity
Liabilities
Current liabilities
Short-term debt $2,000 $7,484
Accounts payable $7,432 $6,591
Taxes payable $782 $606
Accrued liabilities $4,797 $5,096
Deferred revenues $23,150 $23,223
Other current liabilities $7,464 $6,858
Total current liabilities $45,625 $49,858
Non-current liabilities
Long-term debt $20,645 $27,808
Deferred taxes liabilities $2,728 $2,835
Deferred revenues $2,008 $2,095
Other long-term liabilities $11,594 $13,544
Total non-current liabilities $36,975 $46,282
Total liabilities $82,600 $96,140
Stockholders' equity
Common stock $68,366 $68,465
Retained earnings $17,710 $9,096
Accumulated other comprehensive income $3,708 $2,522
Total stockholders' equity $89,784 $80,083
Total liabilities and stockholders' equity $172,384 $176,223
MICROSOFT CORP INCOME STATEMENT
(USD in millions except per share data) 2014 2015
Revenue $86,833 $93,580
Cost of revenue $26,934 $33,038
Gross profit $59,899 $60,542
Operating expenses
Research and development $11,381 $12,046
Sales, General and administrative $20,632 $20,324
Restructuring, merger and acquisition $127 $0
Other operating expenses $0 $10,011
Total operating expenses $32,140 $42,381
Operating income $27,759 $18,161
Interest Expense $597 $781
Other income (expense) $658 $1,127
Income before taxes $27,820 $18,507
Provision for income taxes $5,746 $6,314
Net income from continuing operations $22,074 $12,193
Net income $22,074 $12,193
Net income available to common shareholders $22,074 $12,193
Earnings per share
Basic $2.66 $1.49
Diluted $2.63 $1.48
Weighted average shares outstanding
Basic $8,299 $8,177
Diluted $8,399 $8,254
EBITDA $33,629 $25,245
MICROSOFT CORP CASH FLOW STATEMENT
(USD in millions except per share data) 2014 2015
Cash Flows From Operating Activities
Net income $22,074 $12,193
Depreciation & amortization $5,212 $5,957
Investment/asset impairment charges $0 $7,498
Investments losses (gains) -$109 -$443
Deferred income taxes -$331 $224
Stock based compensation $2,446 $2,574
Accounts receivable -$1,120 $1,456
Inventory -$161 -$272
Accounts payable $473 -$1,054
Other working capital $1,432 $1,383
Other non-cash items $2,315 -$436
Net cash provided by operating activities $32,231 $29,080
Cash Flows From Investing Activities
Investments in property, plant, and equipment -$5,485 -$5,944
Acquisitions, net -$5,937 -$3,723
Purchases of investments -$72,690 -$98,729
Sales/Maturities of investments $65,366 $85,861
Other investing activities -$87 -$466
Net cash used for investing activities -$18,833 -$23,001
Cash Flows From Financing Activities
Debt issued $10,350 $10,680
Debt repayment -$3,888 -$1,500
Common stock issued $607 $634
Common stock repurchased -$7,316 -$14,443
Excess tax benefit from stock based compensation $271 $588
Dividend paid -$8,879 -$9,882
Other financing activities $461 $4,843
Net cash provided by (used for) financing activities -$8,394 -$9,080
Effect of exchange rate changes -$139 -$73
Net change in cash $4,865 -$3,074
Cash at beginning of period $3,804 $8,669
Cash at end of period $8,669 $5,595
Free Cash Flow
Operating cash flow $32,231 $29,080
Capital expenditure -$5,485 -$5,944
Free cash flow $26,746 $23,136

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