Chat with us, powered by LiveChat Based on three years' statements separately analyzed income statement and balance sheet in order to determine financial position of the company?Co - EssayAbode

Based on three years’ statements separately analyzed income statement and balance sheet in order to determine financial position of the company?Co

Based on three years' statements separately analyzed income statement and balance sheet in order to determine financial position of the company 

Sheet1

Consolidated Statements Of Income – USD ($) shares in Thousands, $ in Millions Costco Wholesale Corporation Change % in 2021 Change in amount 2021 Change % in 2020 Change in amount in 2020
2021 2020 2019
REVENUE
Net Sales $ 192,052 $ 163,220 $ 149,351 18% $28,832 9% $13,869
Membership fees $ 3,877 $ 3,541 $ 3,352 9% $336 6% $189
Total Revenue $ 195,929 $ 166,761 $ 152,703 17% $29,168 9% $14,058
OPERATING EXPENSES
Merchandise costs 170,684 144,939 132,886 18% $25,745 9% $12,053
Selling, general and administrative 18,461 16,332 14,994 13% $2,129 9% $1,338
Preopening expenses 76 55 86 38% $21 -36% -$31
Operating Income 6,708 5,435 4,737 23% $1,273 15% $698
OTHER INCOME (EXPENSE)
Interest expense (171) (160) (150) 7% -$11 7% -$10
Interest income and other, net 143 92 178 55% $51 -48% -$86
INCOME BEFORE INCOME TAXES 6,680 5,367 4,765 24% $1,313 13% $602
Income Tax Expense 1,601 1,308 1,061 22% $293 23% $247
Net income including noncontrolling interests 5,079 4,059 3,704 25% $1,020 10% $355
Net income attributable to noncontrolling interests (72) (57) (45) 26% -$15 27% -$12
NET INCOME ATTRIBUTABLE TO COSTCO $ 5,007 $ 4,002 $ 3,659 25% $1,005 9% $343
NET INCOME PER COMMON SHARE ATTRIBUTABLE TO COSTCO:
Basic (in dollars per share) $ 11.30 $ 9.05 $ 8.32 25% $2 9% $1
Diluted (in dollars per share) $ 11.27 $ 9.02 $ 8.26 25% $2 9% $1
Weighted Average Number of Shares Outstanding, Diluted [Abstract]
Basic (shares) 443,089 442,297 439,755 0% $792 1% $2,542
Diluted (shares) 444,346 443,901 442,923 0% $445 0% $978
Consolidated Balance Sheets – USD ($) $ in Millions 2021 2020 2019 Change % in 2021 Change in amount 2021 Change % in 2020 Change in amount in 2020
CURRENT ASSETS
Cash and cash equivalents $ 11,258 $ 12,277 $ 8,384 -8% -$1,019 46% $3,893
Short-term investments 917 1,028 $ 1,060 -11% -$111 -3% -$32
Receivables, net 1,803 1,550 $ 1,535 $253 1% $15
Merchandise inventories 14,215 12,242 $ 11,395 16% $1,973 7% $847
Other current assets 1,312 1,023 $ 1,111 28% $289 -8% -$88
Total current assets 29,505 28,120 23,485 5% $1,385 20% $4,635
OTHER ASSETS
Property and Equipment, net 23,492 21,807 20,890 8% $1,685 4% $917
Operating lease right-of-use assets 2,890 2,788 4% $102 $2,788
Other long-term assets 3,381 2,841 1,025 19% $540 177% $1,816
TOTAL ASSETS 59,268 55,556 45,400 7% $3,712 22% $10,156
CURRENT LIABILITIES
Accounts payable 16,278 14,172 11,679 15% $2,106 21% $2,493
Accrued salaries and benefits 4,090 3,605 3,176 13% $485 14% $429
Accrued member rewards 1,671 1,393 1,180 20% $278 18% $213
Deferred membership fees 2,042 1,851 1,711 10% $191 8% $140
Current portion of long-term debt 799 95 1,699 741% $704 -94% -$1,604
Other current liabilities 4,561 3,728 3,792 22% $833 -2% -$64
Total current liabilities 29,441 24,844 23,237 19% $4,597 7% $1,607
OTHER LIABILITIES
Long-term debt, excluding current portion 6,692 7,514 5,124 -11% -$822 47% $2,390
Long-term operating lease liabilities 2,642 2,558 3% $84 $2,558
Other long-term liabilities 2,415 1,935 1,455 25% $480 33% $480
Total liabilities 41,190 36,851 29,816 12% $4,339 24% $7,035
EQUITY
Preferred stock 0 0 0
Common Stock 4 4 4 0% $0 0% $0
Additional paid-in capital 7,031 6,698 6,417 5% $333 4% $281
Accumulated other comprehensive loss (1,137) (1,297) (1,436) -12% $160 -10% $139
Retained earnings 11,666 12,879 10,258 -9% -$1,213 26% $2,621
Total Costco stockholders' equity 17,564 18,284 15,243 -4% -$720 20% $3,041
Noncontrolling interests 514 421 341 22% $93 23% $80
Total equity 18,078 18,705 15,584 -3% -$627 20% $3,121
TOTAL LIABILITIES AND EQUITY $ 59,268 $ 55,556 $ 45,400 7% $3,712 22% $10,156

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