ACCT 370 - WEEK 4

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COMCASTFORRATIOS.xls

Key Stats

Comcast Corporation (NasdaqGS:CMCS.A) > Financials > Key Stats
In Millions of the trading currency, except per share items. Currency: Trading Currency   Conversion: Historical
Order: Latest on Right   Units: S&P Capital IQ (Default)
Decimals: Capital IQ (Default)   Dilution: Basic
Key Financials¹
For the Fiscal Period Ending 12 months Dec-31-2016A 12 months Dec-31-2017A 12 months Dec-31-2018A 12 months Dec-31-2019A 12 months Dec-31-2020A
Currency USD USD USD USD USD
Total Revenue 80,736.0 85,029.0 94,507.0 108,942.0 103,564.0
Growth Over Prior Year 8.4% 5.3% 11.1% 15.3% (4.9%)
Gross Profit 56,388.0 59,674.0 64,815.0 74,502.0 70,443.0
Margin % 69.8% 70.2% 68.6% 68.4% 68.0%
EBITDA 26,318.0 27,706.0 30,165.0 34,078.0 30,593.0
Margin % 32.6% 32.6% 31.9% 31.3% 29.5%
EBIT 16,892.0 17,576.0 19,148.0 21,125.0 17,493.0
Margin % 20.9% 20.7% 20.3% 19.4% 16.9%
Earnings from Cont. Ops. 9,028.0 22,922.0 11,862.0 13,323.0 10,701.0
Margin % 11.2% 27.0% 12.6% 12.2% 10.3%
Net Income 8,678.0 22,735.0 11,731.0 13,057.0 10,534.0
Margin % 10.7% 26.7% 12.4% 12.0% 10.2%
Diluted EPS Excl. Extra Items³ 1.78 4.75 2.53 2.83 2.28
Growth Over Prior Year 9.9% 166.9% (46.7%) 11.9% (19.4%)
Currency USD USD USD USD USD
Exchange Rate 1.0 1.0 1.0 1.0 1.0
Conversion Method H H H H H
¹All results are taken from the most recently filed statement for each period. When there has been more than one, earlier filings can be viewed on the individual statement pages.
Growth Rates are calculated in originally reported currency only and will not reflect any currency conversion selected above.
Latest Capitalization (Millions of USD)
Currency USD
Share Price $55.11
Shares Out. 4,580.7
Market Capitalization 252,440.0
Class A Common Stock Shares Out 4,571.2
* Class A Common Stock Share Price 55.1
= Class A Common Stock Market Capitalization 251,919.5
+ Class B Common Stock Shares Out 9.4
* Class B Common Stock Share Price 55.1
= Class B Common Stock Market Capitalization 520.5
- Cash & Short Term Investments 11,740.0
+ Total Debt 113,386.0
+ Pref. Equity -
+ Total Minority Interest 2,695.0
= Total Enterprise Value (TEV) 356,781.0
Book Value of Common Equity 90,323.0
+ Pref. Equity -
+ Total Minority Interest 2,695.0
+ Total Debt 113,386.0
= Total Capital 206,404.0
**For companies that have multiple share classes that publicly trade, we are incorporating the different prices to calculate our company level market capitalization. Please click on the value to see the detailed calculation. Prices shown on this page are the close price of the company’s primary stock class. Shares shown on this page are total company as-reported share values.
Total Liability includes Total Debt, Minority Interest and Pref. Equity.
Net Liability includes Total Liability, net of Cash and Short Term Investments.
TEV includes Market Cap and Net Liability.
Total Capital includes Common Equity and Total Liability.
Valuation Multiples based on Current Capitalization
For the Fiscal Period Ending 12 months Dec-31-2016A 12 months Dec-31-2017A 12 months Dec-31-2018A 12 months Dec-31-2019A 12 months Dec-31-2020A
TEV/Total Revenue - 4.2x 3.8x 3.3x 3.4x
TEV/EBITDA - 12.8x 12.0x 10.3x 11.3x
TEV/EBIT - 20.2x 19.0x 17.3x 20.5x
P/Diluted EPS Before Extra - 11.6x 21.8x 19.5x 24.2x
P/BV - 3.7x 3.5x 3.0x 2.8x
Price/Tang BV - NM NM NM NM

Income Statement

Comcast Corporation (NasdaqGS:CMCS.A) > Financials > Income Statement
In Millions of the reported currency, except per share items. Latest Filings Restatement:  
Latest on Right Order:  
Historical Conversion:  
Capital IQ (Default) Decimals:  
Income Statement
For the Fiscal Period Ending 12 months Dec-31-2020 12 months Dec-31-2019 Reclassified 12 months Dec-31-2018
Currency USD USD USD
Revenue 103,564.0 108,942.0 94,507.0
Other Revenue - - -
Total Revenue 103,564.0 108,942.0 94,507.0
Cost Of Goods Sold 33,121.0 34,440.0 29,692.0
Gross Profit 70,443.0 74,502.0 64,815.0
Selling General & Admin Exp. 39,850.0 40,424.0 34,791.0
R & D Exp. - - -
Depreciation & Amort. 8,320.0 8,663.0 8,281.0
Amort. of Goodwill and Intangibles 4,780.0 4,290.0 2,736.0
Other Operating Expense/(Income) - - (141.0)
Other Operating Exp., Total 52,950.0 53,377.0 45,667.0
Operating Income 17,493.0 21,125.0 19,148.0
Interest Expense (4,588.0) (4,567.0) (3,542.0)
Interest and Invest. Income - - -
Net Interest Exp. (4,588.0) (4,567.0) (3,542.0)
Income/(Loss) from Affiliates (113.0) (505.0) (364.0)
Other Non-Operating Inc. (Exp.) 259.0 68.0 326.0
EBT Excl. Unusual Items 13,051.0 16,121.0 15,568.0
Merger & Related Restruct. Charges - - (339.0)
Impairment of Goodwill - - -
Gain (Loss) On Sale Of Invest. 1,014.0 875.0 (187.0)
Gain (Loss) On Sale Of Assets - - 200.0
Other Unusual Items - - -
EBT Incl. Unusual Items 14,065.0 16,996.0 15,242.0
10,701.0
Income Tax Expense 3,364.0 3,673.0 3,380.0
Earnings from Cont. Ops. 10,701.0 13,323.0 11,862.0
Earnings of Discontinued Ops. - - -
Extraord. Item & Account. Change - - -
Net Income to Company 10,701.0 13,323.0 11,862.0
Minority Int. in Earnings (167.0) (266.0) (131.0)
Net Income 10,534.0 13,057.0 11,731.0
Pref. Dividends and Other Adj. - - -
NI to Common Incl Extra Items 10,534.0 13,057.0 11,731.0
NI to Common Excl. Extra Items 10,534.0 13,057.0 11,731.0
Per Share Items
Basic EPS $2.3 $2.87 $2.56
Basic EPS Excl. Extra Items 2.3 2.87 2.56
Weighted Avg. Basic Shares Out. 4,574.0 4,548.0 4,584.0
Diluted EPS $2.28 $2.83 $2.53
Diluted EPS Excl. Extra Items 2.28 2.83 2.53
Weighted Avg. Diluted Shares Out. 4,624.0 4,610.0 4,640.0
Normalized Basic EPS $1.75 $2.16 $2.09
Normalized Diluted EPS 1.73 2.13 2.07
Dividends per Share $0.92 $0.84 $0.76
Payout Ratio % 39.3% 28.6% 28.6%
Shares per Depository Receipt 1.0 1.0 1.0
Supplemental Items
EBITDA 30,593.0 34,078.0 30,165.0
EBITA 22,273.0 25,415.0 21,884.0
EBIT 17,493.0 21,125.0 19,148.0
EBITDAR 31,693.0 35,178.0 30,944.0
Effective Tax Rate % 23.9% 21.6% 22.2%
Current Domestic Taxes 3,660.0 2,510.0 2,665.0
Current Foreign Taxes 254.0 600.0 425.0
Total Current Taxes 3,914.0 3,110.0 3,090.0
Deferred Domestic Taxes (182.0) 887.0 379.0
Deferred Foreign Taxes (368.0) (324.0) (89.0)
Total Deferred Taxes (550.0) 563.0 290.0
Normalized Net Income 7,989.9 9,809.6 9,599.0
Filing Date Feb-04-2021 Feb-04-2021 Feb-04-2021
Restatement Type O NC RC
Calculation Type REP REP REP
Supplemental Operating Expense Items
Advertising Exp. 6,741.0 7,617.0 7,036.0
Selling and Marketing Exp. 6,741.0 7,617.0 7,036.0
Net Rental Exp. 1,100.0 1,100.0 779.0
Imputed Oper. Lease Interest Exp. 358.3 359.3 250.4
Imputed Oper. Lease Depreciation 741.7 740.7 528.6
Stock-Based Comp., Unallocated 1,193.0 1,021.0 826.0
Stock-Based Comp., Total 1,193.0 1,021.0 826.0
Note: For multiple class companies, per share items are primary class equivalent, and for foreign companies listed as primary ADRs, per share items are ADR-equivalent.

Balance Sheet

Comcast Corporation (NasdaqGS:CMCS.A) > Financials > Balance Sheet
In Millions of the reported currency, except per share items. Latest Filings Restatement:  
Latest on Right Order:  
Historical Conversion:  
Capital IQ (Default) Decimals:  
Balance Sheet
Balance Sheet as of: Dec-31-2020 Dec-31-2019 Dec-31-2018
Currency USD USD USD
ASSETS
Cash And Equivalents 11,740.0 5,500.0 3,814.0
Short Term Investments - 1,600.0 -
Total Cash & ST Investments 11,740.0 7,100.0 3,814.0
Accounts Receivable 11,466.0 11,292.0 11,104.0
Total Receivables 11,466.0 11,292.0 11,104.0
Restricted Cash 14.0 42.0 46.0
Other Current Assets 3,521.0 6,958.0 6,884.0
Total Current Assets 26,741.0 25,392.0 21,848.0
Gross Property, Plant & Equipment 110,167.0 105,599.0 95,743.0
Accumulated Depreciation (54,388.0) (53,239.0) (51,306.0)
Net Property, Plant & Equipment 55,779.0 52,360.0 44,437.0
Long-term Investments 7,820.0 6,989.0 7,883.0
Goodwill 70,669.0 68,725.0 66,154.0
Other Intangibles 94,754.0 95,493.0 97,723.0
Deferred Charges, LT 1,060.0 1,083.0 991.0
Other Long-Term Assets 17,046.0 13,372.0 12,648.0
Total Assets 273,869.0 263,414.0 251,684.0
LIABILITIES
Accounts Payable 11,364.0 10,826.0 8,494.0
Accrued Exp. 8,899.0 8,101.0 10,721.0
Curr. Port. of LT Debt 2,936.0 4,452.0 4,398.0
Curr. Port. of Leases 928.0 715.0 -
Unearned Revenue, Current 2,963.0 2,768.0 2,182.0
Other Current Liabilities 1,706.0 3,430.0 1,808.0
Total Current Liabilities 28,796.0 30,292.0 27,603.0
Long-Term Debt 104,991.0 102,931.0 107,345.0
Long-Term Leases 4,531.0 3,891.0 -
Unearned Revenue, Non-Current 750.0 618.0 650.0
Def. Tax Liability, Non-Curr. 28,051.0 28,180.0 27,589.0
Other Non-Current Liabilities 13,732.0 12,256.0 14,679.0
Total Liabilities 180,851.0 178,168.0 177,866.0
Common Stock 54.0 54.0 54.0
Additional Paid In Capital 39,464.0 38,447.0 37,461.0
Retained Earnings 56,438.0 50,695.0 41,983.0
Treasury Stock (7,517.0) (7,517.0) (7,517.0)
Comprehensive Inc. and Other 1,884.0 1,047.0 (368.0)
Total Common Equity 90,323.0 82,726.0 71,613.0
Minority Interest 2,695.0 2,520.0 2,205.0
Total Equity 93,018.0 85,246.0 73,818.0
Total Liabilities And Equity 273,869.0 263,414.0 251,684.0
Supplemental Items
Total Shares Out. on Filing Date 4,580.7 4,553.0 4,526.0
Total Shares Out. on Balance Sheet Date 4,580.7 4,553.0 4,526.0
Book Value/Share $19.72 $18.17 $15.82
Tangible Book Value (75,100.0) (81,492.0) (92,264.0)
Tangible Book Value/Share ($16.4) ($17.9) ($20.39)
Total Debt 113,386.0 111,989.0 111,743.0
Net Debt 101,646.0 104,889.0 107,929.0
Debt Equiv. of Unfunded Proj. Benefit Obligation NA NA NA
Debt Equivalent Oper. Leases 8,800.0 8,800.0 6,232.0
Total Minority Interest 2,695.0 2,520.0 2,205.0
Inventory Method NA NA NA
Land 1,848.0 1,483.0 1,539.0
Buildings 15,885.0 15,104.0 14,188.0
Machinery 81,555.0 79,729.0 77,025.0
Construction in Progress 7,095.0 5,245.0 2,991.0
Full Time Employees 168,000 190,000 184,000
Accum. Allowance for Doubtful Accts 807.0 419.0 352.0
Filing Date Feb-04-2021 Feb-04-2021 Feb-04-2021
Restatement Type O NC NC
Calculation Type REP REP RUP
Note: For multiple class companies, total share counts are primary class equivalent, and for foreign companies listed as primary ADRs, total share counts are ADR-equivalent.

Cash Flow

Comcast Corporation (NasdaqGS:CMCS.A) > Financials > Cash Flow
In Millions of the reported currency, except per share items. Latest Filings Restatement:  
Latest on Right Order:  
Historical Conversion:  
Capital IQ (Default) Decimals:  
Cash Flow
For the Fiscal Period Ending 12 months Dec-31-2020 12 months Dec-31-2019 12 months Dec-31-2018
Currency USD USD USD
Net Income 10,534.0 13,057.0 11,731.0
Depreciation & Amort. 8,320.0 8,663.0 8,281.0
Amort. of Goodwill and Intangibles 4,780.0 4,290.0 2,736.0
Depreciation & Amort., Total 13,100.0 12,953.0 11,017.0
(Gain) Loss From Sale Of Assets (970.0) (20.0) 235.0
Stock-Based Compensation 1,193.0 1,021.0 826.0
Other Operating Activities 314.0 1,246.0 785.0
Change in Acc. Receivable (20.0) (57.0) (802.0)
Change in Acc. Payable (266.0) (347.0) (394.0)
Change in Other Net Operating Assets 852.0 (2,156.0) 899.0
Cash from Ops. 24,737.0 25,697.0 24,297.0
Capital Expenditure (10,677.0) (11,069.0) (10,234.0)
Cash Acquisitions (233.0) (370.0) (38,219.0)
Divestitures 639.0 886.0 141.0
Sale (Purchase) of Real Estate properties - - -
Sale (Purchase) of Intangible assets (2,914.0) (2,475.0) (1,935.0)
Invest. in Marketable & Equity Securt. 888.0 (1,899.0) (1,257.0)
Net (Inc.) Dec. in Loans Originated/Sold - - -
Other Investing Activities 250.0 86.0 650.0
Cash from Investing (12,047.0) (14,841.0) (50,854.0)
Short Term Debt Issued - - 379.0
Long-Term Debt Issued 18,644.0 10,654.0 44,781.0
Total Debt Issued 18,644.0 10,654.0 45,160.0
Short Term Debt Repaid - (1,288.0) -
Long-Term Debt Repaid (18,777.0) (14,354.0) (8,798.0)
Total Debt Repaid (18,777.0) (15,642.0) (8,798.0)
Issuance of Common Stock - - -
Repurchase of Common Stock (534.0) (504.0) (5,320.0)
Common Dividends Paid (4,140.0) (3,735.0) (3,352.0)
Total Dividends Paid (4,140.0) (3,735.0) (3,352.0)
Special Dividend Paid - - -
Other Financing Activities (1,706.0) 46.0 (550.0)
Cash from Financing (6,513.0) (9,181.0) 27,140.0
Foreign Exchange Rate Adj. 2.0 5.0 (245.0)
Net Change in Cash 6,179.0 1,680.0 338.0
Supplemental Items
Cash Interest Paid 3,878.0 4,254.0 2,897.0
Cash Taxes Paid 3,183.0 3,231.0 2,355.0
Levered Free Cash Flow 11,865.6 12,440.8 10,654.8
Unlevered Free Cash Flow 14,733.1 15,295.1 12,868.5
Change in Net Working Capital (3,098.0) (1,662.0) (1,227.0)
Net Debt Issued (133.0) (4,988.0) 36,362.0
Filing Date Feb-04-2021 Feb-04-2021 Feb-04-2021
Restatement Type O NC NC
Calculation Type REP REP REP

Ratios

Comcast Corporation (NasdaqGS:CMCS.A) > Financials > Ratios
Restatement: Latest Filings   Period Type: Annual
Order: Latest on Right   Decimals: Capital IQ (Default)
Ratios
For the Fiscal Period Ending 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018 12 months Dec-31-2019 12 months Dec-31-2020
Profitability
Return on Assets % 6.1% 6.0% 5.5% 5.1% 4.1%
Return on Capital % 9.3% 8.6% 7.5% 6.9% 5.4%
Return on Equity % 16.0% 35.7% 16.4% 16.8% 12.0%
Return on Common Equity % 16.3% 37.1% 16.7% 16.9% 12.2%
Margin Analysis
Gross Margin % 69.8% 70.2% 68.6% 68.4% 68.0%
SG&A Margin % 37.2% 37.6% 36.8% 37.1% 38.5%
EBITDA Margin % 32.6% 32.6% 31.9% 31.3% 29.5%
EBITA Margin % 23.4% 23.3% 23.2% 23.3% 21.5%
EBIT Margin % 20.9% 20.7% 20.3% 19.4% 16.9%
Earnings from Cont. Ops Margin % 11.2% 27.0% 12.6% 12.2% 10.3%
Net Income Margin % 10.7% 26.7% 12.4% 12.0% 10.2%
Net Income Avail. for Common Margin % 10.7% 26.7% 12.4% 12.0% 10.2%
Normalized Net Income Margin % 10.6% 10.8% 10.2% 9.0% 7.7%
Levered Free Cash Flow Margin % 10.3% 9.3% 11.3% 11.4% 11.5%
Unlevered Free Cash Flow Margin % 12.5% 11.5% 13.6% 14.0% 14.2%
Asset Turnover
Total Asset Turnover 0.5x 0.5x 0.4x 0.4x 0.4x
Fixed Asset Turnover 2.3x 2.3x 2.3x 2.3x 1.9x
Accounts Receivable Turnover 10.9x 10.1x 9.5x 9.7x 9.1x
Inventory Turnover NA NA NA NA NA
Short Term Liquidity
Current Ratio 0.8x 0.7x 0.8x 0.8x 0.9x
Quick Ratio 0.6x 0.6x 0.5x 0.6x 0.8x
Cash from Ops. to Curr. Liab. 0.9x 1.0x 0.9x 0.8x 0.9x
Avg. Days Sales Out. 33.7 36.0 38.5 37.5 40.2
Avg. Days Inventory Out. NA NA NA NA NA
Avg. Days Payable Out. 98.7 99.5 94.7 102.4 122.6
Avg. Cash Conversion Cycle NA NA NA NA NA
Long Term Solvency
Total Debt/Equity 105.9% 91.2% 151.4% 131.4% 121.9%
Total Debt/Capital 51.4% 47.7% 60.2% 56.8% 54.9%
LT Debt/Equity 96.4% 83.9% 145.4% 125.3% 117.7%
LT Debt/Capital 46.8% 43.9% 57.8% 54.2% 53.1%
Total Liabilities/Total Assets 68.1% 62.2% 70.7% 67.6% 66.0%
EBIT / Interest Exp. 5.7x 5.7x 5.4x 4.6x 3.8x
EBITDA / Interest Exp. 8.9x 9.0x 8.5x 7.7x 6.9x
(EBITDA-CAPEX) / Interest Exp. 5.8x 5.9x 5.6x 5.3x 4.6x
Total Debt/EBITDA 2.3x 2.3x 3.7x 3.2x 3.6x
Net Debt/EBITDA 2.1x 2.2x 3.6x 3.0x 3.2x
Total Debt/(EBITDA-CAPEX) 3.6x 3.6x 5.6x 4.6x 5.4x
Net Debt/(EBITDA-CAPEX) 3.3x 3.4x 5.4x 4.4x 4.8x
Altman Z Score 1.65 1.95 1.39 1.57 1.52
Growth Over Prior Year
Total Revenue 8.4% 5.3% 11.1% 15.3% (4.9%)
Gross Profit 8.5% 5.8% 8.6% 14.9% (5.4%)
EBITDA 6.6% 5.3% 8.9% 13.0% (10.2%)
EBITA 5.3% 5.0% 10.6% 16.1% (12.4%)
EBIT 5.6% 4.0% 8.9% 10.3% (17.2%)
Earnings from Cont. Ops. 7.3% 153.9% (48.3%) 12.3% (19.7%)
Net Income 6.3% 162.0% (48.4%) 11.3% (19.3%)
Normalized Net Income 11.0% 6.7% 5.0% 2.2% (18.6%)
Diluted EPS before Extra 9.9% 166.9% (46.7%) 11.9% (19.4%)
Accounts Receivable 15.4% 11.0% 25.7% 1.7% 1.5%
Inventory NA NA NA NA NA
Net PP&E 7.7% 6.1% 15.5% 17.8% 6.5%
Total Assets 8.4% 3.9% 34.3% 4.7% 4.0%
Tangible Book Value NM NM NM NM NM
Common Equity 3.2% 27.2% 4.4% 15.5% 9.2%
Cash from Ops. 1.1% 8.0% 14.3% 5.8% (3.7%)
Capital Expenditures 7.7% 5.1% 6.4% 8.2% (3.5%)
Levered Free Cash Flow 2.5% (4.7%) 35.1% 16.8% (4.6%)
Unlevered Free Cash Flow 3.6% (3.0%) 31.1% 18.9% (3.7%)
Dividend per Share 10.0% 14.5% 20.6% 10.5% 9.5%
Compound Annual Growth Rate Over Two Years
Total Revenue 8.3% 6.8% 8.2% 13.2% 4.7%
Gross Profit 8.5% 7.2% 7.2% 11.7% 4.3%
EBITDA 6.6% 6.0% 7.1% 10.9% 0.7%
EBITA 5.9% 5.2% 7.7% 13.3% 0.9%
EBIT 5.6% 4.8% 6.5% 9.6% (4.4%)
Earnings from Cont. Ops. 2.5% 65.1% 14.6% (23.8%) (5.0%)
Net Income 1.8% 66.9% 16.3% (24.2%) (5.2%)
Normalized Net Income 5.4% 8.8% 5.9% 3.6% (8.8%)
Diluted EPS before Extra 5.5% 71.2% 19.2% (22.8%) (5.1%)
Accounts Receivable 12.2% 13.2% 18.1% 13.1% 1.6%
Inventory NA NA NA NA NA
Net PP&E 8.2% 6.9% 10.7% 16.7% 12.0%
Total Assets 6.5% 6.1% 18.1% 18.5% 4.3%
Tangible Book Value NM NM NM NM NM
Common Equity 1.2% 14.6% 15.2% 9.8% 12.3%
Cash from Ops. 7.8% 4.5% 11.1% 9.9% 0.9%
Capital Expenditures 11.1% 6.4% 5.7% 7.3% 2.1%
Levered Free Cash Flow 26.9% (1.2%) 13.4% 25.6% 5.5%
Unlevered Free Cash Flow 22.2% 0.3% 12.8% 24.8% 7.0%
Dividend per Share 10.6% 12.2% 17.6% 15.5% 10.0%
Compound Annual Growth Rate Over Three Years
Total Revenue 7.7% 7.3% 8.2% 10.5% 6.8%
Gross Profit 7.8% 7.6% 7.6% 9.7% 5.7%
EBITDA 7.1% 6.2% 6.9% 9.0% 3.4%
EBITA 7.5% 5.6% 6.9% 10.5% 4.0%
EBIT 7.6% 5.1% 6.2% 7.7% (0.2%)
Earnings from Cont. Ops. 8.2% 38.7% 12.1% 13.9% (22.4%)
Net Income 8.4% 39.5% 12.8% 14.6% (22.6%)
Normalized Net Income 8.5% 5.8% 7.5% 4.6% (4.4%)
Diluted EPS before Extra 11.6% 43.7% 16.0% 16.7% (21.7%)
Accounts Receivable 7.7% 11.8% 17.2% 12.4% 9.1%
Inventory NA NA NA NA NA
Net PP&E 6.7% 7.5% 9.7% 13.0% 13.2%
Total Assets 4.4% 5.6% 14.7% 13.4% 13.5%
Tangible Book Value NM NM NM NM NM
Common Equity 2.1% 9.2% 11.1% 15.3% 9.6%
Cash from Ops. 11.6% 7.9% 7.6% 9.3% 5.2%
Capital Expenditures 11.6% 9.0% 6.4% 6.5% 3.5%
Levered Free Cash Flow 2.7% 15.3% 9.7% 14.5% 14.6%
Unlevered Free Cash Flow 3.0% 13.1% 9.6% 14.8% 14.5%
Dividend per Share 12.1% 11.9% 15.0% 15.2% 13.5%
Compound Annual Growth Rate Over Five Years
Total Revenue 7.7% 6.3% 7.9% 9.6% 6.8%
Gross Profit 7.5% 7.0% 7.6% 9.3% 6.3%
EBITDA 7.5% 6.8% 7.1% 8.0% 4.4%
EBITA 8.9% 7.4% 7.6% 8.6% 4.5%
EBIT 9.5% 7.6% 7.1% 6.9% 1.8%
Earnings from Cont. Ops. 11.9% 23.9% 10.7% 9.2% 4.9%
Net Income 15.8% 29.7% 11.5% 9.3% 5.2%
Normalized Net Income 15.7% 13.0% 7.4% 4.9% 0.7%
Diluted EPS before Extra 18.9% 33.0% 14.6% 12.1% 7.1%
Accounts Receivable 11.3% 9.9% 11.7% 12.3% 10.7%
Inventory NA NA NA NA NA
Net PP&E 5.6% 7.2% 8.3% 11.1% 10.6%
Total Assets 2.7% 2.6% 9.6% 10.6% 10.5%
Tangible Book Value NM NM NM NM NM
Common Equity 2.7% 6.8% 7.2% 9.4% 11.6%
Cash from Ops. 6.5% 7.4% 11.4% 8.7% 4.9%
Capital Expenditures 11.5% 11.0% 9.2% 8.3% 4.7%
Levered Free Cash Flow (11.2%) (3.4%) 6.9% 19.3% 8.0%
Unlevered Free Cash Flow (9.4%) (2.1%) 6.8% 17.7% 8.6%
Dividend per Share 19.6% 14.2% 14.3% 13.3% 13.0%