Finance Evaluation

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YUMBrandsIncNYSEYUMFinancials1.xls

Key Stats

YUM! Brands, Inc. (NYSE:YUM) > 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-27-2014A 12 months Dec-31-2015A 12 months Dec-31-2016A 12 months Dec-31-2017A 12 months Dec-31-2018A 12 months† Dec-31-2019E 12 months Dec-31-2020E 12 months Dec-31-2021E
Currency USD USD USD USD USD USD USD USD
Total Revenue 6,587.0 6,418.0 6,356.0 5,878.0 5,688.0 5,465.64 5,649.37 5,931.61
Growth Over Prior Year (49.7%) (2.6%) (1.0%) (7.5%) (3.2%) (3.91%) 3.36% 5.00%
Gross Profit 2,558.0 2,582.0 2,690.0 2,717.0 2,666.0 - - -
Margin % 38.8% 40.2% 42.3% 46.2% 46.9% 19.48% 19.67% 19.50%
EBITDA 1,861.0 1,839.0 1,895.0 1,999.0 1,899.0 2,083.7 2,208.07 2,337.33
Margin % 28.3% 28.7% 29.8% 34.0% 33.4% 38.12% 39.09% 39.40%
EBIT 1,533.0 1,520.0 1,585.0 1,746.0 1,762.0 1,958.01 2,087.31 2,207.93
Margin % 23.3% 23.7% 24.9% 29.7% 31.0% 35.82% 36.95% 37.22%
Earnings from Cont. Ops. 1,006.0 926.0 1,018.0 1,340.0 1,542.0 - - -
Margin % 15.3% 14.4% 16.0% 22.8% 27.1% - - -
Net Income 1,051.0 1,283.0 1,643.0 1,340.0 1,542.0 1,176.59 1,259.17 1,353.46
Margin % 16.0% 20.0% 25.8% 22.8% 27.1% 21.53% 22.29% 22.82%
Diluted EPS Excl. Extra Items³ 2.22 2.09 2.54 3.77 4.69 3.83 4.26 4.69
Growth Over Prior Year (5.9%) (5.9%) 21.5% 48.4% 24.4% 20.87% 11.17% 10.06%
Currency USD USD USD USD USD USD USD USD
Exchange Rate 1.0 1.0 1.0 1.0 1.0 1.0 1.0 1.0
Conversion Method H H H H H S S S
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.
³All forward period figures are consensus mean estimates provided by the brokers and may not be on a comparable basis as financials.
†Growth rates for forward periods are calculated against prior period estimates or actual pro forma results as disclosed on the Estimates Consensus page.
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 $101.4
Shares Out. 305.9
Market Capitalization 31,018.3
- Cash & Short Term Investments 313.0
+ Total Debt 10,072.0
+ Pref. Equity -
+ Total Minority Interest -
= Total Enterprise Value (TEV) 40,777.3
Book Value of Common Equity (7,926.0)
+ Pref. Equity -
+ Total Minority Interest -
+ Total Debt 10,072.0
= Total Capital 2,146.0
**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.
Note: Striped area represents the impact of negative Common Equity on Total Liability.
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-31-2017A 12 months Dec-31-2018A 12 months Dec-31-2019E 12 months Dec-31-2020E 12 months Dec-31-2021E
TEV/Total Revenue 6.9x 7.2x 7.46x 7.22x 6.87x
TEV/EBITDA 20.4x 21.5x 19.57x 18.47x 17.45x
TEV/EBIT 23.4x 23.1x 20.83x 19.54x 18.47x
P/Diluted EPS Before Extra 26.9x 21.6x 26.46x 23.81x 21.63x
P/BV NM NM - - -
Price/Tang BV NM NM - - -

Income Statement

YUM! Brands, Inc. (NYSE:YUM) > Financials > Income Statement
In Millions of the reported currency, except per share items. Template: Standard   Restatement: Latest Filings
Period Type: Annual   Order: Latest on Right
Currency: Reported Currency   Conversion: Historical
Units: S&P Capital IQ (Default)   Decimals: Capital IQ (Default)
Source: Capital IQ & Proprietary Data  
Income Statement
For the Fiscal Period Ending Reclassified 12 months Dec-28-2013 Reclassified 12 months Dec-27-2014 Restated 12 months Dec-31-2015 Restated 12 months Dec-31-2016 Reclassified 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD USD USD USD
Revenue 13,084.0 6,587.0 6,418.0 6,356.0 5,878.0 5,688.0
Other Revenue - - - - - -
Total Revenue 13,084.0 6,587.0 6,418.0 6,356.0 5,878.0 5,688.0
Cost Of Goods Sold 9,659.0 4,029.0 3,836.0 3,666.0 3,161.0 3,022.0
Gross Profit 3,425.0 2,558.0 2,582.0 2,690.0 2,717.0 2,666.0
Selling General & Admin Exp. 1,397.0 1,028.0 1,058.0 1,105.0 971.0 904.0
R & D Exp. - - - - - -
Depreciation & Amort. - - - - - -
Other Operating Expense/(Income) (9.0) (3.0) 4.0 - - -
Other Operating Exp., Total 1,388.0 1,025.0 1,062.0 1,105.0 971.0 904.0
Operating Income 2,037.0 1,533.0 1,520.0 1,585.0 1,746.0 1,762.0
Interest Expense (129.0) (143.0) (153.0) (331.0) (473.0) (496.0)
Interest and Invest. Income - - 12.0 26.0 33.0 53.0
Net Interest Exp. (129.0) (143.0) (141.0) (305.0) (440.0) (443.0)
Income/(Loss) from Affiliates 26.0 - - - - -
Currency Exchange Gains (Loss) (10.0) (11.0) (20.0) 6.0 (5.0) (1.0)
Other Non-Operating Inc. (Exp.) - - - - - -
EBT Excl. Unusual Items 1,924.0 1,379.0 1,359.0 1,286.0 1,301.0 1,318.0
Restructuring Charges 0 (3.0) 1.0 (24.0) (55.0) (19.0)
Impairment of Goodwill (222.0) - - - - (12.0)
Asset Writedown (114.0) (15.0) (17.0) - (2.0) (1.0)
Other Unusual Items (37.0) 13.0 (90.0) 83.0 1,030.0 553.0
EBT Incl. Unusual Items 1,551.0 1,374.0 1,253.0 1,345.0 2,274.0 1,839.0
Income Tax Expense 487.0 368.0 327.0 327.0 934.0 297.0
Earnings from Cont. Ops. 1,064.0 1,006.0 926.0 1,018.0 1,340.0 1,542.0
Earnings of Discontinued Ops. - 45.0 357.0 625.0 - -
Extraord. Item & Account. Change - - - - - -
Net Income to Company 1,064.0 1,051.0 1,283.0 1,643.0 1,340.0 1,542.0
Minority Int. in Earnings 27.0 - - - - -
Net Income 1,091.0 1,051.0 1,283.0 1,643.0 1,340.0 1,542.0
Pref. Dividends and Other Adj. - - - - - -
NI to Common Incl Extra Items 1,091.0 1,051.0 1,283.0 1,643.0 1,340.0 1,542.0
NI to Common Excl. Extra Items 1,091.0 1,006.0 926.0 1,018.0 1,340.0 1,542.0
Per Share Items
Basic EPS $2.41 $2.37 $2.95 $4.17 $3.86 $4.79
Basic EPS Excl. Extra Items 2.41 2.27 2.13 2.58 3.86 4.79
Weighted Avg. Basic Shares Out. 452.0 444.0 435.0 394.0 347.0 322.0
Diluted EPS $2.36 $2.32 $2.9 $4.1 $3.77 $4.69
Diluted EPS Excl. Extra Items 2.36 2.22 2.09 2.54 3.77 4.69
Weighted Avg. Diluted Shares Out. 461.0 453.0 443.0 400.0 355.0 329.0
Normalized Basic EPS $2.72 $1.94 $1.95 $2.04 $2.34 $2.56
Normalized Diluted EPS 2.67 1.9 1.92 2.01 2.29 2.5
Dividends per Share $1.41 $1.56 $1.74 $1.73 $1.26 $1.5
Payout Ratio % 56.4% 63.7% 56.9% 45.3% 31.0% 30.0%
Supplemental Items
EBITDA 2,758.0 1,861.0 1,839.0 1,895.0 1,999.0 1,899.0
EBITA 2,065.0 1,546.0 1,533.0 1,616.0 1,779.0 1,799.0
EBIT 2,037.0 1,533.0 1,520.0 1,585.0 1,746.0 1,762.0
EBITDAR 3,810.0 2,141.0 2,093.0 2,129.0 2,213.0 2,050.0
As Reported Total Revenue* 13,084.0 6,587.0 6,418.0 6,356.0 5,878.0 5,688.0
Effective Tax Rate % 31.4% 26.8% 26.1% 24.3% 41.1% 16.2%
Current Domestic Taxes 181.0 241.0 295.0 139.0 10.0 127.0
Current Foreign Taxes 330.0 173.0 133.0 160.0 290.0 181.0
Total Current Taxes 511.0 414.0 428.0 299.0 300.0 308.0
Deferred Domestic Taxes 29.0 (33.0) (116.0) 25.0 615.0 (16.0)
Deferred Foreign Taxes (53.0) (13.0) 15.0 3.0 19.0 5.0
Total Deferred Taxes (24.0) (46.0) (101.0) 28.0 634.0 (11.0)
Normalized Net Income 1,229.5 861.9 849.4 803.8 813.1 823.8
Interest on Long Term Debt 152.0 NA NA 331.0 473.0 496.0
Non-Cash Pension Expense 45.0 16.0 39.0 1.0 7.0 15.0
Filing Date Feb-16-2016 Feb-22-2017 Feb-22-2018 Feb-21-2019 Feb-21-2019 Feb-21-2019
Restatement Type RC RD RS RS RC O
Calculation Type REP REP REP REP REP REP
Supplemental Operating Expense Items
Advertising Exp. 607.0 261.0 253.0 260.0 245.0 131.0
General and Administrative Exp. 1,397.0 1,028.0 1,058.0 1,099.0 947.0 890.0
R&D Exp. 31.0 25.0 25.0 NA NA NA
Net Rental Exp. 1,052.0 280.0 254.0 234.0 214.0 151.0
Imputed Oper. Lease Interest Exp. 366.1 101.2 85.5 94.9 85.6 60.3
Imputed Oper. Lease Depreciation 685.9 178.8 168.5 139.1 128.4 90.7
Stock-Based Comp., G&A Exp. - - - 30.0 18.0 (3.0)
Stock-Based Comp., Unallocated 49.0 45.0 46.0 50.0 47.0 53.0
Stock-Based Comp., Total 49.0 45.0 46.0 80.0 65.0 50.0
* Occasionally, certain items classified as Revenue by the company will be re-classified as other income if it is deemed to be non-recurring and unrelated to the core business of the firm. This field shows Total Revenue exactly as reported by the firm on its consolidated statement of income.
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

YUM! Brands, Inc. (NYSE:YUM) > Financials > Balance Sheet
In Millions of the reported currency, except per share items. Template: Standard   Restatement: Latest Filings
Period Type: Annual   Order: Latest on Right
Currency: Reported Currency   Conversion: Historical
Units: S&P Capital IQ (Default)   Decimals: Capital IQ (Default)
Source: Capital IQ & Proprietary Data  
Balance Sheet
Balance Sheet as of: Dec-28-2013 Restated Dec-27-2014 Restated Dec-31-2015 Restated Dec-31-2016 Reclassified Dec-31-2017 Dec-31-2018
Currency USD USD USD USD USD USD
ASSETS
Cash And Equivalents 573.0 578.0 313.0 725.0 1,522.0 292.0
Trading Asset Securities - - - - 9.0 21.0
Total Cash & ST Investments 573.0 578.0 313.0 725.0 1,531.0 313.0
Accounts Receivable 319.0 325.0 324.0 370.0 400.0 561.0
Other Receivables 89.0 55.0 39.0 44.0 175.0 36.0
Total Receivables 408.0 380.0 363.0 414.0 575.0 597.0
Inventory 294.0 301.0 40.0 37.0 - -
Prepaid Exp. 181.0 185.0 84.0 135.0 98.0 117.0
Deferred Tax Assets, Curr. 123.0 - - - - -
Restricted Cash - - - - 60.0 151.0
Other Current Assets 112.0 109.0 887.0 194.0 243.0 29.0
Total Current Assets 1,691.0 1,553.0 1,687.0 1,505.0 2,507.0 1,207.0
Gross Property, Plant & Equipment 7,850.0 8,082.0 4,395.0 4,108.0 2,936.0 2,353.0
Accumulated Depreciation (3,391.0) (3,584.0) (2,048.0) (1,995.0) (1,342.0) (1,116.0)
Net Property, Plant & Equipment 4,459.0 4,498.0 2,347.0 2,113.0 1,594.0 1,237.0
Long-term Investments 71.0 73.0 21.0 71.0 40.0 243.0
Goodwill 889.0 700.0 571.0 536.0 512.0 525.0
Other Intangibles 638.0 318.0 164.0 151.0 214.0 242.0
Deferred Tax Assets, LT 399.0 653.0 591.0 772.0 139.0 195.0
Other Long-Term Assets 548.0 539.0 2,680.0 305.0 305.0 481.0
Total Assets 8,695.0 8,334.0 8,061.0 5,453.0 5,311.0 4,130.0
LIABILITIES
Accounts Payable 692.0 694.0 181.0 142.0 119.0 202.0
Accrued Exp. 631.0 614.0 458.0 575.0 552.0 362.0
Short-term Borrowings - - 609.0 8.0 - -
Curr. Port. of LT Debt 71.0 267.0 312.0 58.0 375.0 321.0
Curr. Income Taxes Payable 169.0 77.0 55.0 36.0 123.0 69.0
Other Current Liabilities 702.0 757.0 1,472.0 487.0 343.0 347.0
Total Current Liabilities 2,265.0 2,409.0 3,087.0 1,306.0 1,512.0 1,301.0
Long-Term Debt 2,918.0 3,077.0 3,007.0 9,059.0 9,429.0 9,751.0
Def. Tax Liability, Non-Curr. 138.0 31.0 8.0 7.0 6.0 7.0
Other Non-Current Liabilities 1,106.0 1,204.0 984.0 696.0 698.0 997.0
Total Liabilities 6,427.0 6,721.0 7,086.0 11,068.0 11,645.0 12,056.0
Common Stock - - - - - -
Additional Paid In Capital - - - - - -
Retained Earnings 2,102.0 1,737.0 1,150.0 (5,157.0) (6,063.0) (7,592.0)
Treasury Stock - - - - - -
Comprehensive Inc. and Other 64.0 (190.0) (239.0) (458.0) (271.0) (334.0)
Total Common Equity 2,166.0 1,547.0 911.0 (5,615.0) (6,334.0) (7,926.0)
Minority Interest 102.0 66.0 64.0 - - -
Total Equity 2,268.0 1,613.0 975.0 (5,615.0) (6,334.0) (7,926.0)
Total Liabilities And Equity 8,695.0 8,334.0 8,061.0 5,453.0 5,311.0 4,130.0
Supplemental Items
Total Shares Out. on Filing Date 442.9 433.1 408.7 353.8 332.0 306.4
Total Shares Out. on Balance Sheet Date 443.0 434.0 420.0 355.0 332.0 306.0
Book Value/Share $4.89 $3.56 $2.17 ($15.82) ($19.08) ($25.9)
Tangible Book Value 639.0 529.0 176.0 (6,302.0) (7,060.0) (8,693.0)
Tangible Book Value/Share $1.44 $1.22 $0.42 ($17.75) ($21.27) ($28.41)
Total Debt 2,989.0 3,344.0 3,928.0 9,125.0 9,804.0 10,072.0
Net Debt 2,416.0 2,766.0 3,615.0 8,400.0 8,273.0 9,759.0
Debt Equiv. of Unfunded Proj. Benefit Obligation 92.0 310.0 130.0 156.0 143.0 118.0
Debt Equivalent Oper. Leases 8,416.0 2,240.0 2,032.0 1,872.0 1,712.0 1,208.0
Total Minority Interest 102.0 66.0 64.0 NA NA NA
Equity Method Investments 53.0 52.0 NA NA NA NA
Inventory Method FIFO FIFO FIFO FIFO FIFO NA
Land 508.0 506.0 480.0 438.0 452.0 422.0
Buildings 4,393.0 4,549.0 2,232.0 2,149.0 1,661.0 1,349.0
Machinery 2,750.0 2,817.0 1,515.0 1,380.0 700.0 523.0
Full Time Employees 75,460 69,810 505,000 90,000 60,000 34,000
Part-Time Employees 463,540 467,190 NA NA NA NA
Assets under Cap. Lease, Gross 199.0 210.0 168.0 141.0 123.0 59.0
Accum. Allowance for Doubtful Accts 11.0 12.0 14.0 14.0 19.0 31.0
Filing Date Feb-16-2016 Feb-22-2017 Feb-22-2018 Feb-21-2019 Feb-21-2019 Feb-21-2019
Restatement Type NC RS RS RS RD O
Calculation Type RUP RUP RUP RUP REP REP
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

YUM! Brands, Inc. (NYSE:YUM) > Financials > Cash Flow
In Millions of the reported currency, except per share items. Template: Standard   Restatement: Latest Filings
Period Type: Annual   Order: Latest on Right
Currency: Reported Currency   Conversion: Historical
Units: S&P Capital IQ (Default)   Decimals: Capital IQ (Default)
Source: Capital IQ & Proprietary Data  
Cash Flow
For the Fiscal Period Ending 12 months Dec-28-2013 Restated 12 months Dec-27-2014 Restated 12 months Dec-31-2015 Restated 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD USD USD USD
Net Income 1,091.0 1,051.0 1,283.0 1,643.0 1,340.0 1,542.0
Depreciation & Amort. 693.0 315.0 306.0 279.0 220.0 100.0
Amort. of Goodwill and Intangibles 28.0 13.0 13.0 31.0 33.0 37.0
Depreciation & Amort., Total 721.0 328.0 319.0 310.0 253.0 137.0
Asset Writedown & Restructuring Costs 331.0 18.0 16.0 - - 12.0
(Income) Loss on Equity Invest. 17.0 - - - - -
Stock-Based Compensation 49.0 45.0 46.0 80.0 65.0 50.0
Tax Benefit from Stock Options (44.0) (40.0) - - - -
Net Cash From Discontinued Ops. - (45.0) (357.0) (625.0) - -
Other Operating Activities 77.0 (7.0) (101.0) (117.0) (371.0) (496.0)
Change in Acc. Receivable (12.0) (21.0) (36.0) (23.0) (19.0) (66.0)
Change In Inventories 18.0 (2.0) (4.0) - - -
Change in Acc. Payable (102.0) 23.0 55.0 (40.0) (173.0) (68.0)
Change in Inc. Taxes 14.0 (135.0) 53.0 20.0 (55.0) 65.0
Change in Other Net Operating Assets (21.0) 2.0 (14.0) - (10.0) -
Cash from Ops. 2,139.0 1,217.0 1,260.0 1,248.0 1,030.0 1,176.0
Capital Expenditure (1,049.0) (508.0) (442.0) (427.0) (318.0) (234.0)
Cash Acquisitions (99.0) - - - - (66.0)
Divestitures 260.0 83.0 213.0 370.0 1,773.0 825.0
Invest. in Marketable & Equity Securt. - - - - - (200.0)
Net (Inc.) Dec. in Loans Originated/Sold - - - - - -
Other Investing Activities 2.0 1.0 30.0 53.0 17.0 (12.0)
Cash from Investing (886.0) (424.0) (199.0) (4.0) 1,472.0 313.0
Short Term Debt Issued 56.0 416.0 912.0 1,400.0 - 59.0
Long-Term Debt Issued 599.0 - - 6,900.0 1,088.0 1,556.0
Total Debt Issued 655.0 416.0 912.0 8,300.0 1,088.0 1,615.0
Short Term Debt Repaid (56.0) - - (2,685.0) - (59.0)
Long-Term Debt Repaid (666.0) (65.0) (267.0) (323.0) (385.0) (1,264.0)
Total Debt Repaid (722.0) (65.0) (267.0) (3,008.0) (385.0) (1,323.0)
Issuance of Common Stock 37.0 - - - - -
Repurchase of Common Stock (770.0) (820.0) (1,200.0) (5,403.0) (1,960.0) (2,390.0)
Common Dividends Paid (615.0) (669.0) (730.0) (744.0) (416.0) (462.0)
Total Dividends Paid (615.0) (669.0) (730.0) (744.0) (416.0) (462.0)
Special Dividend Paid - - - - - -
Other Financing Activities (36.0) 399.0 196.0 111.0 (122.0) (60.0)
Cash from Financing (1,451.0) (739.0) (1,089.0) (744.0) (1,795.0) (2,620.0)
Foreign Exchange Rate Adj. (5.0) 12.0 - (34.0) 61.0 (63.0)
Net Change in Cash (203.0) 66.0 (28.0) 466.0 768.0 (1,194.0)
Supplemental Items
Cash Interest Paid 160.0 141.0 141.0 297.0 442.0 455.0
Cash Taxes Paid 489.0 495.0 392.0 314.0 346.0 279.0
Levered Free Cash Flow 869.5 824.8 402.4 414.8 496.6 669.3
Unlevered Free Cash Flow 950.1 914.1 498.0 621.6 792.3 979.3
Change in Net Working Capital 44.0 (91.0) 375.0 332.0 299.0 75.0
Net Debt Issued (67.0) 351.0 645.0 5,292.0 703.0 292.0
Net Cash From Discontinued Ops. - Financing - 372 235 289 - -
Filing Date Feb-16-2016 Feb-22-2017 Feb-22-2018 Feb-21-2019 Feb-21-2019 Feb-21-2019
Restatement Type NC RS RS RS NC O
Calculation Type REP REP REP REP REP REP

Multiples

YUM! Brands, Inc. (NYSE:YUM) > Financials > Multiples
View: Data   Frequency: Quarterly
Order: Latest on Right   Decimals: Capital IQ (Default)
Dilution: Basic  
Multiples Detail In Millions of the reported currency, except per share items.
For Quarter Ending Jun-29-2018 Sep-28-2018 Dec-31-2018 Mar-29-2019 Apr-12-2019
TEV/LTM Total Revenue Average 6.09x 6.18x 6.56x 6.83x 7.11x
High 6.28x 6.64x 6.78x 7.15x 7.17x
Low 5.77x 5.76x 6.34x 6.54x 7.07x
Close 5.79x 6.64x 6.69x 7.09x 7.17x
TEV/NTM Total Revenues Average 7.02x 6.43x 6.83x 7.10x 7.40x
High 8.27x 6.91x 7.05x 7.43x 7.46x
Low 6.10x 6.09x 6.63x 6.80x 7.36x
Close 6.12x 6.91x 6.96x 7.37x 7.46x
TEV/LTM EBITDA Average 17.90x 18.25x 19.85x 20.70x 21.31x
High 18.45x 19.69x 20.86x 21.42x 21.47x
Low 16.98x 16.96x 18.80x 20.13x 21.16x
Close 17.04x 19.69x 20.60x 21.24x 21.47x
TEV/NTM EBITDA Average 17.91x 17.96x 18.74x 18.88x 19.33x
High 18.67x 19.10x 19.30x 19.42x 19.57x
Low 16.99x 17.11x 18.21x 18.25x 19.18x
Close 17.19x 19.10x 18.97x 19.26x 19.57x
TEV/LTM EBIT Average 20.26x 20.32x 21.82x 22.46x 22.96x
High 21.13x 21.81x 22.84x 23.09x 23.14x
Low 19.10x 19.08x 20.67x 21.73x 22.81x
Close 19.16x 21.81x 22.56x 22.90x 23.14x
TEV/NTM EBIT Average 19.78x 19.54x 20.15x 20.21x 20.65x
High 20.69x 20.78x 20.90x 20.83x 20.83x
Low 18.62x 18.59x 19.50x 19.52x 20.51x
Close 18.68x 20.78x 20.31x 20.58x 20.83x
P/LTM EPS Average 20.46x 18.34x 18.50x 19.84x 21.39x
High 23.10x 19.33x 19.43x 21.51x 21.62x
Low 18.25x 17.15x 17.73x 18.18x 21.21x
Close 18.32x 19.33x 18.75x 21.28x 21.62x
P/NTM EPS Average 25.06x 24.23x 25.07x 25.38x 26.20x
High 26.59x 26.07x 26.22x 26.44x 26.46x
Low 23.16x 23.09x 24.02x 24.35x 25.99x
Close 23.26x 26.07x 25.42x 26.08x 26.46x
P/LTM Normalized EPS Average 34.55x 33.08x 33.23x 36.40x 40.06x
High 38.03x 35.87x 36.04x 40.30x 40.50x
Low 31.29x 31.01x 30.93x 32.09x 39.73x
Close 31.42x 35.87x 33.09x 39.86x 40.50x
P/BV Average NM NM NM NM NM
High NM NM NM NM NM
Low NM NM NM NM NM
Close NM NM NM NM NM
P/Tangible BV Average NM NM NM NM NM
High NM NM NM NM NM
Low NM NM NM NM NM
Close NM NM NM NM NM
P/NTM CFPS Average 20.53x 20.46x 21.01x 22.71x 23.96x
High 23.55x 21.70x 21.89x 24.66x 24.58x
Low 15.09x 19.41x 20.02x 20.70x 22.61x
Close 18.85x 21.70x 21.53x 24.40x 22.92x
TEV/LTM Unlevered FCF Average 43.40x 44.36x 41.92x 40.10x 41.32x
High 47.09x 48.57x 48.75x 41.54x 41.64x
Low 39.92x 39.86x 36.92x 38.75x 41.04x
Close 40.04x 48.57x 39.65x 41.20x 41.64x
Market Cap/LTM Levered FCF Average 51.79x 52.53x 47.47x 43.75x 45.88x
High 58.66x 59.09x 59.38x 46.20x 46.35x
Low 45.82x 45.73x 39.12x 41.90x 45.47x
Close 46.01x 59.09x 43.21x 45.70x 46.35x
Average multiples are calculated using positive close values on each trading day within the frequency periods selected. Negative values are excluded from the calculation. When the Multiples are not meaningful, due to negative values, then they will not be displayed in the chart.
When a mismatch exists between the currency of the equity listing and the reported financial results such results are translated into the currency of the listing at the exchange rate applicable on the financial period end date.
Historical Equity Pricing Data supplied by Interactive Data Pricing and Reference Data LLC

Historical Capitalization

YUM! Brands, Inc. (NYSE:YUM) > Financials > Historical Capitalization
In Millions of the trading currency, except per share items. Frequency: Quarterly   Order: Latest on Right
Currency: Trading Currency   Conversion: Historical
Units: S&P Capital IQ (Default)   Decimals: Capital IQ (Default)
Dilution: Basic  
Historical Capitalization
Balance Sheet as of: Sep-30-2017 Dec-31-2017 Mar-31-2018 Jun-30-2018 Sep-30-2018 Dec-31-2018
Pricing as of* Nov-08-2017 Feb-22-2018 May-09-2018 Aug-07-2018 Nov-07-2018 Feb-21-2019
Currency USD USD USD USD USD USD
Capitalization Detail
Share Price $81.13 $78.32 $84.45 $81.33 $89.38 $94.88
Shares Out. 337.0 332.5 323.2 317.4 312.3 306.4
Market Capitalization 27,340.3 26,042.4 27,295.7 25,810.5 27,913.5 29,072.6
- Cash & Short Term Investments 984.0 1,522.0 996.0 331.0 219.0 313.0
+ Total Debt 9,851.0 9,804.0 9,480.0 9,674.0 9,702.0 10,072.0
+ Pref. Equity - - - - - -
+ Total Minority Interest - - - - - -
= Total Enterprise Value (TEV) 36,207.3 34,324.4 35,779.7 35,153.5 37,396.5 38,831.6
Book Value of Common Equity (6,121.0) (6,334.0) (6,754.0) (7,247.0) (7,458.0) (7,926.0)
+ Pref. Equity - - - - - -
+ Total Minority Interest - - - - - -
+ Total Debt 9,851.0 9,804.0 9,480.0 9,674.0 9,702.0 10,072.0
= Total Capital 3,730.0 3,470.0 2,726.0 2,427.0 2,244.0 2,146.0
* Pricing as of the filing date of the balance sheet period end date. For TEV calculation purposes on this page Capital IQ only uses balance sheet components from the original filing that is publicly available as of a given pricing date and does not use restated balance sheet data from a later filing. In the cases where a company did not disclose balance sheet values for a particular period, TEV is calculated using balance sheet components from the last reported balance sheet as of this date. The table above is organized along period end dates.
** 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.
Historical Equity Pricing Data supplied by Interactive Data Pricing and Reference Data LLC

Capital Structure Summary

YUM! Brands, Inc. (NYSE:YUM) > Financials > Capital Structure Summary
In Millions of the reported currency, except ratios and % of Total values. Restatement: Latest Filings   Period Type: Annual
Currency: Reported Currency   Conversion: Historical
Units: S&P Capital IQ (Default)   Decimals: Capital IQ (Default)
Order: Latest on Right  
Capital Structure Data
For the Fiscal Period Ending 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD
Units Millions % of Total Millions % of Total Millions % of Total
Total Debt 9,125.0 260.0% 9,804.0 282.5% 10,072.0 469.3%
Total Common Equity (5,615.0) (160.0%) (6,334.0) (182.5%) (7,926.0) (369.3%)
Total Capital 3,510.0 100.0% 3,470.0 100.0% 2,146.0 100.0%
Debt Summary Data
For the Fiscal Period Ending 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD
Units Millions % of Total Millions % of Total Millions % of Total
Total Revolving Credit - - - - 0 0.0%
Total Term Loans 2,490.0 27.3% 2,475.0 25.2% 2,443.0 24.3%
Total Senior Bonds and Notes 6,600.0 72.3% 7,350.0 75.0% 7,653.0 76.0%
Total Capital Leases 121.0 1.3% 105.0 1.1% 71.0 0.7%
General/Other Borrowings 8.0 0.1% - - - -
Total Principal Due 9,219.0 101.0% 9,930.0 101.3% 10,167.0 100.9%
Total Adjustments (94.0) (1.0%) (126.0) (1.3%) (95.0) (0.9%)
Total Debt Outstanding 9,125.0 100.0% 9,804.0 100.0% 10,072.0 100.0%
Available Credit
Undrawn Revolving Credit - - - - 993.0 -
Total Undrawn Credit - - - - 993.0 -
Additional Totals
Total Cash & ST Investments 725.0 - 1,531.0 - 313.0 -
Net Debt 8,400.0 - 8,273.0 - 9,759.0 -
Total Senior Debt 9,219.0 101.0% 9,930.0 101.3% 10,167.0 100.9%
Total Short-Term Borrowings 8.0 0.1% - - - -
Curr. Port. of LT Debt/Cap. Leases 58.0 0.6% 375.0 3.8% 321.0 3.2%
Long-Term Debt (Incl. Cap. Leases) 9,059.0 99.3% 9,429.0 96.2% 9,751.0 96.8%
Total Bank Debt 2,490.0 27.3% 2,475.0 25.2% 2,443.0 24.3%
Total Secured Debt 4,911.0 53.8% 4,880.0 49.8% 5,442.0 54.0%
Senior Secured Loans 2,490.0 27.3% 2,475.0 25.2% 2,443.0 24.3%
Senior Secured Bonds and Notes 2,300.0 25.2% 2,300.0 23.5% 2,928.0 29.1%
Total Senior Secured Debt 4,911.0 53.8% 4,880.0 49.8% 5,442.0 54.0%
Total Unsecured Debt 4,308.0 47.2% 5,050.0 51.5% 4,725.0 46.9%
Senior Unsecured Bonds and Notes 4,300.0 47.1% 5,050.0 51.5% 4,725.0 46.9%
Securitized Debt 2,300.0 25.2% 2,300.0 23.5% 2,928.0 29.1%
Fixed Rate Debt 6,600.0 72.3% 7,350.0 75.0% 7,175.0 71.2%
Variable Rate Debt 2,490.0 27.3% 2,475.0 25.2% 2,443.0 24.3%
Credit Ratios
Net Debt/EBITDA 4.4x - 4.1x - 5.1x -
Total Debt/EBITDA 4.8x - 4.9x - 5.3x -
Total Senior Debt/EBITDA 4.9x - 5.0x - 5.4x -
Total Senior Secured/EBITDA 2.6x - 2.4x - 2.9x -
Net Debt/(EBITDA-CAPEX) 5.7x - 4.9x - 5.9x -
Total Debt/(EBITDA-CAPEX) 6.2x - 5.8x - 6.0x -
Total Senior Debt/(EBITDA-CAPEX) 6.3x - 5.9x - 6.1x -
Total Senior Secured/(EBITDA-CAPEX) 3.3x - 2.9x - 3.3x -
Fixed Payment Schedule
LT Debt (Incl. Cap. Leases) Due +1 74.1 0.8% 386.3 3.9% 327.8 3.3%
LT Debt (Incl. Cap. Leases) Due +2 399.9 4.4% 324.9 3.3% 432.8 4.3%
LT Debt (Incl. Cap. Leases) Due +3 330.9 3.6% 1,187.5 12.1% 456.9 4.5%
LT Debt (Incl. Cap. Leases) Due +4 1,213.4 13.3% 445.1 4.5% 425.5 4.2%
LT Debt (Incl. Cap. Leases) Due +5 762.1 8.4% 414.4 4.2% 1,616.2 16.0%
LT Debt (Incl. Cap. Leases) Due, Next 5 Yrs 2,780.4 30.5% 2,758.2 28.1% 3,259.4 32.4%
LT Debt (Incl. Cap. Leases) Due, After 5 Yrs 6,346.6 69.6% 7,045.8 71.9% 6,812.6 67.6%
Cap. Lease Payment Due +1 10.7 - 10.0 - 6.9 -
Cap. Lease Payment Due +2 10.7 - 10.0 - 6.9 -
Cap. Lease Payment Due +3 10.0 - 9.3 - 6.2 -
Cap. Lease Payment Due +4 10.0 - 8.5 - 5.5 -
Cap. Lease Payment Due +5 9.4 - 8.5 - 5.5 -
Cap. Lease Payment Due, Next 5 Yrs 50.8 - 46.3 - 31.0 -
Cap. Lease Payment Due, After 5 Yrs 70.2 - 58.7 - 40.0 -
Cap. Lease Payment Due (incl. Interest) +1 - - - - 10.0 -
Operating Lease Commitment Due +1 171.0 - 124.0 - 103.0 -
Operating Lease Commitment Due +2 148.0 - 111.0 - 89.0 -
Operating Lease Commitment Due +3 128.0 - 87.0 - 78.0 -
Operating Lease Commitment Due +4 101.0 - 75.0 - 71.0 -
Operating Lease Commitment Due +5 85.0 - 67.0 - 61.0 -
Operating Lease Commitment Due, Next 5 Yrs 633.0 - 464.0 - 402.0 -
Operating Lease Commitment Due, After 5 Yrs 571.0 - 435.0 - 384.0 -
Contractual Obligations Due +1 393.0 - 316.0 - 212.0 -
Contractual Obligations Due + 2 76.5 - 94.5 - 93.0 -
Contractual Obligations Due + 3 76.5 - 94.5 - 93.0 -
Contractual Obligations Due + 4 28.0 - 32.0 - 22.5 -
Contractual Obligations Due + 5 28.0 - 32.0 - 22.5 -
Contractual Obligations Due, Next 5 Yrs 602.0 - 569.0 - 443.0 -
Contractual Obligations Due, After 5 Yrs 64.0 - 92.0 - 78.0 -
Total Contractual Obligations 666.0 - 661.0 - 521.0 -
Interest Rate Data
Filing Date Feb-21-2019 - Feb-21-2019 - Feb-21-2019 -

Capital Structure Details

YUM! Brands, Inc. (NYSE:YUM) > Financials > Capital Structure Details
Principal Due in Millions of the reported currency. Period Type: Annual   Source: A 2018 filed Feb-21-2019
Currency: Reported Currency   Conversion: Historical
Units: S&P Capital IQ (Default)   Decimals: Capital IQ (Default)
FY 2018 (Dec-31-2018) Capital Structure As Reported Details
Description Type Principal Due (USD) Coupon/Base Rate Floating Rate Maturity Seniority Secured Convertible Repayment Currency
4.318% Fixed Rate Senior Secured Notes Bonds and Notes 825.0 4.318% NA Nov-28-2023 Senior Yes No USD
4.75% Senior Notes Due June 1, 2027 Bonds and Notes 750.0 4.750% NA Jun-01-2027 Senior No No USD
4.940% Fixed Rate Senior Secured Notes Bonds and Notes 625.0 4.940% NA Nov-28-2028 Senior Yes No USD
4.970% Fixed Rate Senior Secured Notes Bonds and Notes 1,000.0 4.970% NA May-11-2026 Senior Yes No USD
5.00% Senior Unsecured Notes Due 2024 Bonds and Notes 1,050.0 5.000% NA 2024 Senior No No USD
5.25% Senior Unsecured Notes Due 2026 Bonds and Notes 1,050.0 5.250% NA 2026 Senior No No USD
Capital Lease Obligations Capital Lease 71.0 NA NA - Senior Yes No USD
Revolving Credit Facility Revolving Credit - NA Benchmark Jun-07-2022 Senior Yes No USD
Securitization Notes Bonds and Notes 478.0 NA NA - Senior Yes No USD
Term Loan A Facility Term Loans 488.0 NA Benchmark Jun-07-2022 Senior Yes No USD
Term Loan B Facility Term Loans 1,955.0 NA Benchmark + 2.000% Apr-03-2025 Senior Yes No USD
YUM Senior Unsecured Notes Bonds and Notes 325.0 6.880% NA Nov-15-2037 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 250.0 5.300% NA Sep-15-2019 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 350.0 3.880% NA Nov-01-2020 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 350.0 3.750% NA Nov-01-2021 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 325.0 3.880% NA Nov-01-2023 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 275.0 5.350% NA Nov-01-2043 Senior No No USD
FY 2017 (Dec-31-2017) Capital Structure As Reported Details
Description Type Principal Due (USD) Coupon/Base Rate Floating Rate Maturity Seniority Secured Convertible Repayment Currency
3.832% Fixed Rate Senior Secured Notes Bonds and Notes 800.0 3.832% NA - Senior Yes No USD
4.377% Fixed Rate Senior Secured Notes Bonds and Notes 500.0 4.377% NA May-11-2023 Senior Yes No USD
4.75% Senior Notes Due June 1, 2027 Bonds and Notes 750.0 4.750% NA Jun-01-2027 Senior No No USD
4.970% Fixed Rate Senior Secured Notes Bonds and Notes 1,000.0 4.970% NA May-11-2026 Senior Yes No USD
5.00% Senior Unsecured Notes Due 2024 Bonds and Notes 1,050.0 5.000% NA 2024 Senior No No USD
5.25% Senior Unsecured Notes Due 2026 Bonds and Notes 1,050.0 5.250% NA 2026 Senior No No USD
Capital Lease Obligations Capital Lease 105.0 NA NA - Senior Yes No USD
Term Loan A Facility Term Loans 500.0 NA Benchmark Jun-07-2022 Senior Yes No USD
Term Loan B Facility Term Loans 1,975.0 NA Benchmark + 2.000% Apr-03-2025 Senior Yes No USD
YUM Senior Unsecured Notes Bonds and Notes 325.0 6.880% NA Nov-15-2037 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 250.0 5.300% NA Sep-15-2019 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 350.0 3.880% NA Nov-01-2020 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 350.0 3.750% NA Nov-01-2021 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 325.0 3.880% NA Nov-01-2023 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 275.0 5.350% NA Nov-01-2043 Senior No No USD
YUM Senior Unsecured Notes Bonds and Notes 325.0 6.250% NA Mar-15-2018 Senior No No USD

Ratios

YUM! Brands, Inc. (NYSE:YUM) > Financials > Ratios
Restatement: Latest Filings   Period Type: Annual
Order: Latest on Right   Decimals: Capital IQ (Default)
Source: Capital IQ & Proprietary Data  
Ratios
For the Fiscal Period Ending 12 months Dec-28-2013 12 months Dec-27-2014 12 months Dec-31-2015 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018
Profitability
Return on Assets % 14.4% 11.3% 11.6% 14.7% 20.3% 23.3%
Return on Capital % 24.2% 18.8% 19.3% 23.5% 31.3% 39.2%
Return on Equity % 46.5% 51.8% 71.6% NM NM NM
Return on Common Equity % 50.5% 54.2% 75.3% NM NM NM
Margin Analysis
Gross Margin % 26.2% 38.8% 40.2% 42.3% 46.2% 46.9%
SG&A Margin % 10.7% 15.6% 16.5% 17.4% 16.5% 15.9%
EBITDA Margin % 21.1% 28.3% 28.7% 29.8% 34.0% 33.4%
EBITA Margin % 15.8% 23.5% 23.9% 25.4% 30.3% 31.6%
EBIT Margin % 15.6% 23.3% 23.7% 24.9% 29.7% 31.0%
Earnings from Cont. Ops Margin % 8.1% 15.3% 14.4% 16.0% 22.8% 27.1%
Net Income Margin % 8.3% 16.0% 20.0% 25.8% 22.8% 27.1%
Net Income Avail. for Common Margin % 8.3% 15.3% 14.4% 16.0% 22.8% 27.1%
Normalized Net Income Margin % 9.4% 13.1% 13.2% 12.6% 13.8% 14.5%
Levered Free Cash Flow Margin % 6.6% 12.5% 6.3% 6.5% 8.4% 11.8%
Unlevered Free Cash Flow Margin % 7.3% 13.9% 7.8% 9.8% 13.5% 17.2%
Asset Turnover
Total Asset Turnover 1.5x 0.8x 0.8x 0.9x 1.1x 1.2x
Fixed Asset Turnover 3.0x 1.5x 1.9x 2.9x 3.2x 4.0x
Accounts Receivable Turnover 42.2x 20.5x 19.8x 18.3x 15.3x 11.8x
Inventory Turnover 31.8x 13.5x 22.5x 95.2x NA NA
Short Term Liquidity
Current Ratio 0.7x 0.6x 0.5x 1.2x 1.7x 0.9x
Quick Ratio 0.4x 0.4x 0.2x 0.9x 1.4x 0.7x
Cash from Ops. to Curr. Liab. 0.9x 0.5x 0.4x 1.0x 0.7x 0.9x
Avg. Days Sales Out. 8.6 17.8 18.7 20.0 23.9 30.8
Avg. Days Inventory Out. 11.4 26.9 16.4 3.8 NA NA
Avg. Days Payable Out. 26.0 62.5 45.2 16.1 NA 19.4
Avg. Cash Conversion Cycle (5.9) (17.8) (10.1) 7.7 NA NA
Long Term Solvency
Total Debt/Equity 131.8% 207.3% 402.9% NM NM NM
Total Debt/Capital 56.9% 67.5% 80.1% 260.0% 282.5% 469.3%
LT Debt/Equity 128.7% 190.8% 308.4% NM NM NM
LT Debt/Capital 55.5% 62.1% 61.3% 258.1% 271.7% 454.4%
Total Liabilities/Total Assets 73.9% 80.6% 87.9% 203.0% 219.3% 291.9%
EBIT / Interest Exp. 15.8x 10.7x 9.9x 4.8x 3.7x 3.6x
EBITDA / Interest Exp. 21.4x 13.0x 12.0x 5.7x 4.2x 3.8x
(EBITDA-CAPEX) / Interest Exp. 13.2x 9.5x 9.1x 4.4x 3.6x 3.4x
Total Debt/EBITDA 1.1x 1.8x 2.1x 4.8x 4.9x 5.3x
Net Debt/EBITDA 0.9x 1.5x 2.0x 4.4x 4.1x 5.1x
Total Debt/(EBITDA-CAPEX) 1.7x 2.5x 2.8x 6.2x 5.8x 6.0x
Net Debt/(EBITDA-CAPEX) 1.4x 2.0x 2.6x 5.7x 4.9x 5.9x
Altman Z Score 5.46 4.49 4.35 2.54 2.12 1.54
Growth Over Prior Year
Total Revenue (4.0%) (49.7%) (2.6%) (1.0%) (7.5%) (3.2%)
Gross Profit (6.1%) (25.3%) 0.9% 4.2% 1.0% (1.9%)
EBITDA (5.0%) (32.5%) (1.2%) 3.0% 5.5% (5.0%)
EBITA (8.8%) (25.1%) (0.8%) 5.4% 10.1% 1.1%
EBIT (8.9%) (24.7%) (0.8%) 4.3% 10.2% 0.9%
Earnings from Cont. Ops. (33.8%) (5.5%) (8.0%) 9.9% 31.6% 15.1%
Net Income (31.7%) (3.7%) 22.1% 28.1% (18.4%) 15.1%
Normalized Net Income (6.8%) (29.9%) (1.5%) (5.4%) 1.2% 1.3%
Diluted EPS before Extra (30.2%) (5.9%) (5.9%) 21.5% 48.4% 24.4%
Accounts Receivable 6.0% 1.9% (0.3%) 14.2% 8.1% 40.3%
Inventory (6.1%) 2.4% (86.7%) (7.5%) NA NA
Net PP&E 4.9% 0.9% (47.8%) (10.0%) (24.6%) (22.4%)
Total Assets (3.5%) (4.2%) (3.3%) (32.4%) (2.6%) (22.2%)
Tangible Book Value 48.6% (17.2%) (66.7%) NM NM NM
Common Equity 0.6% (28.6%) (41.1%) NM NM NM
Cash from Ops. (6.8%) (43.1%) 3.5% (1.0%) (17.5%) 14.2%
Capital Expenditures (4.5%) (51.6%) (13.0%) (3.4%) (25.5%) (26.4%)
Levered Free Cash Flow (15.1%) (5.1%) (51.2%) 3.1% 19.7% 34.8%
Unlevered Free Cash Flow (14.9%) (3.8%) (45.5%) 24.8% 27.4% 23.6%
Dividend per Share 13.7% 10.6% 11.5% (0.6%) (27.2%) 19.0%
Compound Annual Growth Rate Over Two Years
Total Revenue 1.8% (30.5%) (30.0%) (1.8%) (4.3%) (5.4%)
Gross Profit 1.2% (16.3%) (13.2%) 2.5% 2.6% (0.4%)
EBITDA 2.3% (19.9%) (18.3%) 0.9% 4.3% 0.1%
EBITA 0.9% (17.4%) (13.8%) 2.2% 7.7% 5.5%
EBIT 1.0% (17.2%) (13.6%) 1.7% 7.2% 5.4%
Earnings from Cont. Ops. (10.7%) (20.9%) (6.7%) 0.6% 20.3% 23.1%
Net Income (9.1%) (18.9%) 8.4% 25.0% 2.2% (3.1%)
Normalized Net Income 2.6% (19.2%) (16.9%) (3.4%) (2.2%) 1.2%
Diluted EPS before Extra (7.2%) (19.0%) (5.9%) 7.0% 34.3% 35.9%
Accounts Receivable 5.6% 3.9% 0.8% 6.7% 11.1% 23.1%
Inventory 3.8% (1.9%) (63.1%) (64.9%) NA NA
Net PP&E 5.0% 2.9% (27.4%) (31.5%) (17.6%) (23.5%)
Total Assets (0.8%) (3.8%) (3.7%) (19.1%) (18.8%) (13.0%)
Tangible Book Value (12.9%) 10.9% (47.5%) NM NM NM
Common Equity 9.0% (15.3%) (35.1%) NM NM NM
Cash from Ops. (0.7%) (27.2%) (23.2%) 1.3% (9.6%) (2.9%)
Capital Expenditures 5.6% (32.0%) (35.1%) (8.3%) (15.2%) (26.0%)
Levered Free Cash Flow (7.3%) (10.3%) (32.0%) (29.1%) 11.1% 27.0%
Unlevered Free Cash Flow (8.1%) (9.5%) (27.6%) (17.5%) 26.1% 25.5%
Dividend per Share 14.8% 12.2% 11.1% 5.3% (14.9%) (6.9%)
Compound Annual Growth Rate Over Three Years
Total Revenue 4.9% (19.5%) (22.2%) (21.4%) (3.7%) (3.9%)
Gross Profit 3.2% (8.5%) (10.9%) (7.7%) 2.0% 1.1%
EBITDA 4.3% (10.9%) (14.1%) (11.8%) 2.4% 1.1%
EBITA 3.3% (8.7%) (12.2%) (7.8%) 4.8% 5.5%
EBIT 3.4% (8.5%) (12.1%) (8.0%) 4.4% 5.0%
Earnings from Cont. Ops. (3.3%) (9.0%) (16.8%) (1.5%) 10.0% 18.5%
Net Income (2.0%) (7.3%) (7.0%) 14.6% 8.4% 6.3%
Normalized Net Income 5.3% (9.6%) (13.7%) (13.2%) (1.9%) (1.0%)
Diluted EPS before Extra (0.3%) (6.8%) (14.8%) 2.5% 19.3% 30.9%
Accounts Receivable 7.6% 4.4% 2.5% 5.1% 7.2% 20.1%
Inventory 15.9% 3.3% (49.6%) (49.9%) NA NA
Net PP&E 5.2% 3.6% (18.0%) (22.0%) (29.2%) (19.2%)
Total Assets 1.5% (1.9%) (3.7%) (14.4%) (13.9%) (20.0%)
Tangible Book Value 13.1% (14.4%) (25.8%) NM NM NM
Common Equity 11.2% (5.3%) (24.9%) NM NM NM
Cash from Ops. 2.8% (17.5%) (18.1%) (16.4%) (5.4%) (2.3%)
Capital Expenditures 9.6% (18.5%) (26.2%) (25.9%) (14.5%) (19.1%)
Levered Free Cash Flow (5.4%) (6.6%) (26.8%) (21.9%) (15.6%) 18.5%
Unlevered Free Cash Flow (6.2%) (6.7%) (23.6%) (13.2%) (4.7%) 25.3%
Dividend per Share 15.3% 13.4% 12.0% 7.1% (6.9%) (4.8%)
Compound Annual Growth Rate Over Five Years
Total Revenue 3.0% (9.5%) (10.8%) (12.8%) (15.5%) (15.3%)
Gross Profit 4.5% (1.7%) (3.7%) (4.2%) (5.7%) (4.9%)
EBITDA 6.5% (2.9%) (5.5%) (6.4%) (7.2%) (7.2%)
EBITA 7.0% (0.7%) (3.9%) (4.4%) (4.7%) (2.7%)
EBIT 7.0% (0.6%) (3.8%) (4.5%) (4.8%) (2.9%)
Earnings from Cont. Ops. 1.8% (1.5%) (4.7%) (5.3%) (3.6%) 7.7%
Net Income 2.5% (0.4%) 2.1% 4.5% (3.4%) 7.2%
Normalized Net Income 9.0% (0.4%) (4.2%) (7.2%) (9.2%) (7.7%)
Diluted EPS before Extra 3.8% 0.0% (2.6%) (1.5%) 2.2% 14.7%
Accounts Receivable 6.9% 6.3% 4.8% 5.3% 5.9% 12.0%
Inventory 15.5% 19.8% (26.7%) (32.9%) NA NA
Net PP&E 3.7% 2.9% (9.3%) (12.2%) (17.8%) (22.6%)
Total Assets 5.9% 3.1% (0.6%) (9.2%) (10.0%) (13.8%)
Tangible Book Value NM NM (16.8%) NM NM NM
Common Equity NM 8.6% (10.4%) NM NM NM
Cash from Ops. 7.1% (2.8%) (8.5%) (10.5%) (14.8%) (11.3%)
Capital Expenditures 2.3% (8.6%) (11.1%) (14.6%) (22.0%) (25.9%)
Levered Free Cash Flow 22.9% 11.9% (17.1%) (16.3%) (13.5%) (5.1%)
Unlevered Free Cash Flow 15.2% 8.7% (15.4%) (11.2%) (6.6%) 0.6%
Dividend per Share 14.4% 14.3% 13.6% 10.1% 0.3% 1.2%

Supplemental

YUM! Brands, Inc. (NYSE:YUM) > Financials > Supplemental
In Millions of the reported currency, except per share items. Restatement: Latest Filings   Period Type: Annual
Currency: Reported Currency   Conversion: Historical
Order: Latest on Right   Units: S&P Capital IQ (Default)
Decimals: Capital IQ (Default)   Source: Capital IQ & Proprietary Data
Supplemental
For the Fiscal Period Ending 12 months Dec-28-2013 12 months Dec-27-2014 12 months Dec-31-2015 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD USD USD USD
Options Outstanding
Options Out. at the Beginning of the Period - - - - - 18.3
Options Granted During the Period - - - - - 2.6
Options Exercised During the Period - - - - - 3.8
Options Cancelled During the Period - - - - - 0.8
Options Out. at the End of the Period - - - - - 16.2
W/Avg. Strike Price of Out. at the End of the Period - - - - - $51.84
W/Avg. Strike Price of Granted - - - - - $78.35
Options Outstanding - All Classes
Options Out. at the Beginning of the Period - - - - - 18.3
Options Granted During the Period - - - - - 2.6
Options Exercised During the Period - - - - - 3.8
Options Cancelled During the Period - - - - - 0.8
Options Out. at the End of the Period - - - - - 16.2
Stock Based Compensation
Restr. Stock Comp. Exp., Before Tax 6.0 5.0 3.0 38.0 26.0 6.0
Stock Based Comp. Exp., Before Tax 49.0 45.0 46.0 80.0 65.0 50.0
Stock Based Comp. Exp. Tax Effect (15.0) (14.0) (15.0) (26.0) (22.0) (9.0)
Stock Based Comp. Exp., After Tax 34.0 31.0 31.0 54.0 43.0 41.0
Loss Carry Forward Related Items
NOL C/F, Current Year - 62.0 5.0 20.0 9.0 2.0
NOL C/F, Current Year + 1 - 48.0 52.8 13.3 11.5 5.5
NOL C/F, Current Year + 2 - 48.0 52.8 13.3 11.5 5.5
NOL C/F, Current Year + 3 - 48.0 52.8 13.3 11.5 5.5
NOL C/F, Current Year + 4 - 48.0 52.8 13.3 11.5 5.5
NOL C/F, After Five Years - 96.0 98.0 93.0 85.0 46.0
NOL C/F, No Expiration - 324.0 305.0 321.0 376.0 346.0
Total NOL C/F - 674.0 619.0 487.0 516.0 416.0
Tax Benefit C/F, Current Year + 1 - - - - 16.8 12.3
Tax Benefit C/F, Current Year + 2 - - - - 16.8 12.3
Tax Benefit C/F, Current Year + 3 - - - - 16.8 12.3
Tax Benefit C/F, Current Year + 4 - - - - 16.8 12.3
Tax Benefit C/F, After Five Years - - 282.0 284.0 238.0 207.0
Total Tax Benefit C/F - - 282.0 284.0 305.0 256.0
Max. Year for Tax Benefit C/F - 2034 - - 2036 2037
Adoption of FIN 48 Related Items
Unrecognized Tax Benefits - Beginning of Period - - - - 91.0 100.0
Increase in Unrecog. Tax Benefits - Current Yr. - - - - 3.0 19.0
Increase in Unrecog. Tax Benefits - Prior Yrs. - - - - 8.0 -
Decrease in Unrecog. Tax Benefits - Prior Yrs. - - - - - (5.0)
Settlements with Tax Authorities - - - - (1.0) -
Lapse of Statute of Limitations - - - - (1.0) (1.0)
Unrecognized Tax Benefits - End of Period - - - - 100.0 113.0
Interest and Penalties Recog. on IS - Before Tax 18.0 11.0 5.0 (4.0) 5.0 (2.0)
Interest and Penalties Recog. on BS - Before Tax - - - - 14.0 12.0
Changes in Unrecog. Tax Benefit w/in 1 Year - Max - - - - - (22.0)
Fair Value Measurements
Level 1 Assets - Quoted Prices 18.0 21.0 21.0 24.0 29.0 241.0
Level 2 Assets - Observable Prices 18.0 34.0 21.0 63.0 54.0 55.0
Level 3 Assets - Unobservable Prices 314.0 509.0 - - - -
Fair Value of Assets 350.0 564.0 42.0 87.0 83.0 296.0
Level 2 Liabilities - Observable Prices - - 2,393.0 9,226.0 10,166.0 9,939.0
Fair Value of Liabilities - - 2,393.0 9,226.0 10,166.0 9,939.0
Filing Date Feb-16-2016 Feb-22-2017 Feb-22-2018 Feb-21-2019 Feb-21-2019 Feb-21-2019

Industry Specific

YUM! Brands, Inc. (NYSE:YUM) > Financials > Industry Specific
In Millions of the reported currency, except per share items. Restatement: Latest Filings   Period Type: Annual
Currency: Reported Currency   Conversion: Historical
Order: Latest on Right   Units: S&P Capital IQ (Default)
Decimals: Capital IQ (Default)   Source: Capital IQ & Proprietary Data
Industry Specific
For the Fiscal Period Ending 12 months Dec-28-2013 12 months Dec-27-2014 12 months Dec-31-2015 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD USD USD USD
Restaurant Properties
Restaurants at Beginning - - - - 43,675 45,084
Restaurants Opened - - - - 2,632 3,021
Restaurants Acquired - - - - 1,472 1,943
Restaurants Closed - - - - 1,225 1,264
Restaurants Sold - - - - 1,470 660
Total Restaurants 40,233 41,231 42,483 43,675 45,084 48,124
Owned/Operated Restaurants at Beginning - - - - 2,841 1,481
Owned/Operated Restaurants Opened - - - - 135 46
Owned/Operated Restaurants Closed - - - - 25 11
Owned/Operated Restaurants Sold - - - - 1,470 660
Total Owned/Operated Restaurants 8,097 3,247 3,163 2,841 1,481 856
Franchise Restaurants at Beginning - - - - 40,834 43,603
Franchise Restaurants Opened - - - - 2,497 2,975
Franchise Restaurants Acquired - - - - 1,472 1,943
Franchise Restaurants Closed - - - - 1,200 1,253
Total Franchise Restaurants 31,420 37,984 39,320 40,834 43,603 47,268
Total Affiliated and Other Restaurants 716 - - - - -
Restaurant Statistical Data
Total Same Restaurants Sales Growth - - - 1.0% 2.0% 2.0%
Filing Date Feb-16-2016 Feb-22-2017 Feb-22-2018 Feb-21-2019 Feb-21-2019 Feb-21-2019

Pension OPEB

YUM! Brands, Inc. (NYSE:YUM) > Financials > Pension/OPEB
In Millions of the reported currency, except per share items. Restatement: Latest Filings   Period Type: Annual
Currency: Reported Currency   Conversion: Historical
Order: Latest on Right   Units: S&P Capital IQ (Default)
Decimals: Capital IQ (Default)   Source: Capital IQ & Proprietary Data
Pension/OPEB
For the Fiscal Period Ending 12 months Dec-28-2013 12 months Dec-27-2014 12 months Dec-31-2015 12 months Dec-31-2016 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD USD USD USD
Pension Information - Total
Defined Benefit Net Periodic Cost
Def. Benefit Service Cost 21.0 17.0 18.0 17.0 10.0 8.0
Def. Benefit Plan Interest Cost 54.0 54.0 55.0 54.0 41.0 38.0
Def. Benefit Plan Return on Assets (59.0) (56.0) (62.0) (65.0) (45.0) (44.0)
Def. Benefit Plan Other Cost 50.0 18.0 46.0 12.0 11.0 21.0
Def. Benefit Plan Total Cost 66.0 33.0 57.0 18.0 17.0 23.0
Def. Contribution Plan Cost 12.0 12.0 13.0 14.0 13.0 12.0
Total Pension Expense 78.0 45.0 70.0 32.0 30.0 35.0
Defined Benefit Obligation
Beg. Def. Benefit Obligation 1,290.0 1,025.0 1,301.0 1,134.0 993.0 1,007.0
Def. Benefit Service Cost 21.0 17.0 18.0 17.0 10.0 8.0
Def. Benefit Interest Cost 54.0 54.0 55.0 54.0 41.0 38.0
Def. Benefit Actuarial Gain/Losses (164.0) 290.0 (196.0) 77.0 115.0 (109.0)
Def. Benefits Paid (21.0) (65.0) (50.0) (26.0) (76.0) (73.0)
Def. Benefit Settlement/Curtailment (154.0) (19.0) (18.0) (264.0) (75.0) -
Other Adj. To Def. Benefit Obligation (1.0) (1.0) 24.0 1.0 (1.0) 2.0
Proj. Benefit Obligation (Pension) 1,025.0 1,301.0 1,134.0 993.0 1,007.0 873.0
Accum. Benefit Obligation 983.0 1,254.0 1,088.0 960.0 976.0 849.0
Plan Assets
Beg. Plan Assets 945.0 933.0 991.0 1,004.0 837.0 864.0
Actual Return on Plan Assets 116.0 124.0 (10.0) 87.0 129.0 (49.0)
Employer Contributions 22.0 21.0 94.0 38.0 52.0 13.0
Benefits Paid (21.0) (65.0) (50.0) (26.0) (76.0) (73.0)
Plan Settlement/Curtailment (123.0) (17.0) (16.0) (260.0) (73.0) -
Other Plan Adjustments (6.0) (5.0) (5.0) (6.0) (5.0) -
Total Plan Assets 933.0 991.0 1,004.0 837.0 864.0 755.0
Breakdown of Plan Assets
Plan Assets - Equities (%) 58.6% 49.3% 50.9% 49.1% 49.8% 47.4%
Plan Assets - Fixed Income (%) 41.1% 50.4% 51.1% 53.2% 56.7% 58.0%
Other Plan Assets (%) 0.3% 0.3% (2.0%) (2.3%) (6.5%) (5.4%)
Breakdown of Plan Assets
Plan Assets - Equities 547.0 489.0 511.0 411.0 430.0 358.0
Plan Assets - Fixed Income 383.0 499.0 513.0 445.0 490.0 438.0
Other Plan Assets 3.0 3.0 (20.0) (19.0) (56.0) (41.0)
Estimated Future Benefits Paid
Est. Future Benefits Paid - 1st Yr 51.0 72.0 61.0 128.0 65.0 39.0
Est. Future Benefits Paid - 2nd Yr 47.0 53.0 50.0 45.0 37.0 40.0
Est. Future Benefits Paid - 3rd Yr 49.0 51.0 55.0 42.0 39.0 43.0
Est. Future Benefits Paid - 4th Yr 48.0 55.0 56.0 43.0 42.0 45.0
Est. Future Benefits Paid - 5th Yr 51.0 57.0 56.0 46.0 44.0 48.0
Est. Future Benefits Paid - Thereafter 289.0 299.0 331.0 259.0 257.0 269.0
Balance Sheet Reconciliation Items
Accrued Benefit Liability (102.0) (310.0) (130.0) (156.0) (143.0) (118.0)
Adj. for Liability Recognized on Balance Sheet
Net Asset/Liability Recognized on Balance Sheet (59.0) (253.0) (72.0) (112.0) (72.0) (32.0)
Other Compr. Income Components Recognized on the BS
Net Actuarial Loss/Gain 119.0 314.0 138.0 150.0 134.0 101.0
Prior Service Cost/Benefit 5.0 5.0 32.0 30.0 26.0 22.0
Net Amount Recognized 124.0 319.0 170.0 180.0 160.0 123.0
Consolidated Balance Sheet Amounts
Long Term Assets 43.0 57.0 58.0 44.0 71.0 86.0
Current Liabilities (8.0) (11.0) (13.0) (16.0) (8.0) (5.0)
Long Term Liabilities (94.0) (299.0) (117.0) (140.0) (135.0) (113.0)
Net Periodic Benefit Cost to be Recognized in the Subsequent Period
Prior Service Cost/Credit 1.0 1.0 5.0 5.0 6.0 -
Net Actuarial Loss/Gain 18.0 45.0 6.0 7.0 16.0 -
Total Amount to be Recognized 19.0 46.0 11.0 12.0 22.0 -
Other Pension Related Items
Benefit Info Date Dec-28-2013 Dec-27-2014 Dec-26-2015 Dec-31-2016 Dec-31-2017 Dec-31-2018
OPEB Information - Total
Defined Benefit Net Periodic Cost
Def. Benefit Total Cost 5.0 5.0 3.0 3.0 2.0 2.0
Total OPEB Expense 5.0 5.0 3.0 3.0 2.0 2.0
Defined Benefit Obligation
Accum. Benefit Obligation 70.0 69.0 59.0 55.0 55.0 45.0
Estimated Future Benefits Paid
Est. Future Benefits Paid - 1st Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 2nd Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 3rd Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 4th Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 5th Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - Thereafter 23.0 24.0 22.0 19.0 17.0 16.0
Other Compr. Income Components Recognized on the BS
Net Actuarial Loss/Gain (2.0) (2.0) (8.0) (10.0) (8.0) (13.0)
Net Amount Recognized (2.0) (2.0) (8.0) (10.0) (8.0) (13.0)
Other Post-Retirement Benefit Related Items
Benefit Info Date Dec-28-2013 Dec-27-2014 Dec-26-2015 Dec-31-2016 Dec-31-2017 Dec-31-2018
Pension Information - Domestic
Defined Benefit Net Periodic Cost
Def. Benefit Service Cost 21.0 17.0 18.0 17.0 10.0 8.0
Def. Benefit Interest Cost 54.0 54.0 55.0 54.0 41.0 38.0
Def. Benefit Return On Assets (59.0) (56.0) (62.0) (65.0) (45.0) (44.0)
Def. Benefit Other Cost 50.0 18.0 46.0 12.0 11.0 21.0
Def. Benefit Total Cost 66.0 33.0 57.0 18.0 17.0 23.0
Defined Benefit Obligation
Beg. Def. Benefit Obligation 1,290.0 1,025.0 1,301.0 1,134.0 993.0 1,007.0
Def. Benefit Service Cost 21.0 17.0 18.0 17.0 10.0 8.0
Def. Benefit Interest Cost 54.0 54.0 55.0 54.0 41.0 38.0
Def. Benefit Actuarial Gain/Losses (164.0) 290.0 (196.0) 77.0 115.0 (109.0)
Def. Benefits Paid (21.0) (65.0) (50.0) (26.0) (76.0) (73.0)
Def. Benefit Settlement/Curtailment (154.0) (19.0) (18.0) (264.0) (75.0) -
Other Adj. To Def. Benefit Obligation (1.0) (1.0) 24.0 1.0 (1.0) 2.0
Proj. Benefit Obligation (Pension) - Domestic 1,025.0 1,301.0 1,134.0 993.0 1,007.0 873.0
Accum. Benefit Obligation 983.0 1,254.0 1,088.0 960.0 976.0 849.0
Plan Assets
Beg. Plan Assets 945.0 933.0 991.0 1,004.0 837.0 864.0
Actual Return on Plan Assets 116.0 124.0 (10.0) 87.0 129.0 (49.0)
Employer Contributions 22.0 21.0 94.0 38.0 52.0 13.0
Benefits Paid (21.0) (65.0) (50.0) (26.0) (76.0) (73.0)
Plan Settlement/Curtailment (123.0) (17.0) (16.0) (260.0) (73.0) -
Other Plan Adjustments (6.0) (5.0) (5.0) (6.0) (5.0) -
Total Plan Assets 933.0 991.0 1,004.0 837.0 864.0 755.0
Weighted Avg. Assumptions on Net Periodic Cost
Net Periodic Cost Disc. Rate - Min 4.4% 5.4% 4.3% 4.9% 4.5% 3.9%
Net Periodic Cost Disc. Rate - Max 4.4% 5.4% 4.3% 4.9% 4.5% 3.9%
Rate of Comp. Increase - Min 3.8% 3.8% 3.8% 3.8% 3.8% 3.8%
Rate of Comp. Increase - Max 3.8% 3.8% 3.8% 3.8% 3.8% 3.8%
Exp. Long-Term Rate of Return on Assets - Min 7.2% 6.9% 6.8% 6.8% 6.1% 5.7%
Exp. Long-Term Rate of Return on Assets - Max 7.2% 6.9% 6.8% 6.8% 6.1% 5.7%
Breakdown of Plan Assets
Plan Assets - Equities (%) 58.6% 49.3% 50.9% 49.1% 49.8% 47.4%
Plan Assets - Fixed Income (%) 41.1% 50.4% 51.1% 53.2% 56.7% 58.0%
Other Plan Assets (%) 0.3% 0.3% (2.0%) (2.3%) (6.5%) (5.4%)
Breakdown of Plan Assets
Plan Assets - Equities 547.0 489.0 511.0 411.0 430.0 358.0
Plan Assets - Fixed Income 383.0 499.0 513.0 445.0 490.0 438.0
Other Plan Assets 3.0 3.0 (20.0) (19.0) (56.0) (41.0)
Weighted Avg. Assumptions on Def. Benefit Obligation
PBO Assumed Rate of Return - Min - - - - 3.9% 4.6%
PBO Assumed Rate of Return - Max - - - - 3.9% 4.6%
Rate of PBO Compensation Increase - Min - - - - 3.8% 3.0%
Rate of PBO Compensation Increase - Max - - - - 3.8% 3.0%
Estimated Future Benefits Paid
Est. Future Benefits Paid - 1st Yr 50.0 72.0 61.0 128.0 65.0 39.0
Est. Future Benefits Paid - 2nd Yr 46.0 53.0 50.0 45.0 37.0 40.0
Est. Future Benefits Paid - 3rd Yr 48.0 51.0 55.0 42.0 39.0 43.0
Est. Future Benefits Paid - 4th Yr 47.0 55.0 56.0 43.0 42.0 45.0
Est. Future Benefits Paid - 5th Yr 50.0 57.0 56.0 46.0 44.0 48.0
Est. Future Benefits Paid - Thereafter 282.0 299.0 331.0 259.0 257.0 269.0
Balance Sheet Reconciliation Items
Accrued Benefit Liability (102.0) (310.0) (130.0) (156.0) (143.0) (118.0)
Adj. for Liability Recognized on Balance Sheet
Net Asset/Liability Recognized on Balance Sheet (92.0) (310.0) (130.0) (156.0) (143.0) (118.0)
Other Compr. Income Components Recognized on the BS
Net Actuarial Loss/Gain 119.0 314.0 138.0 150.0 134.0 101.0
Prior Service Cost/Benefit 5.0 5.0 32.0 30.0 26.0 22.0
Net Amount Recognized 124.0 319.0 170.0 180.0 160.0 123.0
Consolidated Balance Sheet Amounts
Long Term Assets 10.0 - - - - -
Current Liabilities (8.0) (11.0) (13.0) (16.0) (8.0) (5.0)
Long Term Liabilities (94.0) (299.0) (117.0) (140.0) (135.0) (113.0)
Net Periodic Benefit Cost to be Recognized in the Subsequent Period
Prior Service Cost/Credit 1.0 1.0 5.0 5.0 6.0 -
Net Actuarial Loss/Gain 17.0 45.0 6.0 7.0 16.0 -
Total Amount to be Recognized 18.0 46.0 11.0 12.0 22.0 -
Other Pension Related Items
Benefit Info Date Dec-28-2013 Dec-27-2014 Dec-26-2015 Dec-31-2016 Dec-31-2017 Dec-31-2018
OPEB Information - Domestic
Defined Benefit Net Periodic Cost
Def. Benefit Total Cost 5.0 5.0 3.0 3.0 2.0 2.0
Defined Benefit Obligation
Accum. Benefit Obligation 70.0 69.0 59.0 55.0 55.0 45.0
Weighted Avg. Assumptions on Net Periodic Cost
Net Periodic Cost Disc. Rate - Min 4.4% 5.4% 4.3% 4.9% 4.5% 3.9%
Net Periodic Cost Disc. Rate - Max 4.4% 5.4% 4.3% 4.9% 4.5% 3.9%
Rate of Comp. Increase - Min 3.8% 3.8% 3.8% 3.8% 3.8% 3.8%
Rate of Comp. Increase - Max 3.8% 3.8% 3.8% 3.8% 3.8% 3.8%
Weighted Avg. Assumptions on Def. Benefit Obligation
PBO Assumed Rate of Return - Min - - - - 3.9% 4.6%
PBO Assumed Rate of Return - Max - - - - 3.9% 4.6%
Rate of PBO Compensation Increase - Min - - - - 3.8% 3.0%
Rate of PBO Compensation Increase - Max - - - - 3.8% 3.0%
Estimated Future Benefits Paid
Est. Future Benefits Paid - 1st Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 2nd Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 3rd Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 4th Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - 5th Yr 6.0 6.0 5.0 5.0 5.0 4.0
Est. Future Benefits Paid - Thereafter 23.0 24.0 22.0 19.0 17.0 16.0
Other Compr. Income Components Recognized on the BS
Net Actuarial Loss/Gain (2.0) (2.0) (8.0) (10.0) (8.0) (13.0)
Net Amount Recognized (2.0) (2.0) (8.0) (10.0) (8.0) (13.0)
Other Post-Retirement Benefit Related Items
Benefit Info Date Dec-28-2013 Dec-27-2014 Dec-26-2015 Dec-31-2016 Dec-31-2017 Dec-31-2018
Pension Information - Foreign
Estimated Future Benefits Paid
Est. Future Benefits Paid - 1st Yr 1.0 - - - - -
Est. Future Benefits Paid - 2nd Yr 1.0 - - - - -
Est. Future Benefits Paid - 3rd Yr 1.0 - - - - -
Est. Future Benefits Paid - 4th Yr 1.0 - - - - -
Est. Future Benefits Paid - 5th Yr 1.0 - - - - -
Est. Future Benefits Paid - Thereafter 7.0 - - - - -
Adj. for Liability Recognized on Balance Sheet
Net Asset/Liability Recognized on Balance Sheet 33.0 57.0 58.0 44.0 71.0 86.0
Consolidated Balance Sheet Amounts
Long Term Assets 33.0 57.0 58.0 44.0 71.0 86.0
Net Periodic Benefit Cost to be Recognized in the Subsequent Period
Net Actuarial Loss/Gain 1.0 - - - - -
Total Amount to be Recognized 1.0 - - - - -
Other Pension Related Items
Benefit Info Date Dec-28-2013 Dec-27-2014 Dec-26-2015 Dec-31-2016 Dec-31-2017 Dec-31-2018
OPEB Information - Foreign
Other Post-Retirement Benefit Related Items
Benefit Info Date Dec-28-2013 Dec-27-2014 Dec-26-2015 Dec-31-2016 Dec-31-2017 Dec-31-2018

Segments

YUM! Brands, Inc. (NYSE:YUM) > Financials > Segments
In Millions of the reported currency. View By: Line Items   Restatement: Latest Filings
Period Type: Annual   Order: Latest on Right
Currency: Reported Currency   Conversion: Historical
Units: S&P Capital IQ (Default)   Decimals: Capital IQ (Default)
Business Segments
For the Fiscal Period Ending Reclassified 12 months Dec-28-2013 Reclassified 12 months Dec-27-2014 Restated 12 months Dec-31-2015 Restated 12 months Dec-31-2016 Reclassified 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD USD USD USD
Revenues
KFC Division 3,036.0 3,507.0 3,222.0 3,225.0 3,110.0 2,644.0
Pizza Hut Division 1,147.0 1,215.0 1,205.0 1,108.0 893.0 988.0
Taco Bell Division 1,869.0 1,865.0 1,991.0 2,025.0 1,880.0 2,056.0
Unallocated - - - (2.0) (5.0) -
China 6,905.0 - - - - -
India 127.0 - - - - -
Total Revenues 13,084.0 6,587.0 6,418.0 6,356.0 5,878.0 5,688.0
Operating Profit Before Tax
KFC Division 649.0 876.0 835.0 871.0 981.0 959.0
Pizza Hut Division 339.0 347.0 351.0 367.0 341.0 348.0
Taco Bell Division 456.0 478.0 546.0 595.0 619.0 633.0
Corporate and Unallocated G&A Expenses - - (180.0) (280.0) (230.0) (171.0)
Unallocated Restaurant Costs - (1.0) - - 10.0 3.0
Unallocated Franchise and Property Revenues - - - (2.0) (5.0) -
Corporate (207.0) - - - - -
Unallocated and Corporate Expenses - (189.0) - - - -
China 777.0 - - - - -
India (15.0) - - - - -
Total Operating Profit Before Tax 1,999.0 1,511.0 1,552.0 1,551.0 1,716.0 1,772.0
Assets
KFC Division 2,452.0 2,328.0 2,263.0 2,158.0 1,791.0 1,481.0
Pizza Hut Division 703.0 710.0 709.0 639.0 628.0 701.0
Taco Bell Division 1,017.0 1,084.0 1,128.0 1,178.0 1,086.0 1,074.0
Corporate 704.0 892.0 816.0 1,478.0 1,806.0 874.0
China 3,720.0 3,202.0 - - - -
India 99.0 118.0 - - - -
Total Assets 8,695.0 8,334.0 4,916.0 5,453.0 5,311.0 4,130.0
Depreciation & Amortization
KFC Division 190.0 197.0 180.0 172.0 138.0 58.0
Pizza Hut Division 36.0 39.0 40.0 36.0 26.0 10.0
Taco Bell Division 84.0 83.0 89.0 90.0 82.0 61.0
Corporate 8.0 9.0 10.0 12.0 7.0 8.0
China 394.0 - - - - -
India 9.0 - - - - -
Total Depreciation & Amortization 721.0 328.0 319.0 310.0 253.0 137.0
Capital Expenditure
KFC Division (294.0) (294.0) (260.0) (216.0) (176.0) (105.0)
Pizza Hut Division (52.0) (62.0) (54.0) (69.0) (42.0) (38.0)
Taco Bell Division (100.0) (143.0) (116.0) (132.0) (95.0) (85.0)
Corporate (4.0) (9.0) (12.0) (10.0) (5.0) (6.0)
China (568.0) - - - - -
India (31.0) - - - - -
Total Capital Expenditure (1,049.0) (508.0) (442.0) (427.0) (318.0) (234.0)
Filing Date Feb-16-2016 Feb-22-2017 Feb-22-2018 Feb-21-2019 Feb-21-2019 Feb-21-2019
Geographic Segments
For the Fiscal Period Ending Reclassified 12 months Dec-28-2013 Reclassified 12 months Dec-27-2014 Restated 12 months Dec-31-2015 Restated 12 months Dec-31-2016 Reclassified 12 months Dec-31-2017 12 months Dec-31-2018
Currency USD USD USD USD USD USD
Revenues
U.S. 3,000.0 3,000.0 3,100.0 3,100.0 2,800.0 2,900.0
International 10,084.0 3,587.0 3,318.0 3,258.0 3,083.0 2,788.0
Total Revenues 13,084.0 6,587.0 6,418.0 6,358.0 5,883.0 5,688.0
Assets
U.S. 2,061.0 2,000.0 2,300.0 3,100.0 3,000.0 2,000.0
International 6,634.0 6,334.0 2,616.0 2,353.0 2,311.0 2,130.0
Total Assets 8,695.0 8,334.0 4,916.0 5,453.0 5,311.0 4,130.0
Filing Date Feb-16-2016 Feb-22-2017 Feb-22-2018 Feb-21-2019 Feb-21-2019 Feb-21-2019