Date TTM Net Income LT Investments & Debt Return on Investment2023-09-30 $93.90B $262.66B 38.53%2023-06-30 $88.52B $248.21B 38.03%2023-03-31 $84.80B $236.65B 37.84%2022-12-31 $82.82B $227.26B 38.04%2022-09-30 $84.66B $218.94B 39.75%2022-06-30 $83.38B $213.57B 39.95%2022-03-31 $81.94B $211.10B 40.29%2021-12-31 $78.63B $208.27B 39.97%2021-09-30 $74.28B $202.02B 38.89%2021-06-30 $69.92B $192.06B 37.67%2021-03-31 $64.23B $184.51B 35.28%2020-12-31 $60.16B $185.37B 33.37%2020-09-30 $56.15B $180.45B 31.67%2020-06-30 $52.96B $177.88B 30.21%2020-03-31 $51.96B $177.36B 30.02%2019-12-31 $49.32B $173.47B 29.17%2019-09-30 $45.69B $172.54B 27.49%2019-06-30 $42.96B $168.99B 26.52%2019-03-31 $40.93B $161.45B 25.83%2018-12-31 $38.88B $161.78B 24.88%2018-09-30 $37.31B $155.70B 24.26%2018-06-30 $35.06B $154.96B 22.43%2018-03-31 $32.36B $152.72B 20.41%2017-12-31 $30.79B $151.71B 19.63%2017-09-30 $30.02B $165.90B 19.89%2017-06-30 $29.03B $163.78B 20.43%2017-03-31 $30.32B $145.95B 23.45%2016-12-31 $28.88B $128.12B 23.72%2016-09-30 $27.00B $130.53B 22.68%2016-06-30 $26.08B $112.55B 23.13%2016-03-31 $15.05B $115.70B 13.49%2015-12-31 $16.36B $117.46B 14.59%2015-09-30 $18.11B $105.26B 16.42%2015-06-30 $18.16B $107.89B 16.34%2015-03-31 $26.70B $117.78B 23.89%2014-12-31 $27.08B $110.14B 24.77%2014-09-30 $27.27B $108.64B 25.19%2014-06-30 $27.76B $110.43B 26.53%2014-03-31 $27.35B $108.10B 27.37%2013-12-31 $27.99B $105.78B 29.44%2013-09-30 $27.79B $94.27B 30.97%2013-06-30 $26.76B $91.55B 31.19%2013-03-31 $20.88B $88.64B 25.41%2012-12-31 $19.65B $84.52B 24.50%2012-09-30 $19.87B $78.55B 25.45%2012-06-30 $21.76B $77.08B 28.54%2012-03-31 $27.74B $80.60B 37.37%2011-12-31 $27.08B $76.05B 38.44%2011-09-30 $27.25B $71.32B 41.31%2011-06-30 $27.16B $69.00B 43.61%2011-03-31 $26.92B $65.37B 46.57%2010-12-31 $26.38B $58.15B 49.01%2010-09-30 $26.73B $56.61B 52.11%2010-06-30 $24.10B $51.11B 49.80%2010-03-31 $22.16B $49.46B 47.71%2009-12-31 $21.42B $48.03B 62.87%
Question
Date TTM Net Income LT Investments & Debt Return on Investment2023-09-30 262.66B 38.53%2023-06-30 248.21B 38.03%2023-03-31 236.65B 37.84%2022-12-31 227.26B 38.04%2022-09-30 218.94B 39.75%2022-06-30 213.57B 39.95%2022-03-31 211.10B 40.29%2021-12-31 208.27B 39.97%2021-09-30 202.02B 38.89%2021-06-30 192.06B 37.67%2021-03-31 184.51B 35.28%2020-12-31 185.37B 33.37%2020-09-30 180.45B 31.67%2020-06-30 177.88B 30.21%2020-03-31 177.36B 30.02%2019-12-31 173.47B 29.17%2019-09-30 172.54B 27.49%2019-06-30 168.99B 26.52%2019-03-31 161.45B 25.83%2018-12-31 161.78B 24.88%2018-09-30 155.70B 24.26%2018-06-30 154.96B 22.43%2018-03-31 152.72B 20.41%2017-12-31 151.71B 19.63%2017-09-30 165.90B 19.89%2017-06-30 163.78B 20.43%2017-03-31 145.95B 23.45%2016-12-31 128.12B 23.72%2016-09-30 130.53B 22.68%2016-06-30 112.55B 23.13%2016-03-31 115.70B 13.49%2015-12-31 117.46B 14.59%2015-09-30 105.26B 16.42%2015-06-30 107.89B 16.34%2015-03-31 117.78B 23.89%2014-12-31 110.14B 24.77%2014-09-30 108.64B 25.19%2014-06-30 110.43B 26.53%2014-03-31 108.10B 27.37%2013-12-31 105.78B 29.44%2013-09-30 94.27B 30.97%2013-06-30 91.55B 31.19%2013-03-31 88.64B 25.41%2012-12-31 84.52B 24.50%2012-09-30 78.55B 25.45%2012-06-30 77.08B 28.54%2012-03-31 80.60B 37.37%2011-12-31 76.05B 38.44%2011-09-30 71.32B 41.31%2011-06-30 69.00B 43.61%2011-03-31 65.37B 46.57%2010-12-31 58.15B 49.01%2010-09-30 56.61B 52.11%2010-06-30 51.11B 49.80%2010-03-31 49.46B 47.71%2009-12-31 48.03B 62.87%
Solution
The given data represents the TTM (Trailing Twelve Months) net income, long-term investments and debt, and return on investment for a certain company over a period of time.
Step 1: Analyze the data structure The data is presented in a tabular format with four columns: Date, TTM Net Income, LT Investments & Debt, and Return on Investment. Each row represents a specific date, and the corresponding values for net income, investments and debt, and return on investment.
Step 2: Identify the time period The data spans from 2009-12-31 to 2023-09-30, indicating a historical record of financial performance over several years.
Step 3: Interpret the values The TTM Net Income column represents the company's net income for the trailing twelve months, which is the sum of the net income for the previous four quarters. The values range from 93.90B.
The LT Investments & Debt column represents the company's long-term investments and debt. It includes both investments made by the company and any outstanding debt. The values range from 262.66B.
The Return on Investment column represents the return on investment for the company. It is calculated by dividing the TTM Net Income by the LT Investments & Debt and multiplying by 100 to get a percentage. The values range from 13.49% to 52.11%.
Step 4: Analyze the trends By examining the data, we can observe the following trends:
- The TTM Net Income generally shows an increasing trend over time, with some fluctuations.
- The LT Investments & Debt also show an increasing trend, indicating the company's growth and investment activities.
- The Return on Investment fluctuates but generally remains within a certain range.
Step 5: Draw conclusions Based on the data, we can conclude that the company has been experiencing growth in terms of net income and investments over the years. The return on investment has varied but has generally remained at a reasonable level.
It is important to note that without additional context or industry benchmarks, it is difficult to assess the company's financial performance in relation to its peers or the overall market.
Similar Questions
Date TTM Net Income LT Investments & Debt Return on Investment2023-09-30 $93.90B $262.66B 38.53%2023-06-30 $88.52B $248.21B 38.03%2023-03-31 $84.80B $236.65B 37.84%2022-12-31 $82.82B $227.26B 38.04%2022-09-30 $84.66B $218.94B 39.75%2022-06-30 $83.38B $213.57B 39.95%2022-03-31 $81.94B $211.10B 40.29%2021-12-31 $78.63B $208.27B 39.97%2021-09-30 $74.28B $202.02B 38.89%2021-06-30 $69.92B $192.06B 37.67%2021-03-31 $64.23B $184.51B 35.28%2020-12-31 $60.16B $185.37B 33.37%2020-09-30 $56.15B $180.45B 31.67%2020-06-30 $52.96B $177.88B 30.21%2020-03-31 $51.96B $177.36B 30.02%2019-12-31 $49.32B $173.47B 29.17%2019-09-30 $45.69B $172.54B 27.49%2019-06-30 $42.96B $168.99B 26.52%2019-03-31 $40.93B $161.45B 25.83%2018-12-31 $38.88B $161.78B 24.88%2018-09-30 $37.31B $155.70B 24.26%2018-06-30 $35.06B $154.96B 22.43%2018-03-31 $32.36B $152.72B 20.41%2017-12-31 $30.79B $151.71B 19.63%2017-09-30 $30.02B $165.90B 19.89%2017-06-30 $29.03B $163.78B 20.43%2017-03-31 $30.32B $145.95B 23.45%2016-12-31 $28.88B $128.12B 23.72%2016-09-30 $27.00B $130.53B 22.68%2016-06-30 $26.08B $112.55B 23.13%2016-03-31 $15.05B $115.70B 13.49%2015-12-31 $16.36B $117.46B 14.59%2015-09-30 $18.11B $105.26B 16.42%2015-06-30 $18.16B $107.89B 16.34%2015-03-31 $26.70B $117.78B 23.89%2014-12-31 $27.08B $110.14B 24.77%2014-09-30 $27.27B $108.64B 25.19%2014-06-30 $27.76B $110.43B 26.53%2014-03-31 $27.35B $108.10B 27.37%2013-12-31 $27.99B $105.78B 29.44%2013-09-30 $27.79B $94.27B 30.97%2013-06-30 $26.76B $91.55B 31.19%2013-03-31 $20.88B $88.64B 25.41%2012-12-31 $19.65B $84.52B 24.50%2012-09-30 $19.87B $78.55B 25.45%2012-06-30 $21.76B $77.08B 28.54%2012-03-31 $27.74B $80.60B 37.37%2011-12-31 $27.08B $76.05B 38.44%2011-09-30 $27.25B $71.32B 41.31%2011-06-30 $27.16B $69.00B 43.61%2011-03-31 $26.92B $65.37B 46.57%2010-12-31 $26.38B $58.15B 49.01%2010-09-30 $26.73B $56.61B 52.11%2010-06-30 $24.10B $51.11B 49.80%2010-03-31 $22.16B $49.46B 47.71%2009-12-31 $21.42B $48.03B 62.87%
Cash $ 44,210Short-term investments 9,800Accounts receivable 42,000Inventory 244,000Prepaid expenses 14,990Accounts payable 90,000Salaries payable 23,500Multiple Choice1.110.853.134.130.97
Relationship between investment and income
(Amounts Expressed in Millions) 2020 2019For the Fiscal Years Ended September 26 and September 28, respectively:Net sales $ 274,515 $ 260,174Costs of sales 169,559 161,782Operating income 66,288 63,930Net income $ 57,411 $ 55,256At Year-End: Assets Current assets: Cash and cash equivalents $ 38,016 $ 48,844Short-term marketable securities 52,927 51,713Accounts receivable, net 16,120 22,926Inventories 4,061 4,106Vendor non-trade receivables 21,325 22,878Other current assets 11,264 12,352Total current assets 143,713 162,819Noncurrent assets: Long-term marketable securities 100,887 105,341Property, plant, and equipment, net 36,766 37,378Other noncurrent assets 42,522 32,978Total noncurrent assets $ 180,175 $ 175,697Total assets $ 323,888 $ 338,516Liabilities and Shareholders’ Equity Current liabilities: Accounts payable $ 42,296 $ 46,236Other current liabilities 42,684 37,720Deferred revenue 6,643 5,522Commercial paper 4,996 5,980Current portion of term debt 8,773 10,260Total current liabilities 105,392 105,718Noncurrent liabilities: Noncurrent portion of term debt 98,667 91,807Other noncurrent liabilities 54,490 50,503Total noncurrent liabilities 153,157 142,310Total liabilities 258,549 248,028Shareholders’ equity: Common stock and additional paid-in capital, $0.00001 par value: 50,400,000 shares authorized; 16,976,763 and 17,772,945 shares issued and outstanding, respectively 50,779 45,174Retained earnings 14,966 45,898Accumulated other comprehensive income/(loss) (406) (584)Total shareholders’ equity 65,339 90,488Total liabilities and shareholders’ equity $ 323,888 $ 338,516At September 29, 2018, total assets were $365,725 and total shareholders’ equity was $107,147.Required:Calculate Apple Incorporated’s working capital, current ratio, and acid-test ratio at September 26, 2020, and September 28, 2019.
Which of the following is an objective of investments?(1.0 Marks)To Increase Income From SalaryATo Reduce ExpensesBTo Transact In Securities MarketsCTo Build Wealth For The Future
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