BnB Construction Inc. Income Statement (Millions of Dollars) BnB Construction Inc. Balance Sheet (Millions of Dollars) 2021 Est. 2020 2019 Net Sales 4,000 3,000 2,850 2021 2021 Assets 2020 2019 Liabilities 2020 2019 Est Est Operating Costs 3,100 2,300 2,100 EBITD 900.00 700 750 Cash and Cash 15 10 15 Accounts payable 115 60 30 Depreciation 110 100 90 Equivalents Short-Term Amertizaton. Overdrafts 115 110 60 investments Depreciation and Amortization 110 100 90 EBITD 790 600 660 Accounts Receivable 420 375 315 Аccruals 260 140 130 Interest 100 88 60 Inventories 700 615 415 Total Current Liabilities 490 310 220 Earnings Before Taxes 690 512 600 Long-Term Bonds and Total Current Assets 1,145 1,000 Taxes (40%) 276 204.8 240 810 1300 754 580 New Loan Net Income Before preferred Dividends 414 307.2 360 Net Plant and 1884 1,190 Preferred Dividends 4 4 4 870 Total Debt 1790 1,064.00 800 Equipment Net Income 410.0 303.2 356.0 Preferred Stock 40 40 40 Common Dividends 57.5 57.5 53 Common Stock 130 130 130 Addition to retained Earnings 352.50 245.70 303.0 Retained Earnings 1069 956 710 Total Common Equity 1199 1086 840 Total Liabilities and $ Total Assets Per Share Date 2021 2020 2019 3,029 2,190 1,680 Equity 3,029 2,190 1,680 Common Stock Price 28.0 $ 23.00 26.00 Earnings Per Share (EPS) Dividend Per Share (DPS) Book Value Per Share (BVPS) ??? 6.06 $ 7.12 Est. Estimate ???? 1.15 $ 1.06 ???? 21.72 16.80 Cash Flow Per Share ???? 8.06 S 8.92
BnB Construction Inc. Income Statement (Millions of Dollars) BnB Construction Inc. Balance Sheet (Millions of Dollars) 2021 Est. 2020 2019 Net Sales 4,000 3,000 2,850 2021 2021 Assets 2020 2019 Liabilities 2020 2019 Est Est Operating Costs 3,100 2,300 2,100 EBITD 900.00 700 750 Cash and Cash 15 10 15 Accounts payable 115 60 30 Depreciation 110 100 90 Equivalents Short-Term Amertizaton. Overdrafts 115 110 60 investments Depreciation and Amortization 110 100 90 EBITD 790 600 660 Accounts Receivable 420 375 315 Аccruals 260 140 130 Interest 100 88 60 Inventories 700 615 415 Total Current Liabilities 490 310 220 Earnings Before Taxes 690 512 600 Long-Term Bonds and Total Current Assets 1,145 1,000 Taxes (40%) 276 204.8 240 810 1300 754 580 New Loan Net Income Before preferred Dividends 414 307.2 360 Net Plant and 1884 1,190 Preferred Dividends 4 4 4 870 Total Debt 1790 1,064.00 800 Equipment Net Income 410.0 303.2 356.0 Preferred Stock 40 40 40 Common Dividends 57.5 57.5 53 Common Stock 130 130 130 Addition to retained Earnings 352.50 245.70 303.0 Retained Earnings 1069 956 710 Total Common Equity 1199 1086 840 Total Liabilities and $ Total Assets Per Share Date 2021 2020 2019 3,029 2,190 1,680 Equity 3,029 2,190 1,680 Common Stock Price 28.0 $ 23.00 26.00 Earnings Per Share (EPS) Dividend Per Share (DPS) Book Value Per Share (BVPS) ??? 6.06 $ 7.12 Est. Estimate ???? 1.15 $ 1.06 ???? 21.72 16.80 Cash Flow Per Share ???? 8.06 S 8.92
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
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What is-
Earnings per share?
Dividend per share?
Book Value per share?
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