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Also traded in: Germany, Mexico
Annual Rates (per share) 10 yrs* 5 yrs* 12 months*
Revenue Growth (%) 0.00  0.00  29.10 
EBITDA Growth (%) 0.00  0.00  -30.90 
Operating Income Growth (%) 0.00  0.00  -61.00 
EPS without NRI Growth (%) 0.00  0.00  -98.40 
Free Cash Flow Growth (%) 0.00  0.00  0.00 
Book Value Growth (%) 0.00  0.00  -8.30 

*12-month growth rate is calculated with the quarterly per share revenue (EBITDA, FCF, earnings) of the last 12 months over the per share revenue (EBITDA, FCF, earnings) over the previous 12 months. 5-year and 10-year growth rates are calculated with least-square regression based on the 6-year and 11-year annual numbers. Please click Growth Rate Calculation Example (GuruFocus) to see how GuruFocus calculates Wal-Mart Stores Inc (WMT)'s revenue growth rate. You can apply the same method to get the growth rate you want.
   Trendline:
Embed
* All numbers are in millions except for per share data * All shares outstanding data and per share data are split adjusted * Empty lines (lines with only 0's) are hidden by default * Preliminary data is from the companies' press releases. 10-Q/K data is not available yet. Preliminary data is not used in the calculation of Ratios,Scores or Rankings * Financial Statement Template: Manufacturing / Mining / Transportation / Utility / Others * For latest financial page display change, please click GuruFocus 30-Y Financials Page Item Changes
A+ A- Show empty lines Hide the embedded charts
Per Share Data Annuals (USD $)View: Quarterly
Fiscal Period
TrendOct12 Oct13 Oct14 Oct15 Oct16 TTM Jul16 Oct16 Jan17 Apr17 Jul17
   
Revenue per Share Premium Member Only
Premium Member Only
--
30.06
28.41
28.82
30.77
4.67
14.65
6.71
4.49
4.92
EBITDA per Share Premium Member Only
Premium Member Only
--
3.66
3.10
4.85
3.03
2.10
1.15
0.77
0.59
0.53
EBIT per Share Premium Member Only
Premium Member Only
--
1.40
0.95
2.68
1.11
1.54
0.64
0.27
0.11
0.09
Earnings per Share (Diluted) Premium Member Only
Premium Member Only
--
0.90
1.34
1.82
0.07
1.32
0.18
0.16
-0.37
0.10
EPS without NRI Premium Member Only
Premium Member Only
--
0.90
1.34
1.82
0.04
1.43
0.02
0.16
-0.29
0.15
Owner Earnings per Share (TTM) Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Free Cash Flow per Share Premium Member Only
Premium Member Only
--
1.79
0.17
0.97
-0.59
0.50
0.79
-1.40
-0.07
0.10
Operating Cash Flow per Share Premium Member Only
Premium Member Only
--
3.77
2.00
2.85
1.35
1.00
1.29
-0.86
0.38
0.53
Dividends per Share Premium Member Only
Premium Member Only
--
--
--
0.22
0.25
0.06
0.06
0.07
0.07
0.07
Book Value per Share Premium Member Only
Premium Member Only
--
20.05
17.86
18.88
17.87
19.49
18.88
18.92
17.63
17.87
Tangible Book per Share Premium Member Only
Premium Member Only
--
4.78
2.31
3.71
1.30
4.23
3.71
3.66
1.20
1.30
Total Debt per Share Premium Member Only
Premium Member Only
--
0.75
8.41
9.69
10.22
9.78
9.69
9.48
8.45
10.22
Month End Stock Price Premium Member Only
Premium Member Only
--
--
8.50
12.98
13.63
12.14
12.98
13.10
14.33
13.47
   
Ratios AnnualsView: Quarterly
Fiscal Period
Premium Member OnlyOct12 Oct13 Oct14 Oct15 Oct16 TTM Jul16 Oct16 Jan17 Apr17 Jul17
   
ROE % Premium Member Only
Premium Member Only
10.80
4.41
7.00
9.73
0.40
28.37
3.78
3.39
-8.09
2.27
ROA % Premium Member Only
Premium Member Only
5.96
2.46
3.39
3.96
0.16
11.59
1.52
1.37
-3.40
0.95
ROC (Joel Greenblatt) % Premium Member Only
Premium Member Only
54.40
25.38
18.07
47.70
22.31
97.25
45.30
19.36
8.99
8.76
ROIC % Premium Member Only
Premium Member Only
11.14
4.63
6.70
8.63
0.25
26.14
0.17
3.97
-9.70
6.57
WACC % Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Effective Interest Rate on Debt % Premium Member Only
Premium Member Only
9.67
21.09
3.13
3.61
4.08
1.70
9.43
1.95
2.29
2.54
   
Gross Margin % Premium Member Only
Premium Member Only
27.44
28.37
28.67
29.16
26.96
36.43
22.04
28.92
33.82
33.05
Operating Margin % Premium Member Only
Premium Member Only
5.15
4.24
2.92
8.28
2.64
33.04
2.32
4.06
2.44
1.79
Net Margin % Premium Member Only
Premium Member Only
3.57
2.99
4.72
6.31
0.23
28.38
1.20
2.34
-8.22
2.01
FCF Margin % Premium Member Only
Premium Member Only
10.88
5.97
0.61
3.35
-1.91
10.67
5.36
-20.93
-1.64
2.03
   
Debt-to-Equity Premium Member Only
Premium Member Only
0.04
0.04
0.47
0.51
0.57
0.50
0.51
0.50
0.48
0.57
Equity-to-Asset Premium Member Only
Premium Member Only
0.55
0.57
0.42
0.40
0.41
0.41
0.40
0.41
0.43
0.41
Debt-to-Asset Premium Member Only
Premium Member Only
0.02
0.02
0.20
0.20
0.23
0.21
0.20
0.21
0.21
0.23
Gross-Profit-to-Asset % Premium Member Only
Premium Member Only
45.78
23.37
20.61
18.32
18.81
14.87
27.90
16.88
13.98
15.68
   
Asset Turnover Premium Member Only
Premium Member Only
1.67
0.82
0.72
0.63
0.70
0.10
0.32
0.15
0.10
0.12
Dividend Payout Ratio Premium Member Only
Premium Member Only
--
--
--
0.12
8.33
0.04
2.75
0.41
--
0.43
   
Days Sales Outstanding Premium Member Only
Premium Member Only
60.17
55.77
50.03
42.40
25.05
79.24
21.19
42.73
43.42
39.77
Days Payable Premium Member Only
Premium Member Only
38.01
45.19
57.23
61.09
54.80
90.19
27.74
62.29
96.19
94.92
Days Inventory Premium Member Only
Premium Member Only
9.11
18.31
20.04
20.42
18.78
35.39
8.45
21.17
37.31
34.74
Cash Conversion Cycle Premium Member Only
Premium Member Only
31.27
28.89
12.84
1.73
-10.97
24.44
1.90
1.61
-15.46
-20.41
   
Inventory Turnover Premium Member Only
Premium Member Only
40.07
19.93
18.21
17.88
19.44
2.58
10.80
4.31
2.45
2.63
COGS-to-Revenue Premium Member Only
Premium Member Only
0.73
0.72
0.71
0.71
0.73
0.64
0.78
0.71
0.66
0.67
Inventory-to-Revenue Premium Member Only
Premium Member Only
0.02
0.04
0.04
0.04
0.04
0.25
0.07
0.17
0.27
0.26
   
Income Statement Annual (USD $) View: Quarterly
Fiscal Period
Premium Member OnlyOct12 Oct13 Oct14 Oct15 Oct16 TTM Jul16 Oct16 Jan17 Apr17 Jul17
   
Revenue Premium Member Only
Premium Member Only
57,371
55,123
52,107
50,123
52,138
8,005
25,077
11,407
7,445
8,209
Cost of Goods Sold Premium Member Only
Premium Member Only
41,630
39,486
37,168
35,507
38,081
5,089
19,550
8,108
4,927
5,496
Gross Profit Premium Member Only
Premium Member Only
15,741
15,637
14,939
14,616
14,057
2,916
5,527
3,299
2,518
2,713
Gross Margin % Premium Member Only
Premium Member Only
27.44
28.37
28.67
29.16
26.96
36.43
22.04
28.92
33.82
33.05
   
Selling, General, & Admin. Expense Premium Member Only
Premium Member Only
8,601
8,717
8,250
7,821
7,618
1,575
2,922
1,759
1,449
1,488
Advertising Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Research & Development Premium Member Only
Premium Member Only
1,956
2,197
2,338
2,298
2,023
551
544
485
486
508
Other Operating Expense Premium Member Only
Premium Member Only
2,232
2,388
2,828
347
3,042
-1,855
1,479
592
401
570
Operating Income Premium Member Only
Premium Member Only
2,952
2,335
1,523
4,150
1,374
2,645
582
463
182
147
Operating Margin % Premium Member Only
Premium Member Only
5.15
4.24
2.92
8.28
2.64
33.04
2.32
4.06
2.44
1.79
   
  Interest Income Premium Member Only
Premium Member Only
447
632
579
629
650
94
359
93
96
102
  Interest Expense Premium Member Only
Premium Member Only
-81
-322
-269
-577
-642
-69
-382
-78
-85
-97
Net Interest Income Premium Member Only
Premium Member Only
366
310
310
52
8
25
-23
15
11
5
Other Income (Expense) Premium Member Only
Premium Member Only
-447
-401
-363
-123
-103
-106
213
-133
-92
-91
  Other Income (Minority Interest) Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Pre-Tax Income Premium Member Only
Premium Member Only
2,871
2,244
1,470
4,079
1,279
2,564
772
345
101
61
Tax Provision Premium Member Only
Premium Member Only
-820
-596
991
-918
-1,231
-107
-752
-78
-588
187
Tax Rate % Premium Member Only
Premium Member Only
28.56
26.56
-67.41
22.51
96.25
4.17
97.41
22.61
582.18
-306.56
Net Income (Continuing Operations) Premium Member Only
Premium Member Only
2,051
1,648
2,461
3,161
48
2,457
20
267
-487
248
Net Income (Discontinued Operations) Premium Member Only
Premium Member Only
--
--
--
--
-208
-185
--
--
-125
-83
Net Income Premium Member Only
Premium Member Only
2,051
1,648
2,461
3,161
122
2,272
302
267
-612
165
Net Margin % Premium Member Only
Premium Member Only
3.57
2.99
4.72
6.31
0.23
28.38
1.20
2.34
-8.22
2.01
   
Preferred Dividends Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
EPS (Basic) Premium Member Only
Premium Member Only
--
0.91
1.36
1.84
0.07
1.35
0.18
0.16
-0.37
0.10
EPS (Diluted) Premium Member Only
Premium Member Only
--
0.90
1.34
1.82
0.07
1.32
0.18
0.16
-0.37
0.10
Shares Outstanding (Diluted Average) Premium Member Only
Premium Member Only
--
1,834.0
1,834.0
1,739.0
1,667.0
1,715.0
1,712.0
1,700.0
1,658.0
1,667.0
   
Depreciation, Depletion and Amortization Premium Member Only
Premium Member Only
4,396
4,144
3,947
3,775
3,241
954
872
840
792
737
EBITDA Premium Member Only
Premium Member Only
7,348
6,710
5,686
8,431
5,121
3,599
1,960
1,303
974
884
   
Balance Sheet Annuals (USD $)View: Quarterly
Fiscal Period
Premium Member OnlyOct12 Oct13 Oct14 Oct15 Oct16 Latest Q. Jul16 Oct16 Jan17 Apr17 Jul17
   
  Cash And Cash Equivalents Premium Member Only
Premium Member Only
2,182
2,319
9,842
12,987
7,757
10,743
12,987
9,858
8,101
7,757
  Marketable Securities Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Cash, Cash Equivalents, Marketable Securities Premium Member Only
Premium Member Only
2,182
2,319
9,842
12,987
7,757
10,743
12,987
9,858
8,101
7,757
Accounts Receivable Premium Member Only
Premium Member Only
9,458
8,423
7,142
5,823
3,578
6,951
5,823
5,342
3,543
3,578
  Inventories, Raw Materials & Components Premium Member Only
Premium Member Only
557
597
680
572
911
666
572
743
823
911
  Inventories, Work In Process Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
  Inventories, Inventories Adjustments Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
  Inventories, Finished Goods Premium Member Only
Premium Member Only
1,521
1,287
1,518
1,202
1,233
1,182
1,202
1,245
1,218
1,233
  Inventories, Other Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Total Inventories Premium Member Only
Premium Member Only
2,078
1,884
2,198
1,774
2,144
1,848
1,774
1,988
2,041
2,144
Other Current Assets Premium Member Only
Premium Member Only
10,661
9,405
10,782
8,333
9,664
8,928
8,333
8,337
6,588
9,664
Total Current Assets Premium Member Only
Premium Member Only
24,379
22,031
29,964
28,917
23,143
28,470
28,917
25,525
20,273
23,143
   
Investments And Advances Premium Member Only
Premium Member Only
--
--
--
2,648
2,626
2,675
2,648
2,620
2,620
2,626
  Land And Improvements Premium Member Only
Premium Member Only
495
448
514
497
313
488
497
498
313
313
  Buildings And Improvements Premium Member Only
Premium Member Only
4,268
4,322
6,924
6,948
2,555
6,865
6,948
6,977
2,689
2,555
  Machinery, Furniture, Equipment Premium Member Only
Premium Member Only
12,299
12,190
13,986
14,300
No Debt
14,320
14,300
14,330
9,736
No Debt
  Construction In Progress Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Gross Property, Plant and Equipment Premium Member Only
Premium Member Only
17,062
16,960
21,424
21,745
12,868
21,673
21,745
21,805
12,738
12,868
  Accumulated Depreciation Premium Member Only
Premium Member Only
-8,552
-8,440
-11,538
-12,109
-6,138
-12,094
-12,109
-12,308
-6,046
-6,138
Property, Plant and Equipment Premium Member Only
Premium Member Only
8,510
8,520
9,886
9,636
6,730
9,579
9,636
9,497
6,692
6,730
Intangible Assets Premium Member Only
Premium Member Only
28,882
28,017
29,191
25,262
26,902
25,382
25,262
25,416
27,038
26,902
  Goodwill Premium Member Only
Premium Member Only
25,945
25,960
27,261
24,178
25,491
24,171
24,178
24,252
25,498
25,491
Other Long Term Assets Premium Member Only
Premium Member Only
7,004
6,503
10,875
13,216
11,530
12,715
13,216
13,604
10,847
11,530
Total Assets Premium Member Only
Premium Member Only
68,775
65,071
79,916
79,679
70,931
78,821
79,679
76,662
67,470
70,931
   
  Accounts Payable Premium Member Only
Premium Member Only
4,335
4,889
5,828
5,943
5,717
5,030
5,943
5,535
5,194
5,717
  Total Tax Payable Premium Member Only
Premium Member Only
711
2,050
1,840
1,717
1,364
366
1,717
1,694
1,585
1,364
  Other Accrued Expense Premium Member Only
Premium Member Only
9,280
6,798
8,480
6,729
4,871
8,231
6,729
6,225
4,960
4,871
Accounts Payable & Accrued Expense Premium Member Only
Premium Member Only
14,326
13,737
16,148
14,389
11,952
13,627
14,389
13,454
11,739
11,952
Current Portion of Long-Term Debt Premium Member Only
Premium Member Only
1,058
894
691
3,532
2,069
911
3,532
3,520
2,010
2,069
  Current Deferred Revenue Premium Member Only
Premium Member Only
5,528
5,129
5,154
4,610
3,828
4,749
4,610
4,712
3,829
3,828
  Current Deferred Taxes Liabilities Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
DeferredTaxAndRevenue Premium Member Only
Premium Member Only
5,528
5,129
5,154
4,610
3,828
4,749
4,610
4,712
3,829
3,828
Other Current Liabilities Premium Member Only
Premium Member Only
--
--
--
--
430
197
--
--
--
430
Total Current Liabilities Premium Member Only
Premium Member Only
20,912
19,760
21,993
22,531
18,279
19,484
22,531
21,686
17,578
18,279
   
  Long-Term Debt Premium Member Only
Premium Member Only
617
485
15,103
12,608
14,527
15,354
12,608
12,270
11,904
14,527
  Capital Lease Obligation Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Long-Term Debt & Capital Lease Obligation Premium Member Only
Premium Member Only
617
485
15,103
12,608
14,527
15,354
12,608
12,270
11,904
14,527
Debt-to-Equity Premium Member Only
Premium Member Only
0.04
0.04
0.47
0.51
0.57
0.50
0.51
0.50
0.48
0.57
PensionAndRetirementBenefit Premium Member Only
Premium Member Only
2,602
2,606
3,432
4,230
1,672
3,133
4,230
2,352
1,779
1,672
NonCurrent Deferred Liabilities Premium Member Only
Premium Member Only
4,855
3,677
3,606
3,551
2,603
3,591
3,551
3,590
2,624
2,603
Minority Interest Premium Member Only
Premium Member Only
387
396
383
70
38
400
70
73
36
38
Other Long-Term Liabilities Premium Member Only
Premium Member Only
1,414
1,371
1,864
5,241
4,800
4,433
5,241
5,190
4,538
4,800
Total Liabilities Premium Member Only
Premium Member Only
30,787
28,295
46,381
48,231
41,919
46,395
48,231
45,161
38,459
41,919
   
Common Stock Premium Member Only
Premium Member Only
--
--
--
17
16
17
17
17
16
16
Preferred Stock Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Retained Earnings Premium Member Only
Premium Member Only
--
--
--
2,782
-1,676
2,486
2,782
2,760
-1,867
-1,676
Accumulated other comprehensive income (loss) Premium Member Only
Premium Member Only
-1,695
-2,248
-5,015
-6,599
-3,360
-5,177
-6,599
-6,124
-3,544
-3,360
Additional Paid-In Capital Premium Member Only
Premium Member Only
--
--
--
35,248
34,032
35,100
35,248
34,848
34,406
34,032
Treasury Stock Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Total Equity Premium Member Only
Premium Member Only
37,988
36,776
33,535
31,448
29,012
32,426
31,448
31,501
29,011
29,012
Equity-to-Asset Premium Member Only
Premium Member Only
0.55
0.57
0.42
0.40
0.41
0.41
0.40
0.41
0.43
0.41
   
Cashflow Statement Annuals (USD $)View: Quarterly
Fiscal Period
Premium Member OnlyOct12 Oct13 Oct14 Oct15 Oct16 TTM Jul16 Oct16 Jan17 Apr17 Jul17
   
  Net Income Premium Member Only
Premium Member Only
2,051
1,648
2,461
3,161
122
2,272
302
267
-612
165
  Net Foreign Currency Exchange Gain Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Net Income From Continuing Operations Premium Member Only
Premium Member Only
2,051
1,648
2,461
3,161
122
2,272
302
267
-612
165
Depreciation, Depletion and Amortization Premium Member Only
Premium Member Only
4,396
4,144
3,947
3,775
3,241
954
872
840
792
737
  Change In Receivables Premium Member Only
Premium Member Only
1,058
1,414
-384
690
77
579
-46
592
-171
-298
  Change In Inventory Premium Member Only
Premium Member Only
-251
69
-424
34
-310
189
31
-132
-78
-131
  Change In Prepaid Assets Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
  Change In Payables And Accrued Expense Premium Member Only
Premium Member Only
1,004
1,015
1,824
1,681
1,633
857
1,583
-253
-4
307
Change In Working Capital Premium Member Only
Premium Member Only
617
-647
-2,227
-490
-2,599
981
961
-2,848
-694
-18
Change In DeferredTax Premium Member Only
Premium Member Only
-248
-304
-2,522
-1,345
-188
-981
-333
-125
631
-361
Stock Based Compensation Premium Member Only
Premium Member Only
374
427
565
558
475
129
126
145
107
97
Cash Flow from Discontinued Operations Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Cash Flow from Others Premium Member Only
Premium Member Only
1,549
1,643
1,437
-701
1,224
-1,641
284
257
412
271
Cash Flow from Operations Premium Member Only
Premium Member Only
8,739
6,911
3,661
4,958
2,275
1,714
2,212
-1,464
636
891
   
Purchase Of Property, Plant, Equipment Premium Member Only
Premium Member Only
-2,497
-3,620
-3,344
-3,280
-3,273
-860
-868
-923
-758
-724
Sale Of Property, Plant, Equipment Premium Member Only
Premium Member Only
370
606
380
450
536
117
133
84
58
261
Purchase Of Business Premium Member Only
Premium Member Only
-167
-49
-2,644
-22
-2,059
-9
--
-292
-1,758
--
Sale Of Business Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Purchase Of Investment Premium Member Only
Premium Member Only
-938
-940
-243
-656
-147
-199
-116
-7
-19
-5
Sale Of Investment Premium Member Only
Premium Member Only
1,005
1,023
298
585
100
229
86
1
1
12
Net Intangibles Purchase And Sale Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Cash From Discontinued Investing Activities Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Cash From Other Investing Activities Premium Member Only
Premium Member Only
--
6
140
3,342
199
2,473
554
-20
-177
-158
Cash Flow from Investing Premium Member Only
Premium Member Only
-2,227
-2,974
-5,413
419
-4,635
1,751
-211
-1,157
-2,653
-614
   
Issuance of Stock Premium Member Only
Premium Member Only
--
--
--
119
406
61
40
158
107
101
Repurchase of Stock Premium Member Only
Premium Member Only
--
--
--
-2,662
-1,936
-1,450
--
-641
-670
-625
Net Issuance of Preferred Stock Premium Member Only
Premium Member Only
--
--
--
--
--
--
--
--
--
--
Net Issuance of Debt Premium Member Only
Premium Member Only
-1,238
-265
14,296
170
1,081
-17
7
10
-1,543
2,607
Cash Flow for Dividends Premium Member Only
Premium Member Only
--
-37
-32
-373
-415
-91
-92
-109
-107
-107
Other Financing Premium Member Only
Premium Member Only
-5,226
-3,498
-4,989
514
-39
5
11
74
2,473
-2,597
Cash Flow from Financing Premium Member Only
Premium Member Only
-6,464
-3,800
9,275
-2,232
-903
-1,492
-34
-508
260
-621
   
Net Change in Cash Premium Member Only
Premium Member Only
48
137
7,523
3,145
-3,263
1,973
1,967
-3,129
-1,757
-344
Capital Expenditure Premium Member Only
Premium Member Only
-2,497
-3,620
-3,344
-3,280
-3,273
-860
-868
-923
-758
-724
Free Cash Flow Premium Member Only
Premium Member Only
6,242
3,291
317
1,678
-998
854
1,344
-2,387
-122
167
   
Valuation Ratios AnnualsView: Quarterly
Fiscal Period
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Change log: For latest financial page display change, please click GuruFocus 30-Y Financials Page Item Changes. Jan. 4, 2017: Add 'Dividend Yield %' under 'Shiller PE Ratio' in 'Valuation Ratios' section. Sep. 26, 2016: Add 'Scaled Net Operating Assets' under 'Beneish M-Score' in 'Valuation and Quality' section. Aug. 10, 2016: Change 'LT Debt to Total Asset' to 'Total Debt to Total Asset'. Jul. 29, 2016: Add 'Effective Interest Rate on Debt %' below 'Weighted Average Cost Of Capital (WACC) %'. Jul. 18, 2016: Change 'Long-Term Debt' name to 'Long-Term Debt & Capital Lease Obligation'. Add 'Long-Term Debt' above 'Long-Term Debt & Capital Lease Obligation'. Move 'Capital Lease Obligation' in between 'Long-Term Debt' and 'Long-Term Debt & Capital Lease Obligation'. May. 19, 2016: Change 'Gross Margin %' to 'Net Interest Margin (Bank Only) %' for banks and insuance companies. May. 13, 2016: Add 'Current Ratio' below 'Sloan Ratio'. Add 'Quick Ratio' below 'Current Ratio'. Add 'Gross Profit to Total Asset' below 'LT Debt to Total Asset'. Apr. 15, 2016: Add 'Owner Earnings per Share (ttm)' below 'eps without NRI'. Add 'Price to Owner Earnings (ttm)' below 'PE Ratio (ttm)'. Feb 12, 2016: Change 'Filing Date' name to 'Restated Filing Date'. Add new 'Filing Date' above 'Restated Filing Date'. Remove 'Cumulative Effect Of Accounting Change' from Cashflow Statement (under Net Income). Jan 28, 2016: Add 'Total Debt per share' below 'Tangible Book per share'. Jan 20, 2016: Add 'Price-to-Operating-Cash-Flow ratio' below 'Price-to-Free-Cash-Flow ratio'. Jan 18, 2016: Add 'Net-Net Working Capital (per share)' below 'Net Current Asset Value (per share)'.

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