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Apple Inc. · Cupertino, CA United States (NASDAQ: AAPL)

Key Apple Inc. Financials

Company TypePublic -(NASDAQ: AAPL)
Headquarters
Fiscal Year-EndSeptember
2011 Sales (mil.)$108,249.0
2011 Employees63,300
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Apple Inc. Income Statement

Sep 11Sep 10Sep 09
Revenue 108,249.065,225.042,905.0
Cost of Goods Sold64,431.039,541.025,683.0
Gross Profit 43,818.025,684.017,222.0
Gross Profit Margin40.5%39.4%40.1%
SG&A Expense7,599.05,517.04,149.0
Depreciation & Amortization1,814.01,027.0 734.0
Operating Income33,790.018,385.011,740.0
Operating Margin31.2%28.2%27.4%
Nonoperating Income(104.0)(156.0)(81.0)
Nonoperating Expenses 519.0 311.0 407.0
Income Before Taxes34,205.018,540.012,066.0
Income Taxes8,283.04,527.03,831.0
Net Income After Taxes25,922.014,013.08,235.0
Continuing Operations25,922.014,013.08,235.0
Discontinued Operations------
Total Operations25,922.014,013.08,235.0
Total Net Income25,922.014,013.08,235.0
Net Profit Margin23.9%21.5%19.2%
Diluted EPS from Total Net Income 27.68 15.15 9.08
Dividends per Share0.00.00.0
All amounts in millions of US Dollars except per share amounts.

Apple Inc. Balance Sheet

AssetsSep 11Sep 10Sep 09
Current Assets
Cash9,815.011,261.05,263.0
Net Receivables11,717.09,924.05,057.0
Inventories 776.01,051.0 455.0
Other Current Assets22,680.019,442.020,780.0
Total Current Assets44,988.041,678.031,555.0
Net Fixed Assets7,777.04,768.02,954.0
Other Noncurrent Assets63,606.028,737.012,992.0
Total Assets116,371.075,183.047,501.0
LiabilitiesSep 11Sep 10Sep 09
Current Liabilities
Accounts Payable14,632.012,015.05,601.0
Short-Term Debt------
Other Current Liabilities13,338.08,707.05,905.0
Total Current Liabilities27,970.020,722.011,506.0
Long-Term Debt------
Other Noncurrent Liabilities11,786.06,670.04,355.0
Total Liabilities39,756.027,392.015,861.0
Shareholder's Equity
Preferred Stock Equity------
Common Stock Equity76,615.047,791.031,640.0
Total Equity76,615.047,791.031,640.0
Shares Outstanding (thou.)929,277.0915,970.1899,805.5
All amounts in millions of US Dollars except per share amounts.

Apple Inc. Cash Flow Statement

Sep 11Sep 10Sep 09
Net Operating Cash Flow37,52918,59510,159
Net Investing Cash Flow(40,419.0)(13,854.0)(17,434.0)
Net Financing Cash Flow1,444.01,257.0 663.0
Net Change in Cash(1,446.0)5,998.0(6,612.0)
Depreciation & Amortization1,814.01,027.0 734.0
Capital Expenditures(7,452.0)(2,121.0)(1,213.0)
Cash Dividends Paid
All amounts in millions of US Dollars except per share amounts.