Amazon.com, Inc.: Difference between revisions
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==== Most recent quarter ==== | ==== Most recent quarter ==== | ||
During the three month period ending on 31st March 2023 Amazon Inc achieved revenues of $127.36 billion, showing a 14,64% decrease to the last quarter of 2022. Despite that, it achieved a net income of $3.17 billion, marking an impressive increase to the previous quarter, when a $278 million net income was reported. A significant cut to operating expenses was observed, that resulted to the operating margin increasing from 1.83% to 3.75%. | |||
==== Most recent year ==== | ==== Most recent year ==== | ||
In the end of the fiscal year of 2022 Amazon, Inc reported a loss of $5.94 billion. The revenue and total assets experienced an slight increase compared to 2021, interrupting the exponential increase trend observed in the previous years. | |||
==== All periods ==== | ==== All periods ==== |
Revision as of 04:27, 6 July 2023
Summary
Amazon.com, Inc. engages in the retail sale of consumer products and subscriptions in North America and internationally. The company operates through three segments: North America, International, and Amazon Web Services (AWS). It sells merchandise and content purchased for resale from third-party sellers through physical and online stores. The company also manufactures and sells electronic devices, including Kindle, Fire tablets, Fire TVs, Rings, and Echo and other devices; provides Kindle Direct Publishing, an online service that allows independent authors and publishers to make their books available in the Kindle Store; and develops and produces media content. In addition, it offers programs that enable sellers to sell their products on its websites, as well as its stores; and programs that allow authors, musicians, filmmakers, Twitch streamers, skill and app developers, and others to publish and sell content. Further, the company provides compute, storage, database, analytics, machine learning, and other services, as well as fulfillment, advertising, publishing, and digital content subscriptions. Additionally, it offers Amazon Prime, a membership program, which provides free shipping of various items; access to streaming of movies and series; and other services. The company serves consumers, sellers, developers, enterprises, and content creators. Amazon.com, Inc. was incorporated in 1994 and is headquartered in Seattle, Washington.
Financials
Historic
Most recent quarter
During the three month period ending on 31st March 2023 Amazon Inc achieved revenues of $127.36 billion, showing a 14,64% decrease to the last quarter of 2022. Despite that, it achieved a net income of $3.17 billion, marking an impressive increase to the previous quarter, when a $278 million net income was reported. A significant cut to operating expenses was observed, that resulted to the operating margin increasing from 1.83% to 3.75%.
Most recent year
In the end of the fiscal year of 2022 Amazon, Inc reported a loss of $5.94 billion. The revenue and total assets experienced an slight increase compared to 2021, interrupting the exponential increase trend observed in the previous years.
All periods
Year | Year end date | Income Statement | Balance Sheet | Employees | |
---|---|---|---|---|---|
Revenues($million) | Net profits ($million) | Total Assets($million) | |||
1 | 31/12/1997 | $148 | -$31 | $149 | 614 |
2 | 31/12/1998 | $610 | -$125 | $648 | 2,100 |
3 | 31/12/1999 | $1,640 | -$720 | $2,466 | 7,600 |
4 | 31/12/2000 | $2,762 | -$1,411 | $2,135 | 9,000 |
5 | 31/12/2001 | $3,122 | -$567 | $1,638 | 7,800 |
6 | 31/12/2002 | $3,933 | -$149 | $1,990 | 7,500 |
7 | 31/12/2003 | $5,264 | $35 | $2,162 | 7,800 |
8 | 31/12/2004 | $6,921 | $588 | $3,248 | 9,000 |
9 | 31/12/2005 | $8,490 | $359 | $3,696 | 12,000 |
10 | 31/12/2006 | $10,711 | $190 | $4,363 | 13,900 |
11 | 31/12/2007 | $14,835 | $476 | $6,485 | 17,000 |
12 | 31/12/2008 | $19,166 | $645 | $8,314 | 20,700 |
13 | 31/12/2009 | $24,509 | $902 | $13,813 | 24,300 |
14 | 31/12/2010 | $34,204 | $1,152 | $18,797 | 33,700 |
15 | 31/12/2011 | $48,077 | $631 | $25,278 | 56,200 |
16 | 31/12/2012 | $61,093 | -$39 | $32,555 | 88,400 |
17 | 31/12/2013 | $74,452 | $274 | $40,159 | 117,300 |
18 | 31/12/2014 | $88,988 | -$241 | $54,505 | 154,100 |
19 | 31/12/2015 | $107,006 | $596 | $65,444 | 230,800 |
20 | 31/12/2016 | $135,987 | $2,371 | $83,402 | 341,400 |
21 | 31/12/2017 | $177,866 | $3,033 | $131,310 | 566,000 |
22 | 31/12/2018 | $232,887 | $11,261 | $162,648 | 647,500 |
23 | 31/12/2019 | $280,522 | $13,976 | $225,248 | 822,500 |
24 | 31/12/2020 | $386,064 | $24,178 | $321,195 | 1,298,000 |
25 | 31/12/2021 | $469,822 | $38,151 | $420,549 | 1,608,000 |
26 | 31/12/2022 | $513,983 | -$5,936 | $462,675 | 1,541,000 |
Appendix
Financial Statements
Year end date | 31/12/2022 | 31/12/2021 | 31/12/2020 | 31/12/2019 | 31/12/2018 |
---|---|---|---|---|---|
Current Assets | |||||
Cash and Cash Equivalents ($million) | $53,888 | $36,220 | $42,122 | $36,092 | $31,750 |
Marketable securities ($million) | $16,138 | $59,829 | $42,274 | $18,929 | $9,500 |
Inventory ($million) | $34,405 | $32,640 | $23,795 | $20,497 | $17,174 |
Net Receivables ($million) | $42,360 | $32,891 | $24,542 | $20,816 | $16,677 |
Total Current Assets ($million) | $146,791 | $161,580 | $132,733 | $96,334 | $75,101 |
Long-Term Assets | |||||
Net Property and equipment ($million) | $186,715 | $160,281 | $113,114 | $72,705 | $61,797 |
Operating leases ($million) | $66,123 | $56,082 | $37,553 | $25,141 | -- |
Goodwill ($million) | $20,288 | $15,371 | $15,017 | $14,754 | $14,548 |
Other Assets ($million) | $42,758 | $27,235 | $22,778 | $16,314 | $11,202 |
Total Assets ($million) | $462,675 | $420,549 | $321,195 | $225,248 | $162,648 |
Current Liabilities | |||||
Accounts Payable ($million) | $79,600 | $78,664 | $72,529 | $47,183 | $38,192 |
Accrued expenses and other ($million) | $62,566 | $51,775 | $44,138 | $32,439 | $23,663 |
Unearned revenue ($million) | $13,227 | $11,827 | $9,708 | $8,190 | $6,536 |
Total Current Liabilities ($million) | $155,393 | $142,266 | $126,385 | $87,812 | $68,391 |
Long-Term lease liabilities ($million) | $72,968 | $67,651 | $52,573 | $39,791 | $9,650 |
Long-Term Debt ($million) | $67,150 | $48,744 | $31,816 | $23,414 | $23,495 |
Other Liabilities ($million) | $21,121 | $23,643 | $17,017 | $12,171 | $17,563 |
Total Liabilities ($million) | $316,632 | $282,304 | $227,791 | $163,188 | $119,099 |
Stock Holders Equity | |||||
Common Stocks ($million) | $108 | $106 | $5 | $5 | $5 |
Capital Surplus ($million) | $75,066 | $55,437 | $42,865 | $33,658 | $26,791 |
Retained Earnings | $83,193 | $85,915 | $52,551 | $31,220 | $19,625 |
Treasury Stock ($million) | -$7,837 | -$1,837 | -$1,837 | -$1,837 | -$1,837 |
Other Equity ($million) | -$4,487 | -$1,376 | -$180 | -$986 | -$1,035 |
Total Equity ($million) | $146,043 | $138,245 | $93,404 | $62,060 | $43,549 |
Total Liabilities & Equity ($million) | $462,675 | $420,549 | $321,195 | $225,248 | $162,648 |
Year end date | 31/12/2022 | 31/12/2021 | 31/12/2020 | 31/12/2019 | 31/12/2018 |
---|---|---|---|---|---|
Net Income ($million) | -$2,722 | $33,364 | $21,331 | $11,588 | $10,073 |
Cash Flows-Operating Activities | |||||
Depreciation ($million) | $41,921 | $34,433 | $25,180 | $21,789 | $15,341 |
Net Income Adjustments ($million) | $28,439 | -$1,859 | $6,072 | $7,575 | $6,352 |
Changes in Operating Activities | |||||
Changes in Inventories ($million) | -$2,592 | -$9,487 | -$2,849 | -$3,278 | -$1,314 |
Accounts Receivable ($million) | -$21,897 | -$18,163 | -$8,169 | -$7,681 | -$4,615 |
Accounts Payable ($million) | $2,945 | $3,602 | $17,480 | $8,193 | $3,263 |
Other Operating Activities ($million) | $658 | $4,437 | $7,019 | $328 | $1,623 |
Net Cash Flow-Operating ($million) | $46,752 | $46,327 | $66,064 | $38,514 | $30,723 |
Cash Flows-Investing Activities | |||||
Capital Expenditures ($million) | -$58,321 | -$55,396 | -$35,044 | -$12,689 | -$11,323 |
Investments ($million) | -$2,565 | -$60,157 | -$72,479 | -$31,812 | -$7,100 |
Other Investing Activities ($million) | $23,285 | $57,399 | $47,912 | $20,220 | $6,054 |
Net Cash Flows-Investing ($million) | -$37,601 | -$58,154 | -$59,611 | -$24,281 | -$12,369 |
Cash Flows-Financing Activities | |||||
Proceeds from short-term debt ($million) | $41,553 | $7,956 | $6,796 | $1,402 | $886 |
Repayments of short-term debt ($million) | -$37,554 | -$7,753 | -$6,177 | -$1,518 | -$813 |
Proceeds from long-term debt ($million) | $21,166 | $19,003 | $10,525 | $871 | $182 |
Repayments of long-term debt ($million) | -$1,258 | -$1,590 | -$1,553 | -$1,166 | -$155 |
Other financing activities ($million) | -$8,189 | -$11,325 | -$10,695 | -$9,655 | -$7,786 |
Net Cash Flows-Financing ($million) | $9,718 | $6,291 | -$1,104 | -$10,066 | -$7,686 |
Effect of Exchange Rate ($million) | -$351 | $70 | $618 | -$364 | -$1,093 |
Net Cash Flow ($million) | $17,776 | -$5,900 | $5,967 | $4,237 | $10,317 |
Year end date | 31/12/2022 | 31/12/2021 | 31/12/2020 | 31/12/2019 | 31/12/2018 |
---|---|---|---|---|---|
Total Revenue ($million) | $513,983 | $469,822 | $386,064 | $280,522 | $232,887 |
Cost of Revenue ($million) | $288,831 | $272,344 | $233,307 | $165,536 | $139,156 |
Gross Profit ($million) | $225,152 | $197,478 | $152,757 | $114,986 | $93,731 |
Operating Expenses | |||||
Fulfillment ($million) | $84,299 | $75,111 | $58,517 | $40,232 | $34,027 |
Technology and content ($million) | $73,213 | $56,052 | $42,740 | $35,931 | $28,837 |
Sales, General and admin. ($million) | $54,129 | $41,372 | $28,676 | $24,081 | $18,150 |
Other Operating Items ($million) | $1,263 | $62 | -$75 | $201 | $296 |
Operating Income | $12,248 | $24,879 | $22,899 | $14,541 | $12,421 |
Interest income and other | -$15817 | $15081 | $2926 | $1035 | $257 |
Earnings Before Interest and Tax | -$3,569 | $39,960 | $25,825 | $15,576 | $12,678 |
Interest Expense | -$2,367 | -$1,809 | -$1,647 | -$1,600 | -$1,417 |
Earnings Before Tax | -$5,936 | $38,151 | $24,178 | $13,976 | $11,261 |
Net Income Tax | $3,214 | -$4,787 | -$2,847 | -$2,388 | -$1,188 |
Net Income | -$2,722 | $33,364 | $21,331 | $11,588 | $10,073 |
Net Income Applicable to Common Shareholders | -$2,722 | $33,364 | $21,331 | $11,588 | $10,073 |
Year end date | 31/12/2022 | 31/12/2021 | 31/12/2020 | 31/12/2019 | 31/12/2018 |
---|---|---|---|---|---|
Liquidity Ratios | |||||
Current Ratio | 94% | 114% | 105% | 110% | 110% |
Quick Ratio | 72% | 91% | 86% | 86% | 85% |
Cash Ratio | 35% | 25% | 33% | 41% | 46% |
Profitability Ratios | |||||
Gross Margin | 44% | 42% | 40% | 41% | 40% |
Operating Margin | 2% | 5% | 6% | 5% | 5% |
Pre-Tax Margin | -1% | 8% | 6% | 5% | 5% |
Profit Margin | -1% | 7% | 6% | 4% | 4% |
Pre-Tax ROE | -4% | 28% | 26% | 23% | 26% |
After Tax ROE | -2% | 24% | 23% | 19% | 23% |