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tatqa0 | Please answer the given financial question based on the context.
Context: |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contra... | our allowable incurred costs plus a profit which can be fixed or variable depending on the contract’s fee arrangement up to predetermined funding levels determined by the customer | What is the company paid on a cost-plus type contract? | What is the company paid on a cost-plus type contract? | Please answer the given financial question based on the context.
| |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contracts. Sales included in Other contract types represent cost plus and time ... | Welche Vergütung erhält das Unternehmen bei einem Cost-Plus-Vertrag? | |||Jahre bis 30. September||
||2019|2018|2017|
|Festpreis|$ 1.452,4|$ 1.146,2|$ 1.036,9|
|Sonstige|44,1|56,7|70,8|
|Gesamtumsatz|1.496,5 $|1.202,9 $|1.107,7 $|
Verkäufe nach Vertragstyp: Im Wesentlichen alle unsere Verträge sind Festpreisverträge. Die in „Andere Vertragsarten“ enthaltenen Umsätze stellen Verträge mit K... | unsere zulässigen angefallenen Kosten zuzüglich eines Gewinns, der je nach vertraglicher Gebührenvereinbarung fest oder variabel sein kann, bis zu einer vom Kunden festgelegten vorab festgelegten Finanzierungshöhe |
tatqa1 | Please answer the given financial question based on the context.
Context: |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contra... | $1,496.5 | What is the amount of total sales in 2019? | What is the amount of total sales in 2019? | Please answer the given financial question based on the context.
| |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contracts. Sales included in Other contract types represent cost plus and time ... | Wie hoch war der Gesamtumsatz im Jahr 2019? | |||Jahre bis 30. September||
||2019|2018|2017|
|Festpreis|$ 1.452,4|$ 1.146,2|$ 1.036,9|
|Sonstige|44,1|56,7|70,8|
|Gesamtumsatz|1.496,5 $|1.202,9 $|1.107,7 $|
Verkäufe nach Vertragstyp: Im Wesentlichen alle unsere Verträge sind Festpreisverträge. Die in „Andere Vertragsarten“ enthaltenen Umsätze stellen Verträge mit K... | 1.496,5 $ |
tatqa2 | Please answer the given financial question based on the context.
Context: |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contra... | fixed-price type
cost-plus type
time-and-material type | What are the contract types? | What are the contract types? | Please answer the given financial question based on the context.
| |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contracts. Sales included in Other contract types represent cost plus and time ... | Welche Vertragsarten gibt es? | |||Jahre bis 30. September||
||2019|2018|2017|
|Festpreis|$ 1.452,4|$ 1.146,2|$ 1.036,9|
|Sonstige|44,1|56,7|70,8|
|Gesamtumsatz|1.496,5 $|1.202,9 $|1.107,7 $|
Verkäufe nach Vertragstyp: Im Wesentlichen alle unsere Verträge sind Festpreisverträge. Die in „Andere Vertragsarten“ enthaltenen Umsätze stellen Verträge mit K... | Festpreisart
Kosten-Plus-Typ
Zeit- und Materialtyp |
tatqa3 | Please answer the given financial question based on the context.
Context: |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contra... | 2019 | In which year is the amount of total sales the largest? | In which year is the amount of total sales the largest? | Please answer the given financial question based on the context.
| |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contracts. Sales included in Other contract types represent cost plus and time ... | In welchem Jahr ist der Gesamtumsatz am größten? | |||Jahre bis 30. September||
||2019|2018|2017|
|Festpreis|$ 1.452,4|$ 1.146,2|$ 1.036,9|
|Sonstige|44,1|56,7|70,8|
|Gesamtumsatz|1.496,5 $|1.202,9 $|1.107,7 $|
Verkäufe nach Vertragstyp: Im Wesentlichen alle unsere Verträge sind Festpreisverträge. Die in „Andere Vertragsarten“ enthaltenen Umsätze stellen Verträge mit K... | 2019 |
tatqa4 | Please answer the given financial question based on the context.
Context: |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contra... | -12.6 | What is the change in Other in 2019 from 2018? | What is the change in Other in 2019 from 2018? | Please answer the given financial question based on the context.
| |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contracts. Sales included in Other contract types represent cost plus and time ... | Was ist die Veränderung bei „Sonstige“ im Jahr 2019 gegenüber 2018? | |||Jahre bis 30. September||
||2019|2018|2017|
|Festpreis|$ 1.452,4|$ 1.146,2|$ 1.036,9|
|Sonstige|44,1|56,7|70,8|
|Gesamtumsatz|1.496,5 $|1.202,9 $|1.107,7 $|
Verkäufe nach Vertragstyp: Im Wesentlichen alle unsere Verträge sind Festpreisverträge. Die in „Andere Vertragsarten“ enthaltenen Umsätze stellen Verträge mit K... | -12.6 |
tatqa5 | Please answer the given financial question based on the context.
Context: |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contra... | -22.22 | What is the percentage change in Other in 2019 from 2018? | What is the percentage change in Other in 2019 from 2018? | Please answer the given financial question based on the context.
| |||Years Ended September 30,||
||2019|2018|2017|
|Fixed Price|$ 1,452.4|$ 1,146.2|$ 1,036.9|
|Other|44.1|56.7|70.8|
|Total sales|$1,496.5|$1,202.9|$1,107.7|
Sales by Contract Type: Substantially all of our contracts are fixed-price type contracts. Sales included in Other contract types represent cost plus and time ... | Wie hoch ist die prozentuale Veränderung bei „Sonstige“ im Jahr 2019 gegenüber 2018? | |||Jahre bis 30. September||
||2019|2018|2017|
|Festpreis|$ 1.452,4|$ 1.146,2|$ 1.036,9|
|Sonstige|44,1|56,7|70,8|
|Gesamtumsatz|1.496,5 $|1.202,9 $|1.107,7 $|
Verkäufe nach Vertragstyp: Im Wesentlichen alle unsere Verträge sind Festpreisverträge. Die in „Andere Vertragsarten“ enthaltenen Umsätze stellen Verträge mit K... | -22.22 |
tatqa6 | Please answer the given financial question based on the context.
Context: |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial... | consistently with our internal management reporting and may be revised periodically as management deems necessary. | How is industry end market information presented? | How is industry end market information presented? | Please answer the given financial question based on the context.
| |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial Solutions:||||
|Industrial equipment|1,949|1,987|1,747|
|Aerospace, defe... | Wie werden Informationen zum Branchenendmarkt präsentiert? | |||Fiskal||
||2019|2018|2017|
|||(in Millionen)||
|Transportlösungen:||||
|Automobilindustrie|$ 5.686|$ 6.092|$ 5.228|
|Gewerblicher Transport|1.221|1.280|997|
|Sensoren|914|918|814|
|Gesamttransportlösungen|7.821|8.290|7.039|
|Industrielle Lösungen:||||
|Industrieausrüstung|1.949|1.987|1.747|
|Luft- und Raumfahrt, Ver... | Sie stehen im Einklang mit unserer internen Managementberichterstattung und können regelmäßig überarbeitet werden, wenn das Management dies für erforderlich hält. |
tatqa7 | Please answer the given financial question based on the context.
Context: |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial... | 2019
2018
2017 | In which years was for the net sales by segment and industry end market calculated? | In which years was for the net sales by segment and industry end market calculated? | Please answer the given financial question based on the context.
| |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial Solutions:||||
|Industrial equipment|1,949|1,987|1,747|
|Aerospace, defe... | In welchen Jahren wurde der Nettoumsatz nach Segment und Branche für den Endmarkt berechnet? | |||Fiskal||
||2019|2018|2017|
|||(in Millionen)||
|Transportlösungen:||||
|Automobilindustrie|$ 5.686|$ 6.092|$ 5.228|
|Gewerblicher Transport|1.221|1.280|997|
|Sensoren|914|918|814|
|Gesamttransportlösungen|7.821|8.290|7.039|
|Industrielle Lösungen:||||
|Industrieausrüstung|1.949|1.987|1.747|
|Luft- und Raumfahrt, Ver... | 2019
2018
2017 |
tatqa8 | Please answer the given financial question based on the context.
Context: |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial... | Transportation Solutions
Industrial Solutions
Communications Solutions | What are the types of Solutions segments in the table? | What are the types of Solutions segments in the table? | Please answer the given financial question based on the context.
| |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial Solutions:||||
|Industrial equipment|1,949|1,987|1,747|
|Aerospace, defe... | Welche Arten von Lösungssegmenten gibt es in der Tabelle? | |||Fiskal||
||2019|2018|2017|
|||(in Millionen)||
|Transportlösungen:||||
|Automobilindustrie|$ 5.686|$ 6.092|$ 5.228|
|Gewerblicher Transport|1.221|1.280|997|
|Sensoren|914|918|814|
|Gesamttransportlösungen|7.821|8.290|7.039|
|Industrielle Lösungen:||||
|Industrieausrüstung|1.949|1.987|1.747|
|Luft- und Raumfahrt, Ver... | Transportlösungen
Industrielle Lösungen
Kommunikationslösungen |
tatqa9 | Please answer the given financial question based on the context.
Context: |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial... | 2018 | In which year was the amount for Sensors the largest? | In which year was the amount for Sensors the largest? | Please answer the given financial question based on the context.
| |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial Solutions:||||
|Industrial equipment|1,949|1,987|1,747|
|Aerospace, defe... | In welchem Jahr war der Betrag für Sensoren am größten? | |||Fiskal||
||2019|2018|2017|
|||(in Millionen)||
|Transportlösungen:||||
|Automobilindustrie|$ 5.686|$ 6.092|$ 5.228|
|Gewerblicher Transport|1.221|1.280|997|
|Sensoren|914|918|814|
|Gesamttransportlösungen|7.821|8.290|7.039|
|Industrielle Lösungen:||||
|Industrieausrüstung|1.949|1.987|1.747|
|Luft- und Raumfahrt, Ver... | 2018 |
tatqa10 | Please answer the given financial question based on the context.
Context: |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial... | -94 | What was the change in the amount for Appliances in 2019 from 2018? | What was the change in the amount for Appliances in 2019 from 2018? | Please answer the given financial question based on the context.
| |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial Solutions:||||
|Industrial equipment|1,949|1,987|1,747|
|Aerospace, defe... | Wie hat sich der Betrag für Haushaltsgeräte im Jahr 2019 gegenüber 2018 verändert? | |||Fiskal||
||2019|2018|2017|
|||(in Millionen)||
|Transportlösungen:||||
|Automobilindustrie|$ 5.686|$ 6.092|$ 5.228|
|Gewerblicher Transport|1.221|1.280|997|
|Sensoren|914|918|814|
|Gesamttransportlösungen|7.821|8.290|7.039|
|Industrielle Lösungen:||||
|Industrieausrüstung|1.949|1.987|1.747|
|Luft- und Raumfahrt, Ver... | -94 |
tatqa11 | Please answer the given financial question based on the context.
Context: |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial... | -12.14 | What was the percentage change in the amount for Appliances in 2019 from 2018? | What was the percentage change in the amount for Appliances in 2019 from 2018? | Please answer the given financial question based on the context.
| |||Fiscal||
||2019|2018|2017|
|||(in millions)||
|Transportation Solutions:||||
|Automotive|$ 5,686|$ 6,092|$ 5,228|
|Commercial transportation|1,221|1,280|997|
|Sensors|914|918|814|
|Total Transportation Solutions|7,821|8,290|7,039|
|Industrial Solutions:||||
|Industrial equipment|1,949|1,987|1,747|
|Aerospace, defe... | Wie hoch war die prozentuale Veränderung des Betrags für Haushaltsgeräte im Jahr 2019 gegenüber 2018? | |||Fiskal||
||2019|2018|2017|
|||(in Millionen)||
|Transportlösungen:||||
|Automobilindustrie|$ 5.686|$ 6.092|$ 5.228|
|Gewerblicher Transport|1.221|1.280|997|
|Sensoren|914|918|814|
|Gesamttransportlösungen|7.821|8.290|7.039|
|Industrielle Lösungen:||||
|Industrieausrüstung|1.949|1.987|1.747|
|Luft- und Raumfahrt, Ver... | -12.14 |
tatqa12 | Please answer the given financial question based on the context.
Context: ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides ... | By comparison against the FTSE pension liability index for AA rated corporate instruments | How is the discount rate for domestic plans determined? | How is the discount rate for domestic plans determined? | Please answer the given financial question based on the context.
| ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides the weighted average actuarial assumptions used to determine net periodic... | Wie wird der Diskontsatz für Inlandstarife ermittelt? | ||Inland||International||
||30. September||30. September||
||2019|2018|2019|2018|
|Rabattsatz|4,00 %|3,75 %|1,90 %|2,80 %|
|Erwartete Rendite des Planvermögens|||3,40 %|3,70 %|
|Vergütungserhöhungssatz|||- - %|- - %|
Die folgende Tabelle zeigt die gewichteten durchschnittlichen versicherungsmathematischen Annahmen, die... | Im Vergleich zum FTSE Pension Liability Index für mit AA bewertete Unternehmensinstrumente |
tatqa13 | Please answer the given financial question based on the context.
Context: ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides ... | By comparison against country specific AA corporate indices, adjusted for duration of the obligation. | How is the discount rate for international plans determined? | How is the discount rate for international plans determined? | Please answer the given financial question based on the context.
| ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides the weighted average actuarial assumptions used to determine net periodic... | Wie wird der Rabattsatz für internationale Tarife ermittelt? | ||Inland||International||
||30. September||30. September||
||2019|2018|2019|2018|
|Rabattsatz|4,00 %|3,75 %|1,90 %|2,80 %|
|Erwartete Rendite des Planvermögens|||3,40 %|3,70 %|
|Vergütungserhöhungssatz|||- - %|- - %|
Die folgende Tabelle zeigt die gewichteten durchschnittlichen versicherungsmathematischen Annahmen, die... | Durch Vergleich mit länderspezifischen AA-Unternehmensindizes, angepasst an die Laufzeit der Verpflichtung. |
tatqa14 | Please answer the given financial question based on the context.
Context: ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides ... | Annual basis | How often does the company review the actuarial assumptions which the periodic benefit cost and the actuarial present value of projected benefit obligations are based on? | How often does the company review the actuarial assumptions which the periodic benefit cost and the actuarial present value of projected benefit obligations are based on? | Please answer the given financial question based on the context.
| ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides the weighted average actuarial assumptions used to determine net periodic... | Wie oft überprüft das Unternehmen die versicherungsmathematischen Annahmen, auf denen die periodischen Leistungskosten und der versicherungsmathematische Barwert der geplanten Leistungsverpflichtungen basieren? | ||Inland||International||
||30. September||30. September||
||2019|2018|2019|2018|
|Rabattsatz|4,00 %|3,75 %|1,90 %|2,80 %|
|Erwartete Rendite des Planvermögens|||3,40 %|3,70 %|
|Vergütungserhöhungssatz|||- - %|- - %|
Die folgende Tabelle zeigt die gewichteten durchschnittlichen versicherungsmathematischen Annahmen, die... | Jährliche Basis |
tatqa15 | Please answer the given financial question based on the context.
Context: ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides ... | 2.1 | What is the difference between the domestic and international discount rates as at September 30, 2019? | What is the difference between the domestic and international discount rates as at September 30, 2019? | Please answer the given financial question based on the context.
| ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides the weighted average actuarial assumptions used to determine net periodic... | Was ist der Unterschied zwischen den inländischen und internationalen Diskontsätzen zum 30. September 2019? | ||Inland||International||
||30. September||30. September||
||2019|2018|2019|2018|
|Rabattsatz|4,00 %|3,75 %|1,90 %|2,80 %|
|Erwartete Rendite des Planvermögens|||3,40 %|3,70 %|
|Vergütungserhöhungssatz|||- - %|- - %|
Die folgende Tabelle zeigt die gewichteten durchschnittlichen versicherungsmathematischen Annahmen, die... | 2.1 |
tatqa16 | Please answer the given financial question based on the context.
Context: ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides ... | 6.67 | What is the year on year percentage change in domestic discount rate between 2018 and 2019? | What is the year on year percentage change in domestic discount rate between 2018 and 2019? | Please answer the given financial question based on the context.
| ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides the weighted average actuarial assumptions used to determine net periodic... | Wie groß ist die prozentuale Veränderung des inländischen Abzinsungssatzes im Jahresvergleich zwischen 2018 und 2019? | ||Inland||International||
||30. September||30. September||
||2019|2018|2019|2018|
|Rabattsatz|4,00 %|3,75 %|1,90 %|2,80 %|
|Erwartete Rendite des Planvermögens|||3,40 %|3,70 %|
|Vergütungserhöhungssatz|||- - %|- - %|
Die folgende Tabelle zeigt die gewichteten durchschnittlichen versicherungsmathematischen Annahmen, die... | 6,67 |
tatqa17 | Please answer the given financial question based on the context.
Context: ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides ... | -8.11 | What is the year on year percentage change in international expected return on plan assets between 2018 and 2019? | What is the year on year percentage change in international expected return on plan assets between 2018 and 2019? | Please answer the given financial question based on the context.
| ||Domestic||International||
||September 30,||September 30,||
||2019|2018|2019|2018|
|Discount rate|4.00%|3.75%|1.90%|2.80%|
|Expected return on plan assets|||3.40%|3.70%|
|Rate of compensation increase|||- - %|- - %|
The following table provides the weighted average actuarial assumptions used to determine net periodic... | Wie hoch ist die prozentuale Veränderung der international erwarteten Rendite des Planvermögens zwischen 2018 und 2019 im Jahresvergleich? | ||Inland||International||
||30. September||30. September||
||2019|2018|2019|2018|
|Rabattsatz|4,00 %|3,75 %|1,90 %|2,80 %|
|Erwartete Rendite des Planvermögens|||3,40 %|3,70 %|
|Vergütungserhöhungssatz|||- - %|- - %|
Die folgende Tabelle zeigt die gewichteten durchschnittlichen versicherungsmathematischen Annahmen, die... | -8.11 |
tatqa18 | Please answer the given financial question based on the context.
Context: |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operate... | Defined contribution schemes
Defined benefit schemes
| What financial items are listed in the table? | What financial items are listed in the table? | Please answer the given financial question based on the context.
| |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operates a number of defined benefit and defined contribution pension plans for ... | Welche Finanzposten sind in der Tabelle aufgeführt? | |Aufwand der Gewinn- und Verlustrechnung||||
||2019 Mio. €|2018 Mio. €|2017 Mio. €|
|Beitragsorientierte Systeme|166|178|192|
|Leistungsorientierte Pläne|57|44|20|
|Gesamtbetrag, der der Gewinn- und Verlustrechnung belastet wird (Anmerkung 23)|223|222|212|
24. Leistungen nach Beendigung des Arbeitsverhältnisses
Der Kon... | Beitragsorientierte Systeme
Leistungsorientierte Pläne |
tatqa19 | Please answer the given financial question based on the context.
Context: |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operate... | Germany, Ghana, India, Ireland, Italy, the UK, the United States | Which countries does the group operate defined benefit schemes in? | Which countries does the group operate defined benefit schemes in? | Please answer the given financial question based on the context.
| |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operates a number of defined benefit and defined contribution pension plans for ... | In welchen Ländern betreibt die Gruppe leistungsorientierte Pläne? | |Aufwand der Gewinn- und Verlustrechnung||||
||2019 Mio. €|2018 Mio. €|2017 Mio. €|
|Beitragsorientierte Systeme|166|178|192|
|Leistungsorientierte Pläne|57|44|20|
|Gesamtbetrag, der der Gewinn- und Verlustrechnung belastet wird (Anmerkung 23)|223|222|212|
24. Leistungen nach Beendigung des Arbeitsverhältnisses
Der Kon... | Deutschland, Ghana, Indien, Irland, Italien, Großbritannien, die Vereinigten Staaten |
tatqa20 | Please answer the given financial question based on the context.
Context: |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operate... | Greece and Turkey | Which countries does the group operate defined benefit indemnity plans in? | Which countries does the group operate defined benefit indemnity plans in? | Please answer the given financial question based on the context.
| |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operates a number of defined benefit and defined contribution pension plans for ... | In welchen Ländern betreibt die Gruppe leistungsorientierte Entschädigungspläne? | |Aufwand der Gewinn- und Verlustrechnung||||
||2019 Mio. €|2018 Mio. €|2017 Mio. €|
|Beitragsorientierte Systeme|166|178|192|
|Leistungsorientierte Pläne|57|44|20|
|Gesamtbetrag, der der Gewinn- und Verlustrechnung belastet wird (Anmerkung 23)|223|222|212|
24. Leistungen nach Beendigung des Arbeitsverhältnisses
Der Kon... | Griechenland und die Türkei |
tatqa21 | Please answer the given financial question based on the context.
Context: |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operate... | 172 | What is the 2019 average defined contribution schemes? | What is the 2019 average defined contribution schemes? | Please answer the given financial question based on the context.
| |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operates a number of defined benefit and defined contribution pension plans for ... | Was sind die durchschnittlichen beitragsorientierten Systeme im Jahr 2019? | |Aufwand der Gewinn- und Verlustrechnung||||
||2019 Mio. €|2018 Mio. €|2017 Mio. €|
|Beitragsorientierte Systeme|166|178|192|
|Leistungsorientierte Pläne|57|44|20|
|Gesamtbetrag, der der Gewinn- und Verlustrechnung belastet wird (Anmerkung 23)|223|222|212|
24. Leistungen nach Beendigung des Arbeitsverhältnisses
Der Kon... | 172 |
tatqa22 | Please answer the given financial question based on the context.
Context: |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operate... | 50.5 | What is the 2019 average defined benefit schemes? | What is the 2019 average defined benefit schemes? | Please answer the given financial question based on the context.
| |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operates a number of defined benefit and defined contribution pension plans for ... | Was sind die durchschnittlichen leistungsorientierten Systeme im Jahr 2019? | |Aufwand der Gewinn- und Verlustrechnung||||
||2019 Mio. €|2018 Mio. €|2017 Mio. €|
|Beitragsorientierte Systeme|166|178|192|
|Leistungsorientierte Pläne|57|44|20|
|Gesamtbetrag, der der Gewinn- und Verlustrechnung belastet wird (Anmerkung 23)|223|222|212|
24. Leistungen nach Beendigung des Arbeitsverhältnisses
Der Kon... | 50,5 |
tatqa23 | Please answer the given financial question based on the context.
Context: |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operate... | 121.5 | What is the difference between 2019 average defined contribution schemes and 2019 average defined benefit schemes? | What is the difference between 2019 average defined contribution schemes and 2019 average defined benefit schemes? | Please answer the given financial question based on the context.
| |Income statement expense||||
||2019 €m|2018 €m|2017 €m|
|Defined contribution schemes|166|178|192|
|Defined benefit schemes|57|44|20|
|Total amount charged to income statement (note 23)|223|222|212|
24. Post employment benefits
The Group operates a number of defined benefit and defined contribution pension plans for ... | Was ist der Unterschied zwischen den durchschnittlichen beitragsorientierten Systemen des Jahres 2019 und den durchschnittlichen leistungsorientierten Systemen des Jahres 2019? | |Aufwand der Gewinn- und Verlustrechnung||||
||2019 Mio. €|2018 Mio. €|2017 Mio. €|
|Beitragsorientierte Systeme|166|178|192|
|Leistungsorientierte Pläne|57|44|20|
|Gesamtbetrag, der der Gewinn- und Verlustrechnung belastet wird (Anmerkung 23)|223|222|212|
24. Leistungen nach Beendigung des Arbeitsverhältnisses
Der Kon... | 121,5 |
tatqa24 | Please answer the given financial question based on the context.
Context: ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13... | 73,260
57,768 | What was the operating loss carryforward amount in 2019 and 2018 respectively? | What was the operating loss carryforward amount in 2019 and 2018 respectively? | Please answer the given financial question based on the context.
| ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13 - TAXES ON INCOME
B. Deferred income taxes:
Deferred income taxes reflec... | Wie hoch war der Betriebsverlustvortrag in den Jahren 2019 bzw. 2018? | ||31. Dezember||
||2019|2 0 1 8|
||USA $ in Tausend||
|Betrieblicher Verlustvortrag|73.260|57.768|
|Nettolatenter Steueranspruch vor Wertberichtigung|19.911|15.916|
|Wertberichtigung|(19.911)|(15.916)|
|Nettolatenter Steueranspruch|795|772|
ANMERKUNG 13 – EINKOMMENSTEUERN
B. Latente Einkommenssteuern:
Latente Ertragste... | 73.260
57.768 |
tatqa25 | Please answer the given financial question based on the context.
Context: ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13... | 19,911
15,916 | What was the net deferred tax asset before valuation allowance amount in 2019 and 2018 respectively? | What was the net deferred tax asset before valuation allowance amount in 2019 and 2018 respectively? | Please answer the given financial question based on the context.
| ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13 - TAXES ON INCOME
B. Deferred income taxes:
Deferred income taxes reflec... | Wie hoch war der latente Nettosteueranspruch vor Wertberichtigung in den Jahren 2019 bzw. 2018? | ||31. Dezember||
||2019|2 0 1 8|
||USA $ in Tausend||
|Betrieblicher Verlustvortrag|73.260|57.768|
|Nettolatenter Steueranspruch vor Wertberichtigung|19.911|15.916|
|Wertberichtigung|(19.911)|(15.916)|
|Nettolatenter Steueranspruch|795|772|
ANMERKUNG 13 – EINKOMMENSTEUERN
B. Latente Einkommenssteuern:
Latente Ertragste... | 19.911
15.916 |
tatqa26 | Please answer the given financial question based on the context.
Context: ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13... | 795
772 | What was the net deferred tax asset amount in 2019 and 2018 respectively? | What was the net deferred tax asset amount in 2019 and 2018 respectively? | Please answer the given financial question based on the context.
| ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13 - TAXES ON INCOME
B. Deferred income taxes:
Deferred income taxes reflec... | Wie hoch war der Nettobetrag der latenten Steueransprüche in den Jahren 2019 und 2018? | ||31. Dezember||
||2019|2 0 1 8|
||USA $ in Tausend||
|Betrieblicher Verlustvortrag|73.260|57.768|
|Nettolatenter Steueranspruch vor Wertberichtigung|19.911|15.916|
|Wertberichtigung|(19.911)|(15.916)|
|Nettolatenter Steueranspruch|795|772|
ANMERKUNG 13 – EINKOMMENSTEUERN
B. Latente Einkommenssteuern:
Latente Ertragste... | 795
772 |
tatqa27 | Please answer the given financial question based on the context.
Context: ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13... | 26.82 | What is the percentage change in the operating loss carryforward from 2018 to 2019? | What is the percentage change in the operating loss carryforward from 2018 to 2019? | Please answer the given financial question based on the context.
| ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13 - TAXES ON INCOME
B. Deferred income taxes:
Deferred income taxes reflec... | Wie hoch ist die prozentuale Veränderung des Betriebsverlustvortrags von 2018 auf 2019? | ||31. Dezember||
||2019|2 0 1 8|
||USA $ in Tausend||
|Betrieblicher Verlustvortrag|73.260|57.768|
|Nettolatenter Steueranspruch vor Wertberichtigung|19.911|15.916|
|Wertberichtigung|(19.911)|(15.916)|
|Nettolatenter Steueranspruch|795|772|
ANMERKUNG 13 – EINKOMMENSTEUERN
B. Latente Einkommenssteuern:
Latente Ertragste... | 26.82 |
tatqa28 | Please answer the given financial question based on the context.
Context: ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13... | 25.1 | What is the percentage change in the valuation allowance from 2018 to 2019? | What is the percentage change in the valuation allowance from 2018 to 2019? | Please answer the given financial question based on the context.
| ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13 - TAXES ON INCOME
B. Deferred income taxes:
Deferred income taxes reflec... | Wie hoch ist die prozentuale Veränderung der Wertberichtigung von 2018 zu 2019? | ||31. Dezember||
||2019|2 0 1 8|
||USA $ in Tausend||
|Betrieblicher Verlustvortrag|73.260|57.768|
|Nettolatenter Steueranspruch vor Wertberichtigung|19.911|15.916|
|Wertberichtigung|(19.911)|(15.916)|
|Nettolatenter Steueranspruch|795|772|
ANMERKUNG 13 – EINKOMMENSTEUERN
B. Latente Einkommenssteuern:
Latente Ertragste... | 25.1 |
tatqa29 | Please answer the given financial question based on the context.
Context: ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13... | 2.98 | What is the percentage change in the net deferred tax asset from 2018 to 2019? | What is the percentage change in the net deferred tax asset from 2018 to 2019? | Please answer the given financial question based on the context.
| ||December 31||
||2019|2 0 1 8|
||U.S. $ in thousands||
|Operating loss carryforward|73,260|57,768|
|Net deferred tax asset before valuation allowance|19,911|15,916|
|Valuation allowance|(19,911)|(15,916)|
|Net deferred tax asset|795|772|
NOTE 13 - TAXES ON INCOME
B. Deferred income taxes:
Deferred income taxes reflec... | Wie hoch ist die prozentuale Veränderung des latenten Nettosteueranspruchs von 2018 bis 2019? | ||31. Dezember||
||2019|2 0 1 8|
||USA $ in Tausend||
|Betrieblicher Verlustvortrag|73.260|57.768|
|Nettolatenter Steueranspruch vor Wertberichtigung|19.911|15.916|
|Wertberichtigung|(19.911)|(15.916)|
|Nettolatenter Steueranspruch|795|772|
ANMERKUNG 13 – EINKOMMENSTEUERN
B. Latente Einkommenssteuern:
Latente Ertragste... | 2,98 |
tatqa30 | Please answer the given financial question based on the context.
Context: |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total... | 2018 | When has IMFT discontinued the production of NAND? | When has IMFT discontinued the production of NAND? | Please answer the given financial question based on the context.
| |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total assets|$2,664|$3,025|
|Liabilities|||
|Accounts payable and accrued expe... | Wann hat IMFT die Produktion von NAND eingestellt? | |Stand|2019|2018|
|Vermögenswerte|||
|Barmittel und Äquivalente|$130|$91|
|Forderungen|128|126|
|Vorräte|124|114|
|Sonstige kurzfristige Vermögenswerte|9|8|
|Gesamtumlaufvermögen|391|339|
|Sachanlagen|2.235|2.641|
|Sonstige langfristige Vermögenswerte|38|45|
|Gesamtvermögen|$2.664|$3.025|
|Verbindlichkeiten|||
|Kredito... | 2018 |
tatqa31 | Please answer the given financial question based on the context.
Context: |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total... | an annual plan approved by the members, and capital contributions to IMFT are requested as needed | How IMFT’s capital requirements were generally determined? | How IMFT’s capital requirements were generally determined? | Please answer the given financial question based on the context.
| |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total assets|$2,664|$3,025|
|Liabilities|||
|Accounts payable and accrued expe... | Wie wurden die Kapitalanforderungen von IMFT im Allgemeinen ermittelt? | |Stand|2019|2018|
|Vermögenswerte|||
|Barmittel und Äquivalente|$130|$91|
|Forderungen|128|126|
|Vorräte|124|114|
|Sonstige kurzfristige Vermögenswerte|9|8|
|Gesamtumlaufvermögen|391|339|
|Sachanlagen|2.235|2.641|
|Sonstige langfristige Vermögenswerte|38|45|
|Gesamtvermögen|$2.664|$3.025|
|Verbindlichkeiten|||
|Kredito... | ein von den Mitgliedern genehmigter Jahresplan, und bei Bedarf werden Kapitalbeiträge an IMFT angefordert |
tatqa32 | Please answer the given financial question based on the context.
Context: |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total... | $1,305 | What were the total liabilities of IMFT in 2018? | What were the total liabilities of IMFT in 2018? | Please answer the given financial question based on the context.
| |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total assets|$2,664|$3,025|
|Liabilities|||
|Accounts payable and accrued expe... | Wie hoch waren die Gesamtverbindlichkeiten des IMFT im Jahr 2018? | |Stand|2019|2018|
|Vermögenswerte|||
|Barmittel und Äquivalente|$130|$91|
|Forderungen|128|126|
|Vorräte|124|114|
|Sonstige kurzfristige Vermögenswerte|9|8|
|Gesamtumlaufvermögen|391|339|
|Sachanlagen|2.235|2.641|
|Sonstige langfristige Vermögenswerte|38|45|
|Gesamtvermögen|$2.664|$3.025|
|Verbindlichkeiten|||
|Kredito... | 1.305 $ |
tatqa33 | Please answer the given financial question based on the context.
Context: |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total... | 2.93 | What is the ratio of IMFT’s total assets to total liabilities in 2019? | What is the ratio of IMFT’s total assets to total liabilities in 2019? | Please answer the given financial question based on the context.
| |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total assets|$2,664|$3,025|
|Liabilities|||
|Accounts payable and accrued expe... | Wie hoch ist das Verhältnis der Gesamtaktiva von IMFT zu den Gesamtverbindlichkeiten im Jahr 2019? | |Stand|2019|2018|
|Vermögenswerte|||
|Barmittel und Äquivalente|$130|$91|
|Forderungen|128|126|
|Vorräte|124|114|
|Sonstige kurzfristige Vermögenswerte|9|8|
|Gesamtumlaufvermögen|391|339|
|Sachanlagen|2.235|2.641|
|Sonstige langfristige Vermögenswerte|38|45|
|Gesamtvermögen|$2.664|$3.025|
|Verbindlichkeiten|||
|Kredito... | 2,93 |
tatqa34 | Please answer the given financial question based on the context.
Context: |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total... | 0.87 | What is the proportion of IMFT’s property, plant, and equipment over total assets in 2018? | What is the proportion of IMFT’s property, plant, and equipment over total assets in 2018? | Please answer the given financial question based on the context.
| |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total assets|$2,664|$3,025|
|Liabilities|||
|Accounts payable and accrued expe... | Wie hoch war der Anteil der Sachanlagen von IMFT am Gesamtvermögen im Jahr 2018? | |Stand|2019|2018|
|Vermögenswerte|||
|Barmittel und Äquivalente|$130|$91|
|Forderungen|128|126|
|Vorräte|124|114|
|Sonstige kurzfristige Vermögenswerte|9|8|
|Gesamtumlaufvermögen|391|339|
|Sachanlagen|2.235|2.641|
|Sonstige langfristige Vermögenswerte|38|45|
|Gesamtvermögen|$2.664|$3.025|
|Verbindlichkeiten|||
|Kredito... | 0,87 |
tatqa35 | Please answer the given financial question based on the context.
Context: |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total... | -361 | What is the change of IMFT’s total assets from 2018 to 2019? | What is the change of IMFT’s total assets from 2018 to 2019? | Please answer the given financial question based on the context.
| |As of|2019|2018|
|Assets|||
|Cash and equivalents|$130|$91|
|Receivables|128|126|
|Inventories|124|114|
|Other current assets|9|8|
|Total current assets|391|339|
|Property, plant, and equipment|2,235|2,641|
|Other noncurrent assets|38|45|
|Total assets|$2,664|$3,025|
|Liabilities|||
|Accounts payable and accrued expe... | Wie hat sich das Gesamtvermögen von IMFT von 2018 bis 2019 verändert? | |Stand|2019|2018|
|Vermögenswerte|||
|Barmittel und Äquivalente|$130|$91|
|Forderungen|128|126|
|Vorräte|124|114|
|Sonstige kurzfristige Vermögenswerte|9|8|
|Gesamtumlaufvermögen|391|339|
|Sachanlagen|2.235|2.641|
|Sonstige langfristige Vermögenswerte|38|45|
|Gesamtvermögen|$2.664|$3.025|
|Verbindlichkeiten|||
|Kredito... | -361 |
tatqa36 | Please answer the given financial question based on the context.
Context: ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|... | 592 | What was the amount of Value added tax receivables, net, noncurrent in 2019? | What was the amount of Value added tax receivables, net, noncurrent in 2019? | Please answer the given financial question based on the context.
| ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|
|Value added tax receivables, net, noncurrent|592|519|
|Other|6,723|5,71... | Wie hoch waren die langfristigen Mehrwertsteuerforderungen netto im Jahr 2019? | ||31. Dezember||
||2019|2018|
|Forderungen aus Lieferungen und Leistungen, netto, langfristig (Anmerkung 2)|$26.496|$15.948|
|Equity-Investitionen (Anmerkung 1)|9.254|9.702|
|Latente Nettosteueransprüche, langfristig (Anmerkung 20)|6.774|5.797|
|Miete und sonstige Kautionen|6.106|5.687|
|Mehrwertsteuerforderungen, nett... | 592 |
tatqa37 | Please answer the given financial question based on the context.
Context: ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|... | 5,687 | What was the amount of Rent and other deposits in 2018? | What was the amount of Rent and other deposits in 2018? | Please answer the given financial question based on the context.
| ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|
|Value added tax receivables, net, noncurrent|592|519|
|Other|6,723|5,71... | Wie hoch waren die Mieten und sonstigen Kautionen im Jahr 2018? | ||31. Dezember||
||2019|2018|
|Forderungen aus Lieferungen und Leistungen, netto, langfristig (Anmerkung 2)|$26.496|$15.948|
|Equity-Investitionen (Anmerkung 1)|9.254|9.702|
|Latente Nettosteueransprüche, langfristig (Anmerkung 20)|6.774|5.797|
|Miete und sonstige Kautionen|6.106|5.687|
|Mehrwertsteuerforderungen, nett... | 5.687 |
tatqa38 | Please answer the given financial question based on the context.
Context: ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|... | 2019
2018 | In which years were Deferred charges and other assets calculated? | In which years were Deferred charges and other assets calculated? | Please answer the given financial question based on the context.
| ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|
|Value added tax receivables, net, noncurrent|592|519|
|Other|6,723|5,71... | In welchen Jahren wurden abgegrenzte Kosten und andere Vermögenswerte berechnet? | ||31. Dezember||
||2019|2018|
|Forderungen aus Lieferungen und Leistungen, netto, langfristig (Anmerkung 2)|$26.496|$15.948|
|Equity-Investitionen (Anmerkung 1)|9.254|9.702|
|Latente Nettosteueransprüche, langfristig (Anmerkung 20)|6.774|5.797|
|Miete und sonstige Kautionen|6.106|5.687|
|Mehrwertsteuerforderungen, nett... | 2019
2018 |
tatqa39 | Please answer the given financial question based on the context.
Context: ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|... | 2019 | In which year was Value added tax receivables, net, noncurrent larger? | In which year was Value added tax receivables, net, noncurrent larger? | Please answer the given financial question based on the context.
| ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|
|Value added tax receivables, net, noncurrent|592|519|
|Other|6,723|5,71... | In welchem Jahr waren die Umsatzsteuerforderungen, netto, langfristig größer? | ||31. Dezember||
||2019|2018|
|Forderungen aus Lieferungen und Leistungen, netto, langfristig (Anmerkung 2)|$26.496|$15.948|
|Equity-Investitionen (Anmerkung 1)|9.254|9.702|
|Latente Nettosteueransprüche, langfristig (Anmerkung 20)|6.774|5.797|
|Miete und sonstige Kautionen|6.106|5.687|
|Mehrwertsteuerforderungen, nett... | 2019 |
tatqa40 | Please answer the given financial question based on the context.
Context: ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|... | 73 | What was the change in Value added tax receivables, net, noncurrent in 2019 from 2018? | What was the change in Value added tax receivables, net, noncurrent in 2019 from 2018? | Please answer the given financial question based on the context.
| ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|
|Value added tax receivables, net, noncurrent|592|519|
|Other|6,723|5,71... | Wie veränderten sich die langfristigen Mehrwertsteuerforderungen netto im Jahr 2019 gegenüber 2018? | ||31. Dezember||
||2019|2018|
|Forderungen aus Lieferungen und Leistungen, netto, langfristig (Anmerkung 2)|$26.496|$15.948|
|Equity-Investitionen (Anmerkung 1)|9.254|9.702|
|Latente Nettosteueransprüche, langfristig (Anmerkung 20)|6.774|5.797|
|Miete und sonstige Kautionen|6.106|5.687|
|Mehrwertsteuerforderungen, nett... | 73 |
tatqa41 | Please answer the given financial question based on the context.
Context: ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|... | 14.07 | What was the percentage change in Value added tax receivables, net, noncurrent in 2019 from 2018? | What was the percentage change in Value added tax receivables, net, noncurrent in 2019 from 2018? | Please answer the given financial question based on the context.
| ||December 31,||
||2019|2018|
|Trade accounts receivable, net, noncurrent (Note 2)|$26,496|$15,948|
|Equity method investments (Note 1)|9,254|9,702|
|Net deferred tax assets, noncurrent (Note 20)|6,774|5,797|
|Rent and other deposits|6,106|5,687|
|Value added tax receivables, net, noncurrent|592|519|
|Other|6,723|5,71... | Wie hoch war die prozentuale Veränderung der langfristigen Mehrwertsteuerforderungen netto im Jahr 2019 gegenüber 2018? | ||31. Dezember||
||2019|2018|
|Forderungen aus Lieferungen und Leistungen, netto, langfristig (Anmerkung 2)|$26.496|$15.948|
|Equity-Investitionen (Anmerkung 1)|9.254|9.702|
|Latente Nettosteueransprüche, langfristig (Anmerkung 20)|6.774|5.797|
|Miete und sonstige Kautionen|6.106|5.687|
|Mehrwertsteuerforderungen, nett... | 14.07 |
tatqa42 | Please answer the given financial question based on the context.
Context: ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plan... | Taxation
Dividends received from associates and investments
Dividends paid to non-controlling shareholders in subsidiaries
Interest received and paid | What financial items does operating free cash flow consist of? | What financial items does operating free cash flow consist of? | Please answer the given financial question based on the context.
| ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plant and equipment|45|41|43|
|Restructuring payments|195|250|266|
|Other|(35... | Aus welchen Finanzposten besteht der operative freie Cashflow? | ||2019|2018|2017|
||Mio.€|Mio.€|Mio.€|
|Durch den Geschäftsbetrieb generierte Barmittel (siehe Anmerkung 18)|14.182|13.860|13.781|
|Kapitalzugänge|(7.227)|(7.321)|(7.675)|
|Betriebskapitalbewegung in Bezug auf Kapitalzugänge|(89)|171|(822)|
|Veräußerung von Sachanlagen|45|41|43|
|Restrukturierungszahlungen|195|250|266|... | Besteuerung
Erhaltene Dividenden von assoziierten Unternehmen und Investitionen
An nicht beherrschende Anteilseigner von Tochtergesellschaften gezahlte Dividenden
Erhaltene und gezahlte Zinsen |
tatqa43 | Please answer the given financial question based on the context.
Context: ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plan... | Licence and spectrum payments
Restructuring payments | What financial items does free cash flow (pre-spectrum) consist of? | What financial items does free cash flow (pre-spectrum) consist of? | Please answer the given financial question based on the context.
| ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plant and equipment|45|41|43|
|Restructuring payments|195|250|266|
|Other|(35... | Aus welchen Finanzposten besteht der Free Cashflow (Pre-Spectrum)? | ||2019|2018|2017|
||Mio.€|Mio.€|Mio.€|
|Durch den Geschäftsbetrieb generierte Barmittel (siehe Anmerkung 18)|14.182|13.860|13.781|
|Kapitalzugänge|(7.227)|(7.321)|(7.675)|
|Betriebskapitalbewegung in Bezug auf Kapitalzugänge|(89)|171|(822)|
|Veräußerung von Sachanlagen|45|41|43|
|Restrukturierungszahlungen|195|250|266|... | Lizenz- und Frequenzzahlungen
Umstrukturierung der Zahlungen |
tatqa44 | Please answer the given financial question based on the context.
Context: ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plan... | 4,411 | How much is the 2019 free cash flow ? | How much is the 2019 free cash flow ? | Please answer the given financial question based on the context.
| ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plant and equipment|45|41|43|
|Restructuring payments|195|250|266|
|Other|(35... | Wie hoch ist der freie Cashflow 2019? | ||2019|2018|2017|
||Mio.€|Mio.€|Mio.€|
|Durch den Geschäftsbetrieb generierte Barmittel (siehe Anmerkung 18)|14.182|13.860|13.781|
|Kapitalzugänge|(7.227)|(7.321)|(7.675)|
|Betriebskapitalbewegung in Bezug auf Kapitalzugänge|(89)|171|(822)|
|Veräußerung von Sachanlagen|45|41|43|
|Restrukturierungszahlungen|195|250|266|... | 4.411 |
tatqa45 | Please answer the given financial question based on the context.
Context: ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plan... | 4227.5 | What is the 2019 average free cash flow? | What is the 2019 average free cash flow? | Please answer the given financial question based on the context.
| ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plant and equipment|45|41|43|
|Restructuring payments|195|250|266|
|Other|(35... | Wie hoch ist der durchschnittliche freie Cashflow im Jahr 2019? | ||2019|2018|2017|
||Mio.€|Mio.€|Mio.€|
|Durch den Geschäftsbetrieb generierte Barmittel (siehe Anmerkung 18)|14.182|13.860|13.781|
|Kapitalzugänge|(7.227)|(7.321)|(7.675)|
|Betriebskapitalbewegung in Bezug auf Kapitalzugänge|(89)|171|(822)|
|Veräußerung von Sachanlagen|45|41|43|
|Restrukturierungszahlungen|195|250|266|... | 4227,5 |
tatqa46 | Please answer the given financial question based on the context.
Context: ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plan... | 3680 | What is the 2018 average free cash flow? | What is the 2018 average free cash flow? | Please answer the given financial question based on the context.
| ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plant and equipment|45|41|43|
|Restructuring payments|195|250|266|
|Other|(35... | Wie hoch ist der durchschnittliche freie Cashflow im Jahr 2018? | ||2019|2018|2017|
||Mio.€|Mio.€|Mio.€|
|Durch den Geschäftsbetrieb generierte Barmittel (siehe Anmerkung 18)|14.182|13.860|13.781|
|Kapitalzugänge|(7.227)|(7.321)|(7.675)|
|Betriebskapitalbewegung in Bezug auf Kapitalzugänge|(89)|171|(822)|
|Veräußerung von Sachanlagen|45|41|43|
|Restrukturierungszahlungen|195|250|266|... | 3680 |
tatqa47 | Please answer the given financial question based on the context.
Context: ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plan... | 547.5 | What is the change between 2018 and 2019 average free cash flow? | What is the change between 2018 and 2019 average free cash flow? | Please answer the given financial question based on the context.
| ||2019|2018|2017|
||€m|€m|€m|
|Cash generated by operations (refer to note 18)|14,182|13,860|13,781|
|Capital additions|(7,227)|(7,321)|(7,675)|
|Working capital movement in respect of capital additions|(89)|171|(822)|
|Disposal of property, plant and equipment|45|41|43|
|Restructuring payments|195|250|266|
|Other|(35... | Wie groß ist die Veränderung zwischen dem durchschnittlichen freien Cashflow 2018 und 2019? | ||2019|2018|2017|
||Mio.€|Mio.€|Mio.€|
|Durch den Geschäftsbetrieb generierte Barmittel (siehe Anmerkung 18)|14.182|13.860|13.781|
|Kapitalzugänge|(7.227)|(7.321)|(7.675)|
|Betriebskapitalbewegung in Bezug auf Kapitalzugänge|(89)|171|(822)|
|Veräußerung von Sachanlagen|45|41|43|
|Restrukturierungszahlungen|195|250|266|... | 547,5 |
tatqa48 | Please answer the given financial question based on the context.
Context: ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(2... | $(9.8) million | What was the net profit/(loss) after tax in FY19? | What was the net profit/(loss) after tax in FY19? | Please answer the given financial question based on the context.
| ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(247%)|
|Add: depreciation and amortisation|48,442|33,038|47%|
|EBITDA|79,0... | Wie hoch war der Nettogewinn/(-verlust) nach Steuern im Geschäftsjahr 2019? | ||30. Juni 2019|30. Juni 2018|Änderung|
||$’000|$’000|%|
|Nettogewinn/(-verlust) nach Steuern|(9.819)|6.639|(248%)|
|Hinzufügen: Finanzierungskosten|54.897|25.803|113%|
|Abzüglich: Zinserträge|(8.220)|(5.778)|42 %|
|Add/(weniger): Einkommensteueraufwand/(Nutzen)|(6.254)|4.252|(247 %)|
|Hinzufügen: Abschreibungen|48.442... | (9,8) Millionen US-Dollar |
tatqa49 | Please answer the given financial question based on the context.
Context: ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(2... | $85.1 million | What was the underlying EBITDA in FY19? | What was the underlying EBITDA in FY19? | Please answer the given financial question based on the context.
| ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(247%)|
|Add: depreciation and amortisation|48,442|33,038|47%|
|EBITDA|79,0... | Wie hoch war das zugrunde liegende EBITDA im Geschäftsjahr 2019? | ||30. Juni 2019|30. Juni 2018|Änderung|
||$’000|$’000|%|
|Nettogewinn/(-verlust) nach Steuern|(9.819)|6.639|(248%)|
|Hinzufügen: Finanzierungskosten|54.897|25.803|113%|
|Abzüglich: Zinserträge|(8.220)|(5.778)|42 %|
|Add/(weniger): Einkommensteueraufwand/(Nutzen)|(6.254)|4.252|(247 %)|
|Hinzufügen: Abschreibungen|48.442... | 85,1 Millionen US-Dollar |
tatqa50 | Please answer the given financial question based on the context.
Context: ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(2... | 36% | What was the percentage change in underlying EBITDA between 2018 and 2019? | What was the percentage change in underlying EBITDA between 2018 and 2019? | Please answer the given financial question based on the context.
| ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(247%)|
|Add: depreciation and amortisation|48,442|33,038|47%|
|EBITDA|79,0... | Wie hoch war die prozentuale Veränderung des bereinigten EBITDA zwischen 2018 und 2019? | ||30. Juni 2019|30. Juni 2018|Änderung|
||$’000|$’000|%|
|Nettogewinn/(-verlust) nach Steuern|(9.819)|6.639|(248%)|
|Hinzufügen: Finanzierungskosten|54.897|25.803|113%|
|Abzüglich: Zinserträge|(8.220)|(5.778)|42 %|
|Add/(weniger): Einkommensteueraufwand/(Nutzen)|(6.254)|4.252|(247 %)|
|Hinzufügen: Abschreibungen|48.442... | 36 % |
tatqa51 | Please answer the given financial question based on the context.
Context: ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(2... | 2019 | Which FY has a higher EBITDA? | Which FY has a higher EBITDA? | Please answer the given financial question based on the context.
| ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(247%)|
|Add: depreciation and amortisation|48,442|33,038|47%|
|EBITDA|79,0... | Welches Geschäftsjahr hat ein höheres EBITDA? | ||30. Juni 2019|30. Juni 2018|Änderung|
||$’000|$’000|%|
|Nettogewinn/(-verlust) nach Steuern|(9.819)|6.639|(248%)|
|Hinzufügen: Finanzierungskosten|54.897|25.803|113%|
|Abzüglich: Zinserträge|(8.220)|(5.778)|42 %|
|Add/(weniger): Einkommensteueraufwand/(Nutzen)|(6.254)|4.252|(247 %)|
|Hinzufügen: Abschreibungen|48.442... | 2019 |
tatqa52 | Please answer the given financial question based on the context.
Context: ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(2... | 3728 | What was the average difference between EBITDA and underlying EBITDA for both FYs? | What was the average difference between EBITDA and underlying EBITDA for both FYs? | Please answer the given financial question based on the context.
| ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(247%)|
|Add: depreciation and amortisation|48,442|33,038|47%|
|EBITDA|79,0... | Was war die durchschnittliche Differenz zwischen EBITDA und bereinigtem EBITDA für beide Geschäftsjahre? | ||30. Juni 2019|30. Juni 2018|Änderung|
||$’000|$’000|%|
|Nettogewinn/(-verlust) nach Steuern|(9.819)|6.639|(248%)|
|Hinzufügen: Finanzierungskosten|54.897|25.803|113%|
|Abzüglich: Zinserträge|(8.220)|(5.778)|42 %|
|Add/(weniger): Einkommensteueraufwand/(Nutzen)|(6.254)|4.252|(247 %)|
|Hinzufügen: Abschreibungen|48.442... | 3728 |
tatqa53 | Please answer the given financial question based on the context.
Context: ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(2... | -16458 | What was the difference in net profit between both FYs? | What was the difference in net profit between both FYs? | Please answer the given financial question based on the context.
| ||30 June 2019|30 June 2018|Change|
||$’000|$’000|%|
|Net profit/(loss) after tax|(9,819)|6,639|(248%)|
|Add: finance costs|54,897|25,803|113%|
|Less: interest income|(8,220)|(5,778)|42%|
|Add/(less): income tax expense/(benefit)|(6,254)|4,252|(247%)|
|Add: depreciation and amortisation|48,442|33,038|47%|
|EBITDA|79,0... | Wie groß war der Unterschied im Nettogewinn zwischen beiden Geschäftsjahren? | ||30. Juni 2019|30. Juni 2018|Änderung|
||$’000|$’000|%|
|Nettogewinn/(-verlust) nach Steuern|(9.819)|6.639|(248%)|
|Hinzufügen: Finanzierungskosten|54.897|25.803|113%|
|Abzüglich: Zinserträge|(8.220)|(5.778)|42 %|
|Add/(weniger): Einkommensteueraufwand/(Nutzen)|(6.254)|4.252|(247 %)|
|Hinzufügen: Abschreibungen|48.442... | -16458 |
tatqa54 | Please answer the given financial question based on the context.
Context: |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and ot... | the write-off of certain spare parts | What do Other items in the table represent? | What do Other items in the table represent? | Please answer the given financial question based on the context.
| |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and other charges, net|255|126|
|Other items(1)|17|—|
|Total|$ 302|$ 148|
Ope... | Was bedeuten die anderen Elemente in der Tabelle? | |||Fiskal|
||2019|2018|
|||(in Millionen)|
|Akquisitionsbezogene Kosten:|||
|Anschaffungs- und Integrationskosten|$ 27|$ 14|
|Kosten im Zusammenhang mit der Abschreibung akquisitionsbedingter Zeitwertanpassungen|3|8|
||30|22|
|Restrukturierungs- und sonstige Kosten, netto|255|126|
|Andere Artikel(1)|17|—|
|Gesamt|$ 302... | die Abschreibung bestimmter Ersatzteile |
tatqa55 | Please answer the given financial question based on the context.
Context: |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and ot... | below under “Segment Results.” | Where can the discussion of operating income be found? | Where can the discussion of operating income be found? | Please answer the given financial question based on the context.
| |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and other charges, net|255|126|
|Other items(1)|17|—|
|Total|$ 302|$ 148|
Ope... | Wo ist die Diskussion über Betriebserträge zu finden? | |||Fiskal|
||2019|2018|
|||(in Millionen)|
|Akquisitionsbezogene Kosten:|||
|Anschaffungs- und Integrationskosten|$ 27|$ 14|
|Kosten im Zusammenhang mit der Abschreibung akquisitionsbedingter Zeitwertanpassungen|3|8|
||30|22|
|Restrukturierungs- und sonstige Kosten, netto|255|126|
|Andere Artikel(1)|17|—|
|Gesamt|$ 302... | unten unter „Segmentergebnisse“. |
tatqa56 | Please answer the given financial question based on the context.
Context: |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and ot... | 2019
2018 | In which years was operating income calculated for? | In which years was operating income calculated for? | Please answer the given financial question based on the context.
| |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and other charges, net|255|126|
|Other items(1)|17|—|
|Total|$ 302|$ 148|
Ope... | Für welche Jahre wurden die Betriebserträge berechnet? | |||Fiskal|
||2019|2018|
|||(in Millionen)|
|Akquisitionsbezogene Kosten:|||
|Anschaffungs- und Integrationskosten|$ 27|$ 14|
|Kosten im Zusammenhang mit der Abschreibung akquisitionsbedingter Zeitwertanpassungen|3|8|
||30|22|
|Restrukturierungs- und sonstige Kosten, netto|255|126|
|Andere Artikel(1)|17|—|
|Gesamt|$ 302... | 2019
2018 |
tatqa57 | Please answer the given financial question based on the context.
Context: |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and ot... | 2019 | In which year were Acquisition and integration costs larger? | In which year were Acquisition and integration costs larger? | Please answer the given financial question based on the context.
| |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and other charges, net|255|126|
|Other items(1)|17|—|
|Total|$ 302|$ 148|
Ope... | In welchem Jahr waren die Anschaffungs- und Integrationskosten höher? | |||Fiskal|
||2019|2018|
|||(in Millionen)|
|Akquisitionsbezogene Kosten:|||
|Anschaffungs- und Integrationskosten|$ 27|$ 14|
|Kosten im Zusammenhang mit der Abschreibung akquisitionsbedingter Zeitwertanpassungen|3|8|
||30|22|
|Restrukturierungs- und sonstige Kosten, netto|255|126|
|Andere Artikel(1)|17|—|
|Gesamt|$ 302... | 2019 |
tatqa58 | Please answer the given financial question based on the context.
Context: |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and ot... | 154 | What was the change in Total operating income in 2019 from 2018? | What was the change in Total operating income in 2019 from 2018? | Please answer the given financial question based on the context.
| |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and other charges, net|255|126|
|Other items(1)|17|—|
|Total|$ 302|$ 148|
Ope... | Wie veränderte sich das Gesamtbetriebsergebnis im Jahr 2019 gegenüber 2018? | |||Fiskal|
||2019|2018|
|||(in Millionen)|
|Akquisitionsbezogene Kosten:|||
|Anschaffungs- und Integrationskosten|$ 27|$ 14|
|Kosten im Zusammenhang mit der Abschreibung akquisitionsbedingter Zeitwertanpassungen|3|8|
||30|22|
|Restrukturierungs- und sonstige Kosten, netto|255|126|
|Andere Artikel(1)|17|—|
|Gesamt|$ 302... | 154 |
tatqa59 | Please answer the given financial question based on the context.
Context: |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and ot... | 104.05 | What was the percentage change in Total operating income in 2019 from 2018? | What was the percentage change in Total operating income in 2019 from 2018? | Please answer the given financial question based on the context.
| |||Fiscal|
||2019|2018|
|||(in millions)|
|Acquisition-related charges:|||
|Acquisition and integration costs|$ 27|$ 14|
|Charges associated with the amortization of acquisition related fair value adjustments|3|8|
||30|22|
|Restructuring and other charges, net|255|126|
|Other items(1)|17|—|
|Total|$ 302|$ 148|
Ope... | Wie hoch war die prozentuale Veränderung des Gesamtbetriebseinkommens im Jahr 2019 gegenüber 2018? | |||Fiskal|
||2019|2018|
|||(in Millionen)|
|Akquisitionsbezogene Kosten:|||
|Anschaffungs- und Integrationskosten|$ 27|$ 14|
|Kosten im Zusammenhang mit der Abschreibung akquisitionsbedingter Zeitwertanpassungen|3|8|
||30|22|
|Restrukturierungs- und sonstige Kosten, netto|255|126|
|Andere Artikel(1)|17|—|
|Gesamt|$ 302... | 104.05 |
tatqa60 | Please answer the given financial question based on the context.
Context: ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Ba... | these awards met the performance-based award classification criteria as defined within ASC 718. | Where is the performance-based award classification defined in? | Where is the performance-based award classification defined in? | Please answer the given financial question based on the context.
| ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Based Compensation Expense and Valuations of Stock Awards
We estimated the ... | Wo ist die leistungsbasierte Auszeichnungsklassifizierung definiert? | ||Jahr endete am 31. Mai|||
||2019|2018|2017|
|Erwartete Lebensdauer (in Jahren)|4,6|4,7|4,8|
|risikofreier Zinssatz|2,7 %|2,0 %|1,0 %|
|Volatilität|24%|22%|23%|
|Dividendenrendite|1,7 %|1,5 %|1,5 %|
|Gewichteter durchschnittlicher beizulegender Zeitwert pro Aktie|$10,77|$9,34|$8,18|
Aktienbasierte Vergütungsaufwendung... | Diese Auszeichnungen erfüllten die leistungsbasierten Auszeichnungsklassifizierungskriterien gemäß ASC 718. |
tatqa61 | Please answer the given financial question based on the context.
Context: ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Ba... | We estimated the fair values of our stock options that were solely subject to service-based vesting requirements using the Black-Scholes-Merton option-pricing model, which was developed for use in estimating the fair values of stock options. | How does the company estimate the fair value of their stock options? | How does the company estimate the fair value of their stock options? | Please answer the given financial question based on the context.
| ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Based Compensation Expense and Valuations of Stock Awards
We estimated the ... | Wie schätzt das Unternehmen den beizulegenden Zeitwert seiner Aktienoptionen? | ||Jahr endete am 31. Mai|||
||2019|2018|2017|
|Erwartete Lebensdauer (in Jahren)|4,6|4,7|4,8|
|risikofreier Zinssatz|2,7 %|2,0 %|1,0 %|
|Volatilität|24%|22%|23%|
|Dividendenrendite|1,7 %|1,5 %|1,5 %|
|Gewichteter durchschnittlicher beizulegender Zeitwert pro Aktie|$10,77|$9,34|$8,18|
Aktienbasierte Vergütungsaufwendung... | Wir haben die beizulegenden Zeitwerte unserer Aktienoptionen, die ausschließlich dienstleistungsbasierten Vesting-Anforderungen unterlagen, anhand des Black-Scholes-Merton-Optionspreismodells geschätzt, das zur Schätzung der beizulegenden Zeitwerte von Aktienoptionen entwickelt wurde. |
tatqa62 | Please answer the given financial question based on the context.
Context: ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Ba... | We estimated the fair values of the PSOs granted during fiscal 2018 at approximately $10 per share using a Monte Carlo simulation approach as of the grant date with the following assumptions: risk-free interest rate of 2.14%, expected term of seven years, expected volatility of 22.44% and dividend yield of 1.49%. | How long was the expected term of the PSOs granted during fiscal 2018? | How long was the expected term of the PSOs granted during fiscal 2018? | Please answer the given financial question based on the context.
| ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Based Compensation Expense and Valuations of Stock Awards
We estimated the ... | Wie lange war die voraussichtliche Laufzeit der im Geschäftsjahr 2018 gewährten PSOs? | ||Jahr endete am 31. Mai|||
||2019|2018|2017|
|Erwartete Lebensdauer (in Jahren)|4,6|4,7|4,8|
|risikofreier Zinssatz|2,7 %|2,0 %|1,0 %|
|Volatilität|24%|22%|23%|
|Dividendenrendite|1,7 %|1,5 %|1,5 %|
|Gewichteter durchschnittlicher beizulegender Zeitwert pro Aktie|$10,77|$9,34|$8,18|
Aktienbasierte Vergütungsaufwendung... | Wir haben den beizulegenden Zeitwert der im Geschäftsjahr 2018 gewährten PSOs mithilfe eines Monte-Carlo-Simulationsansatzes zum Zeitpunkt der Gewährung auf etwa 10 US-Dollar pro Aktie geschätzt und dabei folgende Annahmen zugrunde gelegt: risikoloser Zinssatz von 2,14 %, erwartete Laufzeit von sieben Jahren, erwartete... |
tatqa63 | Please answer the given financial question based on the context.
Context: ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Ba... | 1.57 | What was the average dividend yield for the 3 years from 2017 to 2019? | What was the average dividend yield for the 3 years from 2017 to 2019? | Please answer the given financial question based on the context.
| ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Based Compensation Expense and Valuations of Stock Awards
We estimated the ... | Wie hoch war die durchschnittliche Dividendenrendite für die drei Jahre von 2017 bis 2019? | ||Jahr endete am 31. Mai|||
||2019|2018|2017|
|Erwartete Lebensdauer (in Jahren)|4,6|4,7|4,8|
|risikofreier Zinssatz|2,7 %|2,0 %|1,0 %|
|Volatilität|24%|22%|23%|
|Dividendenrendite|1,7 %|1,5 %|1,5 %|
|Gewichteter durchschnittlicher beizulegender Zeitwert pro Aktie|$10,77|$9,34|$8,18|
Aktienbasierte Vergütungsaufwendung... | 1,57 |
tatqa64 | Please answer the given financial question based on the context.
Context: ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Ba... | 1.9 | What was the average risk-free interest rate over the 3 year period from 2017 to 2019? | What was the average risk-free interest rate over the 3 year period from 2017 to 2019? | Please answer the given financial question based on the context.
| ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Based Compensation Expense and Valuations of Stock Awards
We estimated the ... | Wie hoch war der durchschnittliche risikofreie Zinssatz im Dreijahreszeitraum von 2017 bis 2019? | ||Jahr endete am 31. Mai|||
||2019|2018|2017|
|Erwartete Lebensdauer (in Jahren)|4,6|4,7|4,8|
|risikofreier Zinssatz|2,7 %|2,0 %|1,0 %|
|Volatilität|24%|22%|23%|
|Dividendenrendite|1,7 %|1,5 %|1,5 %|
|Gewichteter durchschnittlicher beizulegender Zeitwert pro Aktie|$10,77|$9,34|$8,18|
Aktienbasierte Vergütungsaufwendung... | 1.9 |
tatqa65 | Please answer the given financial question based on the context.
Context: ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Ba... | 4 | How many assumptions are used by the company when using the Black-Scholes-Merton option pricing model? | How many assumptions are used by the company when using the Black-Scholes-Merton option pricing model? | Please answer the given financial question based on the context.
| ||Year Ended May 31,|||
||2019|2018|2017|
|Expected life (in years)|4.6|4.7|4.8|
|risk-free interest rate|2.7%|2.0%|1.0%|
|Volatility|24%|22%|23%|
|Dividend yield|1.7%|1.5%|1.5%|
|Weighted-average fair value per share|$10.77|$9.34|$8.18|
Stock-Based Compensation Expense and Valuations of Stock Awards
We estimated the ... | Wie viele Annahmen verwendet das Unternehmen bei der Verwendung des Black-Scholes-Merton-Optionspreismodells? | ||Jahr endete am 31. Mai|||
||2019|2018|2017|
|Erwartete Lebensdauer (in Jahren)|4,6|4,7|4,8|
|risikofreier Zinssatz|2,7 %|2,0 %|1,0 %|
|Volatilität|24%|22%|23%|
|Dividendenrendite|1,7 %|1,5 %|1,5 %|
|Gewichteter durchschnittlicher beizulegender Zeitwert pro Aktie|$10,77|$9,34|$8,18|
Aktienbasierte Vergütungsaufwendung... | 4 |
tatqa66 | Please answer the given financial question based on the context.
Context: |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Inc... | $1.2 billion | What was the Total unrecognized compensation cost related to non-vested awards at December 31, 2019? | What was the Total unrecognized compensation cost related to non-vested awards at December 31, 2019? | Please answer the given financial question based on the context.
| |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Income tax benefits|(155)|(116)|(131)|
|Net stock-based compensation cost|$5... | Wie hoch waren die gesamten nicht anerkannten Vergütungskosten im Zusammenhang mit nicht unverfallbaren Ansprüchen zum 31. Dezember 2019? | |($ in Millionen)||||
|Für das am 31. Dezember endende Jahr:|2019|2018|2017|
|Kosten|$100|$82|$91|
|Verkauf, Allgemeines und Verwaltung|453|361|384|
|Forschung, Entwicklung und Engineering|126|67|59|
|Aktienbasierte Vergütungskosten vor Steuern|679|510|534|
|Einkommensteuervorteile|(155)|(116)|(131)|
|Aktienbasierte Ne... | 1,2 Milliarden US-Dollar |
tatqa67 | Please answer the given financial question based on the context.
Context: |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Inc... | 2.5 years | In how many years is the Total unrecognized compensation cost related to non-vested awards is to be recognized? | In how many years is the Total unrecognized compensation cost related to non-vested awards is to be recognized? | Please answer the given financial question based on the context.
| |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Income tax benefits|(155)|(116)|(131)|
|Net stock-based compensation cost|$5... | In wie vielen Jahren soll der gesamte nicht anerkannte Vergütungsaufwand im Zusammenhang mit nicht unverfallbaren Ansprüchen anerkannt werden? | |($ in Millionen)||||
|Für das am 31. Dezember endende Jahr:|2019|2018|2017|
|Kosten|$100|$82|$91|
|Verkauf, Allgemeines und Verwaltung|453|361|384|
|Forschung, Entwicklung und Engineering|126|67|59|
|Aktienbasierte Vergütungskosten vor Steuern|679|510|534|
|Einkommensteuervorteile|(155)|(116)|(131)|
|Aktienbasierte Ne... | 2,5 Jahre |
tatqa68 | Please answer the given financial question based on the context.
Context: |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Inc... | not material | What was the amount of capitalized stock-based compensation cost in December 31, 2019? | What was the amount of capitalized stock-based compensation cost in December 31, 2019? | Please answer the given financial question based on the context.
| |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Income tax benefits|(155)|(116)|(131)|
|Net stock-based compensation cost|$5... | Wie hoch waren die aktivierten aktienbasierten Vergütungskosten am 31. Dezember 2019? | |($ in Millionen)||||
|Für das am 31. Dezember endende Jahr:|2019|2018|2017|
|Kosten|$100|$82|$91|
|Verkauf, Allgemeines und Verwaltung|453|361|384|
|Forschung, Entwicklung und Engineering|126|67|59|
|Aktienbasierte Vergütungskosten vor Steuern|679|510|534|
|Einkommensteuervorteile|(155)|(116)|(131)|
|Aktienbasierte Ne... | nicht materiell |
tatqa69 | Please answer the given financial question based on the context.
Context: |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Inc... | 18 | What was the increase / (decrease) in the cost from 2018 to 2019? | What was the increase / (decrease) in the cost from 2018 to 2019? | Please answer the given financial question based on the context.
| |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Income tax benefits|(155)|(116)|(131)|
|Net stock-based compensation cost|$5... | Wie hoch/(rückläufig) waren die Kosten von 2018 auf 2019? | |($ in Millionen)||||
|Für das am 31. Dezember endende Jahr:|2019|2018|2017|
|Kosten|$100|$82|$91|
|Verkauf, Allgemeines und Verwaltung|453|361|384|
|Forschung, Entwicklung und Engineering|126|67|59|
|Aktienbasierte Vergütungskosten vor Steuern|679|510|534|
|Einkommensteuervorteile|(155)|(116)|(131)|
|Aktienbasierte Ne... | 18 |
tatqa70 | Please answer the given financial question based on the context.
Context: |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Inc... | 399.33 | What is the average Selling, general and administrative? | What is the average Selling, general and administrative? | Please answer the given financial question based on the context.
| |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Income tax benefits|(155)|(116)|(131)|
|Net stock-based compensation cost|$5... | Wie hoch ist der durchschnittliche Verkauf, allgemein und administrativ? | |($ in Millionen)||||
|Für das am 31. Dezember endende Jahr:|2019|2018|2017|
|Kosten|$100|$82|$91|
|Verkauf, Allgemeines und Verwaltung|453|361|384|
|Forschung, Entwicklung und Engineering|126|67|59|
|Aktienbasierte Vergütungskosten vor Steuern|679|510|534|
|Einkommensteuervorteile|(155)|(116)|(131)|
|Aktienbasierte Ne... | 399,33 |
tatqa71 | Please answer the given financial question based on the context.
Context: |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Inc... | 88.06 | What is the percentage increase / (decrease) of Research, development and engineering from 2018 to 2019? | What is the percentage increase / (decrease) of Research, development and engineering from 2018 to 2019? | Please answer the given financial question based on the context.
| |($ in millions)||||
|For the year ended December 31:|2019|2018|2017|
|Cost|$100|$82|$91|
|Selling, general and administrative|453|361|384|
|Research, development and engineering|126|67|59|
|Pre-tax stock-based compensation cost|679|510|534|
|Income tax benefits|(155)|(116)|(131)|
|Net stock-based compensation cost|$5... | Wie hoch ist der prozentuale Anstieg/(Rückgang) von Forschung, Entwicklung und Technik von 2018 bis 2019? | |($ in Millionen)||||
|Für das am 31. Dezember endende Jahr:|2019|2018|2017|
|Kosten|$100|$82|$91|
|Verkauf, Allgemeines und Verwaltung|453|361|384|
|Forschung, Entwicklung und Engineering|126|67|59|
|Aktienbasierte Vergütungskosten vor Steuern|679|510|534|
|Einkommensteuervorteile|(155)|(116)|(131)|
|Aktienbasierte Ne... | 88.06 |
tatqa72 | Please answer the given financial question based on the context.
Context: |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(4... | the Board of Directors | Who approved the financial statements? | Who approved the financial statements? | Please answer the given financial question based on the context.
| |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(411.4)|(288.4)|
|Net current assets||4.5|152.5|
|Net assets||1,220.5|1,365... | Wer hat den Jahresabschluss genehmigt? | |||2019|2018|
||Hinweis|£m|£m|
|Anlagevermögen||||
|Investitionen|3|1.216,0|1.212,9|
|||1.216,0|1.212,9|
|Umlaufvermögen||||
|Schuldner|4|415,9|440,7|
|Zahlungsmittel und Zahlungsmitteläquivalente|5|–|0,2|
|||415,9|440,9|
|Gläubiger: Beträge mit Fälligkeit innerhalb eines Jahres|6|(411,4)|(288,4)|
|Nettoumlaufvermögen|... | der Vorstand |
tatqa73 | Please answer the given financial question based on the context.
Context: |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(4... | 2019
2018 | In which years was the total equity calculated? | In which years was the total equity calculated? | Please answer the given financial question based on the context.
| |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(411.4)|(288.4)|
|Net current assets||4.5|152.5|
|Net assets||1,220.5|1,365... | In welchen Jahren wurde das Gesamteigenkapital berechnet? | |||2019|2018|
||Hinweis|£m|£m|
|Anlagevermögen||||
|Investitionen|3|1.216,0|1.212,9|
|||1.216,0|1.212,9|
|Umlaufvermögen||||
|Schuldner|4|415,9|440,7|
|Zahlungsmittel und Zahlungsmitteläquivalente|5|–|0,2|
|||415,9|440,9|
|Gläubiger: Beträge mit Fälligkeit innerhalb eines Jahres|6|(411,4)|(288,4)|
|Nettoumlaufvermögen|... | 2019
2018 |
tatqa74 | Please answer the given financial question based on the context.
Context: |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(4... | Debtors
Cash and cash equivalents | What were the components making up current assets? | What were the components making up current assets? | Please answer the given financial question based on the context.
| |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(411.4)|(288.4)|
|Net current assets||4.5|152.5|
|Net assets||1,220.5|1,365... | Aus welchen Bestandteilen bestand das Umlaufvermögen? | |||2019|2018|
||Hinweis|£m|£m|
|Anlagevermögen||||
|Investitionen|3|1.216,0|1.212,9|
|||1.216,0|1.212,9|
|Umlaufvermögen||||
|Schuldner|4|415,9|440,7|
|Zahlungsmittel und Zahlungsmitteläquivalente|5|–|0,2|
|||415,9|440,9|
|Gläubiger: Beträge mit Fälligkeit innerhalb eines Jahres|6|(411,4)|(288,4)|
|Nettoumlaufvermögen|... | Schuldner
Zahlungsmittel und Zahlungsmitteläquivalente |
tatqa75 | Please answer the given financial question based on the context.
Context: |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(4... | 2019 | In which year was the amount of Investments higher? | In which year was the amount of Investments higher? | Please answer the given financial question based on the context.
| |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(411.4)|(288.4)|
|Net current assets||4.5|152.5|
|Net assets||1,220.5|1,365... | In welchem Jahr war die Höhe der Investitionen höher? | |||2019|2018|
||Hinweis|£m|£m|
|Anlagevermögen||||
|Investitionen|3|1.216,0|1.212,9|
|||1.216,0|1.212,9|
|Umlaufvermögen||||
|Schuldner|4|415,9|440,7|
|Zahlungsmittel und Zahlungsmitteläquivalente|5|–|0,2|
|||415,9|440,9|
|Gläubiger: Beträge mit Fälligkeit innerhalb eines Jahres|6|(411,4)|(288,4)|
|Nettoumlaufvermögen|... | 2019 |
tatqa76 | Please answer the given financial question based on the context.
Context: |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(4... | 0.2 | What was the change in Capital redemption reserve in 2019 from 2018? | What was the change in Capital redemption reserve in 2019 from 2018? | Please answer the given financial question based on the context.
| |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(411.4)|(288.4)|
|Net current assets||4.5|152.5|
|Net assets||1,220.5|1,365... | Wie hat sich die Kapitalrückzahlungsrücklage im Jahr 2019 gegenüber 2018 verändert? | |||2019|2018|
||Hinweis|£m|£m|
|Anlagevermögen||||
|Investitionen|3|1.216,0|1.212,9|
|||1.216,0|1.212,9|
|Umlaufvermögen||||
|Schuldner|4|415,9|440,7|
|Zahlungsmittel und Zahlungsmitteläquivalente|5|–|0,2|
|||415,9|440,9|
|Gläubiger: Beträge mit Fälligkeit innerhalb eines Jahres|6|(411,4)|(288,4)|
|Nettoumlaufvermögen|... | 0,2 |
tatqa77 | Please answer the given financial question based on the context.
Context: |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(4... | 40 | What was the percentage change in Capital redemption reserve in 2019 from 2018? | What was the percentage change in Capital redemption reserve in 2019 from 2018? | Please answer the given financial question based on the context.
| |||2019|2018|
||Note|£m|£m|
|Fixed assets||||
|Investments|3|1,216.0|1,212.9|
|||1,216.0|1,212.9|
|Current assets||||
|Debtors|4|415.9|440.7|
|Cash and cash equivalents|5|–|0.2|
|||415.9|440.9|
|Creditors: amounts falling due within one year|6|(411.4)|(288.4)|
|Net current assets||4.5|152.5|
|Net assets||1,220.5|1,365... | Wie hoch war die prozentuale Veränderung der Kapitalrückzahlungsrücklage im Jahr 2019 gegenüber 2018? | |||2019|2018|
||Hinweis|£m|£m|
|Anlagevermögen||||
|Investitionen|3|1.216,0|1.212,9|
|||1.216,0|1.212,9|
|Umlaufvermögen||||
|Schuldner|4|415,9|440,7|
|Zahlungsmittel und Zahlungsmitteläquivalente|5|–|0,2|
|||415,9|440,9|
|Gläubiger: Beträge mit Fälligkeit innerhalb eines Jahres|6|(411,4)|(288,4)|
|Nettoumlaufvermögen|... | 40 |
tatqa78 | Please answer the given financial question based on the context.
Context: |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|C... | $480 million | How much amount of goodwill was reallocated from “all other” to the IOTG operating segment in 2018? | How much amount of goodwill was reallocated from “all other” to the IOTG operating segment in 2018? | Please answer the given financial question based on the context.
| |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|Client Computing Group|4,403|—|—|(70)|4,333|
|All other|238|—|—|—|238|
|To... | Wie viel Goodwill wurde im Jahr 2018 von „Alle anderen“ in das Geschäftssegment IOTG umgegliedert? | |(In Millionen)|29. Dezember 2018|Akquisitionen|Transfers|Sonstige|28. Dezember 2019|
|Data Center Group|$5.424|$1.758|$—|$—|$7.155|
|Gruppe Internet der Dinge|1.579|—|—|—|1.579|
|Mobileye|10.290|—|—|—|10.290|
|Programmable Solutions Group|2.579|67|—|8|2.681|
|Client Computing Group|4.403|—|—|(70)|4.333|
|Alle anderen|... | 480 Millionen Dollar |
tatqa79 | Please answer the given financial question based on the context.
Context: |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|C... | 1,758 | How much amount of goodwill acquisitions for Data Center Group was done in 2019? | How much amount of goodwill acquisitions for Data Center Group was done in 2019? | Please answer the given financial question based on the context.
| |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|Client Computing Group|4,403|—|—|(70)|4,333|
|All other|238|—|—|—|238|
|To... | Wie viele Goodwill-Akquisitionen wurden für die Data Center Group im Jahr 2019 getätigt? | |(In Millionen)|29. Dezember 2018|Akquisitionen|Transfers|Sonstige|28. Dezember 2019|
|Data Center Group|$5.424|$1.758|$—|$—|$7.155|
|Gruppe Internet der Dinge|1.579|—|—|—|1.579|
|Mobileye|10.290|—|—|—|10.290|
|Programmable Solutions Group|2.579|67|—|8|2.681|
|Client Computing Group|4.403|—|—|(70)|4.333|
|Alle anderen|... | 1.758 |
tatqa80 | Please answer the given financial question based on the context.
Context: |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|C... | 26,276 | How much amount of goodwill activity in 2019 in total? | How much amount of goodwill activity in 2019 in total? | Please answer the given financial question based on the context.
| |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|Client Computing Group|4,403|—|—|(70)|4,333|
|All other|238|—|—|—|238|
|To... | Wie hoch war der Umfang der Goodwill-Aktivitäten im Jahr 2019 insgesamt? | |(In Millionen)|29. Dezember 2018|Akquisitionen|Transfers|Sonstige|28. Dezember 2019|
|Data Center Group|$5.424|$1.758|$—|$—|$7.155|
|Gruppe Internet der Dinge|1.579|—|—|—|1.579|
|Mobileye|10.290|—|—|—|10.290|
|Programmable Solutions Group|2.579|67|—|8|2.681|
|Client Computing Group|4.403|—|—|(70)|4.333|
|Alle anderen|... | 26.276 |
tatqa81 | Please answer the given financial question based on the context.
Context: |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|C... | 0.51 | How much is the percentage change of total goodwill amount from 2017 to 2018? | How much is the percentage change of total goodwill amount from 2017 to 2018? | Please answer the given financial question based on the context.
| |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|Client Computing Group|4,403|—|—|(70)|4,333|
|All other|238|—|—|—|238|
|To... | Wie hoch ist die prozentuale Veränderung des gesamten Goodwill-Betrags von 2017 zu 2018? | |(In Millionen)|29. Dezember 2018|Akquisitionen|Transfers|Sonstige|28. Dezember 2019|
|Data Center Group|$5.424|$1.758|$—|$—|$7.155|
|Gruppe Internet der Dinge|1.579|—|—|—|1.579|
|Mobileye|10.290|—|—|—|10.290|
|Programmable Solutions Group|2.579|67|—|8|2.681|
|Client Computing Group|4.403|—|—|(70)|4.333|
|Alle anderen|... | 0,51 |
tatqa82 | Please answer the given financial question based on the context.
Context: |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|C... | 0.7 | What is the ratio of Data Center Group to Mobileye goodwill amount in 2019? | What is the ratio of Data Center Group to Mobileye goodwill amount in 2019? | Please answer the given financial question based on the context.
| |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|Client Computing Group|4,403|—|—|(70)|4,333|
|All other|238|—|—|—|238|
|To... | Wie hoch ist das Verhältnis der Data Center Group zum Goodwill-Betrag von Mobileye im Jahr 2019? | |(In Millionen)|29. Dezember 2018|Akquisitionen|Transfers|Sonstige|28. Dezember 2019|
|Data Center Group|$5.424|$1.758|$—|$—|$7.155|
|Gruppe Internet der Dinge|1.579|—|—|—|1.579|
|Mobileye|10.290|—|—|—|10.290|
|Programmable Solutions Group|2.579|67|—|8|2.681|
|Client Computing Group|4.403|—|—|(70)|4.333|
|Alle anderen|... | 0,7 |
tatqa83 | Please answer the given financial question based on the context.
Context: |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|C... | Data Center Group | Which department has the second highest amount of Goodwill in 2017? | Which department has the second highest amount of Goodwill in 2017? | Please answer the given financial question based on the context.
| |(In Millions)|Dec 29, 2018|Acquisitions|Transfers|Other|Dec 28, 2019|
|Data Center Group|$5,424|$1,758|$—|$—|$7,155|
|Internet of Things Group|1,579|—|—|—|1,579|
|Mobileye|10,290|—|—|—|10,290|
|Programmable Solutions Group|2,579|67|—|8|2,681|
|Client Computing Group|4,403|—|—|(70)|4,333|
|All other|238|—|—|—|238|
|To... | Welche Abteilung weist im Jahr 2017 den zweithöchsten Goodwill auf? | |(In Millionen)|29. Dezember 2018|Akquisitionen|Transfers|Sonstige|28. Dezember 2019|
|Data Center Group|$5.424|$1.758|$—|$—|$7.155|
|Gruppe Internet der Dinge|1.579|—|—|—|1.579|
|Mobileye|10.290|—|—|—|10.290|
|Programmable Solutions Group|2.579|67|—|8|2.681|
|Client Computing Group|4.403|—|—|(70)|4.333|
|Alle anderen|... | Rechenzentrumsgruppe |
tatqa84 | Please answer the given financial question based on the context.
Context: |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating ... | 13237.4 | How much was the average operating income from 2015 to 2019? | How much was the average operating income from 2015 to 2019? | Please answer the given financial question based on the context.
| |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating income|$13,535|$13,264|$12,913|$12,604|$13,871|
|Net income (1)|$11,083|$... | Wie hoch war das durchschnittliche Betriebsergebnis von 2015 bis 2019? | |||||Ab und für das am 31. Mai endende Geschäftsjahr||
|(in Millionen, außer Beträgen pro Aktie)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Konsolidierte Betriebsrechnungsdaten:|||||
|Gesamtumsatz|$39.506|$39.383|$37.792|$37.047|$38.226|
|Betriebsertrag|13.535 $|13.264 $|12.913 $|12.604 $|13.871 $|
|Nettoeinkommen (1)... | 13237.4 |
tatqa85 | Please answer the given financial question based on the context.
Context: |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating ... | 35796 | What was the total expenses for Oracle in 2018? | What was the total expenses for Oracle in 2018? | Please answer the given financial question based on the context.
| |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating income|$13,535|$13,264|$12,913|$12,604|$13,871|
|Net income (1)|$11,083|$... | Wie hoch waren die Gesamtausgaben für Oracle im Jahr 2018? | |||||Ab und für das am 31. Mai endende Geschäftsjahr||
|(in Millionen, außer Beträgen pro Aktie)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Konsolidierte Betriebsrechnungsdaten:|||||
|Gesamtumsatz|$39.506|$39.383|$37.792|$37.047|$38.226|
|Betriebsertrag|13.535 $|13.264 $|12.913 $|12.604 $|13.871 $|
|Nettoeinkommen (1)... | 35796 |
tatqa86 | Please answer the given financial question based on the context.
Context: |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating ... | 24 | What was the total value of long-term senior notes that were issued in fiscal 2018 and fiscal 2017? | What was the total value of long-term senior notes that were issued in fiscal 2018 and fiscal 2017? | Please answer the given financial question based on the context.
| |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating income|$13,535|$13,264|$12,913|$12,604|$13,871|
|Net income (1)|$11,083|$... | Wie hoch war der Gesamtwert der langfristigen vorrangigen Schuldverschreibungen, die im Geschäftsjahr 2018 und im Geschäftsjahr 2017 ausgegeben wurden? | |||||Ab und für das am 31. Mai endende Geschäftsjahr||
|(in Millionen, außer Beträgen pro Aktie)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Konsolidierte Betriebsrechnungsdaten:|||||
|Gesamtumsatz|$39.506|$39.383|$37.792|$37.047|$38.226|
|Betriebsertrag|13.535 $|13.264 $|12.913 $|12.604 $|13.871 $|
|Nettoeinkommen (1)... | 24 |
tatqa87 | Please answer the given financial question based on the context.
Context: |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating ... | Our net income and diluted earnings per share were impacted in fiscal 2019 and 2018 by the effects of the U.S. Tax Cuts and Jobs Act of 2017 (the Tax Act). The more significant provisions of the Tax Act as applicable to us are described below under “Impacts of the U.S. Tax Cuts and Jobs Act of 2017”. | Why was the diluted earnings per share and net income impacted in fiscal 2019 and 2018? | Why was the diluted earnings per share and net income impacted in fiscal 2019 and 2018? | Please answer the given financial question based on the context.
| |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating income|$13,535|$13,264|$12,913|$12,604|$13,871|
|Net income (1)|$11,083|$... | Warum wurden der verwässerte Gewinn pro Aktie und der Nettogewinn im Geschäftsjahr 2019 und 2018 beeinträchtigt? | |||||Ab und für das am 31. Mai endende Geschäftsjahr||
|(in Millionen, außer Beträgen pro Aktie)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Konsolidierte Betriebsrechnungsdaten:|||||
|Gesamtumsatz|$39.506|$39.383|$37.792|$37.047|$38.226|
|Betriebsertrag|13.535 $|13.264 $|12.913 $|12.604 $|13.871 $|
|Nettoeinkommen (1)... | Unser Nettogewinn und unser verwässerter Gewinn je Aktie wurden im Geschäftsjahr 2019 und 2018 durch die Auswirkungen des U.S. Tax Cuts and Jobs Act von 2017 (der Tax Act) beeinflusst. Die wichtigeren Bestimmungen des Steuergesetzes, die für uns gelten, werden unten unter „Auswirkungen des U.S. Tax Cuts and Jobs Act vo... |
tatqa88 | Please answer the given financial question based on the context.
Context: |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating ... | See Note 7 of Notes to Consolidated Financial Statements included elsewhere in this Annual report for additional information regarding our notes payable and other borrowings. | Where should one look at to obtain additional information on the company’s notes payable and other borrowings? | Where should one look at to obtain additional information on the company’s notes payable and other borrowings? | Please answer the given financial question based on the context.
| |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating income|$13,535|$13,264|$12,913|$12,604|$13,871|
|Net income (1)|$11,083|$... | Wo sollte man nachsehen, um zusätzliche Informationen über die Schuldverschreibungen und sonstigen Kredite des Unternehmens zu erhalten? | |||||Ab und für das am 31. Mai endende Geschäftsjahr||
|(in Millionen, außer Beträgen pro Aktie)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Konsolidierte Betriebsrechnungsdaten:|||||
|Gesamtumsatz|$39.506|$39.383|$37.792|$37.047|$38.226|
|Betriebsertrag|13.535 $|13.264 $|12.913 $|12.604 $|13.871 $|
|Nettoeinkommen (1)... | Weitere Informationen zu unseren Schuldverschreibungen und anderen Kreditaufnahmen finden Sie in Anmerkung 7 im Anhang zum Konzernabschluss an anderer Stelle in diesem Geschäftsbericht. |
tatqa89 | Please answer the given financial question based on the context.
Context: |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating ... | Working capital and total assets decreased in fiscal 2019 primarily due to $36.1 billion of cash used for repurchases of our common stock during fiscal 2019 and also due to dividend payments, partially offset by the favorable impacts to our net current assets resulting from our fiscal 2019 net income.
In addition, our ... | Why did the working capital and total assets decrease in fiscal 2019? | Why did the working capital and total assets decrease in fiscal 2019? | Please answer the given financial question based on the context.
| |||||As of and for the Year Ended May 31,||
|(in millions, except per share amounts)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Consolidated Statements of Operations Data:|||||
|Total revenues|$39,506|$39,383|$37,792|$37,047|$38,226|
|Operating income|$13,535|$13,264|$12,913|$12,604|$13,871|
|Net income (1)|$11,083|$... | Warum sind das Working Capital und die Bilanzsumme im Geschäftsjahr 2019 gesunken? | |||||Ab und für das am 31. Mai endende Geschäftsjahr||
|(in Millionen, außer Beträgen pro Aktie)|2019|2018 (4)|2017 (4)|2016 (4)|2015 (4)|
||Konsolidierte Betriebsrechnungsdaten:|||||
|Gesamtumsatz|$39.506|$39.383|$37.792|$37.047|$38.226|
|Betriebsertrag|13.535 $|13.264 $|12.913 $|12.604 $|13.871 $|
|Nettoeinkommen (1)... | Das Betriebskapital und die Bilanzsumme sanken im Geschäftsjahr 2019 hauptsächlich aufgrund der Verwendung von Barmitteln in Höhe von 36,1 Milliarden US-Dollar für den Rückkauf unserer Stammaktien im Geschäftsjahr 2019 sowie aufgrund von Dividendenzahlungen, was teilweise durch die positiven Auswirkungen unseres Nettou... |
tatqa90 | Please answer the given financial question based on the context.
Context: |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22... | 22,626 | What was the Deferred income tax assets as reported? | What was the Deferred income tax assets as reported? | Please answer the given financial question based on the context.
| |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22,510|(3,319)|19,191|
||Liabilities and Stockholders' Equity|||
|Deferred ... | Wie hoch waren die ausgewiesenen latenten Steueransprüche? | |||Stand: 28. Februar 2019||
|||ASC 606|Ohne ASC 606|
||Wie berichtet|Anpassungen|Annahme|
|Vermögenswerte||||
| Rechnungsabgrenzungsposten und sonstige kurzfristige Vermögenswerte (1)|19.373 $|(1.473)|17.900 $|
|Latente Steueransprüche|22.626|(532)|22.094|
|Sonstige Vermögenswerte (1)|22.510|(3.319)|19.191|
||Verbindl... | 22.626 |
tatqa91 | Please answer the given financial question based on the context.
Context: |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22... | 22,094 | What was the Deferred income tax assets without the adoption of ASC 606? | What was the Deferred income tax assets without the adoption of ASC 606? | Please answer the given financial question based on the context.
| |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22,510|(3,319)|19,191|
||Liabilities and Stockholders' Equity|||
|Deferred ... | Wie hoch waren die latenten Steueransprüche ohne die Einführung von ASC 606? | |||Stand: 28. Februar 2019||
|||ASC 606|Ohne ASC 606|
||Wie berichtet|Anpassungen|Annahme|
|Vermögenswerte||||
| Rechnungsabgrenzungsposten und sonstige kurzfristige Vermögenswerte (1)|19.373 $|(1.473)|17.900 $|
|Latente Steueransprüche|22.626|(532)|22.094|
|Sonstige Vermögenswerte (1)|22.510|(3.319)|19.191|
||Verbindl... | 22.094 |
tatqa92 | Please answer the given financial question based on the context.
Context: |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22... | 64509 | What were the total Assets as reported? | What were the total Assets as reported? | Please answer the given financial question based on the context.
| |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22,510|(3,319)|19,191|
||Liabilities and Stockholders' Equity|||
|Deferred ... | Wie hoch war das gemeldete Gesamtvermögen? | |||Stand: 28. Februar 2019||
|||ASC 606|Ohne ASC 606|
||Wie berichtet|Anpassungen|Annahme|
|Vermögenswerte||||
| Rechnungsabgrenzungsposten und sonstige kurzfristige Vermögenswerte (1)|19.373 $|(1.473)|17.900 $|
|Latente Steueransprüche|22.626|(532)|22.094|
|Sonstige Vermögenswerte (1)|22.510|(3.319)|19.191|
||Verbindl... | 64509 |
tatqa93 | Please answer the given financial question based on the context.
Context: |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22... | 62740 | What were the total Liabilities and Stockholders' Equity as reported? | What were the total Liabilities and Stockholders' Equity as reported? | Please answer the given financial question based on the context.
| |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22,510|(3,319)|19,191|
||Liabilities and Stockholders' Equity|||
|Deferred ... | Wie hoch waren die insgesamt ausgewiesenen Verbindlichkeiten und das Eigenkapital? | |||Stand: 28. Februar 2019||
|||ASC 606|Ohne ASC 606|
||Wie berichtet|Anpassungen|Annahme|
|Vermögenswerte||||
| Rechnungsabgrenzungsposten und sonstige kurzfristige Vermögenswerte (1)|19.373 $|(1.473)|17.900 $|
|Latente Steueransprüche|22.626|(532)|22.094|
|Sonstige Vermögenswerte (1)|22.510|(3.319)|19.191|
||Verbindl... | 62740 |
tatqa94 | Please answer the given financial question based on the context.
Context: |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22... | 14212 | What is the difference in amount between Deferred Revenue and Other non-current liabilities as reported? | What is the difference in amount between Deferred Revenue and Other non-current liabilities as reported? | Please answer the given financial question based on the context.
| |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22,510|(3,319)|19,191|
||Liabilities and Stockholders' Equity|||
|Deferred ... | Wie hoch ist der Betragsunterschied zwischen den ausgewiesenen abgegrenzten Einnahmen und den sonstigen langfristigen Verbindlichkeiten? | |||Stand: 28. Februar 2019||
|||ASC 606|Ohne ASC 606|
||Wie berichtet|Anpassungen|Annahme|
|Vermögenswerte||||
| Rechnungsabgrenzungsposten und sonstige kurzfristige Vermögenswerte (1)|19.373 $|(1.473)|17.900 $|
|Latente Steueransprüche|22.626|(532)|22.094|
|Sonstige Vermögenswerte (1)|22.510|(3.319)|19.191|
||Verbindl... | 14212 |
tatqa95 | Please answer the given financial question based on the context.
Context: |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22... | 24,264 | What was the Deferred Revenue as reported? | What was the Deferred Revenue as reported? | Please answer the given financial question based on the context.
| |||As of February 28, 2019||
|||ASC 606|Without ASC 606|
||As reported|Adjustments|Adoption|
|Assets||||
|Prepaid expenses and other current assets (1)|$19,373|(1,473)|$17,900|
|Deferred income tax assets|22,626|(532)|22,094|
|Other assets (1)|22,510|(3,319)|19,191|
||Liabilities and Stockholders' Equity|||
|Deferred ... | Wie hoch waren die ausgewiesenen abgegrenzten Einnahmen? | |||Stand: 28. Februar 2019||
|||ASC 606|Ohne ASC 606|
||Wie berichtet|Anpassungen|Annahme|
|Vermögenswerte||||
| Rechnungsabgrenzungsposten und sonstige kurzfristige Vermögenswerte (1)|19.373 $|(1.473)|17.900 $|
|Latente Steueransprüche|22.626|(532)|22.094|
|Sonstige Vermögenswerte (1)|22.510|(3.319)|19.191|
||Verbindl... | 24.264 |
tatqa96 | Please answer the given financial question based on the context.
Context: ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORAT... | 27.0 | What were the Other operating expenses in 2019? | What were the Other operating expenses in 2019? | Please answer the given financial question based on the context.
| ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORATION AND SUBSIDIARIES NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Tabular ... | Wie hoch waren die sonstigen betrieblichen Aufwendungen im Jahr 2019? | ||2019 (1)|2018|2017 (2)|
|Wertminderungskosten|$94,2|$394,0|$211,4|
|Nettoverluste aus Verkäufen oder Veräußerungen von Vermögenswerten|45,1|85,6|32,8|
|Sonstige betriebliche Aufwendungen|27,0|33,7|11,8|
|Gesamt sonstiger Betriebsaufwand|$166,3|$513,3|$256,0|
AMERICAN TOWER CORPORATION UND TOCHTERGESELLSCHAFTEN – ANME... | 27.0 |
tatqa97 | Please answer the given financial question based on the context.
Context: ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORAT... | $513.3 | What was the Total Other operating expenses in 2018? | What was the Total Other operating expenses in 2018? | Please answer the given financial question based on the context.
| ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORATION AND SUBSIDIARIES NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Tabular ... | Wie hoch waren die gesamten sonstigen betrieblichen Aufwendungen im Jahr 2018? | ||2019 (1)|2018|2017 (2)|
|Wertminderungskosten|$94,2|$394,0|$211,4|
|Nettoverluste aus Verkäufen oder Veräußerungen von Vermögenswerten|45,1|85,6|32,8|
|Sonstige betriebliche Aufwendungen|27,0|33,7|11,8|
|Gesamt sonstiger Betriebsaufwand|$166,3|$513,3|$256,0|
AMERICAN TOWER CORPORATION UND TOCHTERGESELLSCHAFTEN – ANME... | 513,3 $ |
tatqa98 | Please answer the given financial question based on the context.
Context: ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORAT... | 45.1 | What was the Net losses on sales or disposals of assets in 2019? | What was the Net losses on sales or disposals of assets in 2019? | Please answer the given financial question based on the context.
| ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORATION AND SUBSIDIARIES NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Tabular ... | Wie hoch waren die Nettoverluste aus Verkäufen oder Veräußerungen von Vermögenswerten im Jahr 2019? | ||2019 (1)|2018|2017 (2)|
|Wertminderungskosten|$94,2|$394,0|$211,4|
|Nettoverluste aus Verkäufen oder Veräußerungen von Vermögenswerten|45,1|85,6|32,8|
|Sonstige betriebliche Aufwendungen|27,0|33,7|11,8|
|Gesamt sonstiger Betriebsaufwand|$166,3|$513,3|$256,0|
AMERICAN TOWER CORPORATION UND TOCHTERGESELLSCHAFTEN – ANME... | 45.1 |
tatqa99 | Please answer the given financial question based on the context.
Context: ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORAT... | 1 | How many expenses segments in 2019 were above $50 million? | How many expenses segments in 2019 were above $50 million? | Please answer the given financial question based on the context.
| ||2019 (1)|2018|2017 (2)|
|Impairment charges|$94.2|$394.0|$211.4|
|Net losses on sales or disposals of assets|45.1|85.6|32.8|
|Other operating expenses|27.0|33.7|11.8|
|Total Other operating expenses|$166.3|$513.3|$256.0|
AMERICAN TOWER CORPORATION AND SUBSIDIARIES NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (Tabular ... | Wie viele Ausgabensegmente lagen 2019 über 50 Millionen US-Dollar? | ||2019 (1)|2018|2017 (2)|
|Wertminderungskosten|$94,2|$394,0|$211,4|
|Nettoverluste aus Verkäufen oder Veräußerungen von Vermögenswerten|45,1|85,6|32,8|
|Sonstige betriebliche Aufwendungen|27,0|33,7|11,8|
|Gesamt sonstiger Betriebsaufwand|$166,3|$513,3|$256,0|
AMERICAN TOWER CORPORATION UND TOCHTERGESELLSCHAFTEN – ANME... | 1 |
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