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during the 2015 annual review of goodwill , management proceeded directly to the two-step quantitative impairment test for two reporting units as follows : global rolled products segment and the soft alloys extrusion business in brazil ( hereafter 201csae 201d ) , which is included in the transportation and constructio...
what is the variation between the weighted- average useful lives of software and other intangible assets by primary metals segment , in years?
31
{ "answer": "31", "decimal": 31, "type": "float" }
it is the difference between the number of years of software and other intangible assets .
notes to consolidated financial statements investments in funds that calculate net asset value per share cash instruments at fair value include investments in funds that are valued based on the net asset value per share ( nav ) of the investment fund .the firm uses nav as its measure of fair value for fund investments ...
the firm redeemed approximately $ 1.06 billion of these interests in hedge funds during the year ended december 2012 . what percentage was this of the remaining funds at 12/31/21?
48.9%
{ "answer": "48.9%", "decimal": 0.489, "type": "percentage" }
reporting unit 2019s related goodwill assets .in 2013 , we recorded a non-cash goodwill impairment charge of $ 195 million , net of state tax benefits .see 201ccritical accounting policies - goodwill 201d in management 2019s discussion and analysis of financial condition and results of operations and 201cnote 1 2013 si...
what percentage of total square feet of floor space by business segment at december 31 , 2013 is in missiles and fire control?
14%
{ "answer": "14%", "decimal": 0.14, "type": "percentage" }
the company 2019s 2017 reported tax rate includes $ 160.9 million of net tax benefits associated with the tax act , $ 6.2 million of net tax benefits on special gains and charges , and net tax benefits of $ 25.3 million associated with discrete tax items .in connection with the company 2019s initial analysis of the imp...
what is the percentage change in the balance of gross liability for unrecognized tax benefits from 2016 to 2017?
-19.0%
{ "answer": "-19.0%", "decimal": -0.19, "type": "percentage" }
entergy corporation and subsidiaries management's financial discussion and analysis refer to 201cselected financial data - five-year comparison of entergy corporation and subsidiaries 201d which accompanies entergy corporation 2019s financial statements in this report for further information with respect to operating s...
what portion of the net change in net revenue is due to the retail electric price?
38.4%
{ "answer": "38.4%", "decimal": 0.384, "type": "percentage" }
the following table summarizes the changes in the company 2019s valuation allowance: . [['balance at january 1 2011', '$ 23788'], ['increases in current period tax positions', '1525'], ['decreases in current period tax positions', '-3734 ( 3734 )'], ['balance at december 31 2011', '$ 21579'], ['increases in current per...
by how much did the company's valuation allowance change from 2012 to 2013?
-30.56%
{ "answer": "-30.56%", "decimal": -0.3056, "type": "percentage" }
property investmentp yrr our overall strategy is to continue to increase our investment in quality industrial properties in both existing and select new markets and to continue to increase our investment in on-campus or hospital affiliated medical offf fice ff properties .pursuant to this strategy , we evaluate develop...
in 2015 what was the percent of the total second generation capital expenditures by type of expenditure that wassecond generation leasing costs
79.5%
{ "answer": "79.5%", "decimal": 0.795, "type": "percentage" }
56 / 57 management 2019s discussion and analysis of financial condition and results of operations junior subordinate deferrable interest debentures in june 2005 , we issued $ 100.0 a0million of trust preferred securities , which are reflected on the balance sheet as junior subordinate deferrable interest debentures .th...
a hypothetical 100 basis point increase in interest rates along the entire interest rate curve for 2011 and 2010 would increase our annual interest cost by what average amount , in millions?
11.6
{ "answer": "11.6", "decimal": 11.6, "type": "float" }
item 7a .quantitative and qualitative disclosures about market risk ( amounts in millions ) in the normal course of business , we are exposed to market risks related to interest rates , foreign currency rates and certain balance sheet items .from time to time , we use derivative instruments , pursuant to established gu...
what was the total amount of interest income combined in 2011 and 2012 , in millions?
67.3
{ "answer": "67.3", "decimal": 67.3, "type": "float" }
it can issue debt securities , preferred stock , common stock , warrants , share purchase contracts or share purchase units without a predetermined limit .securities can be sold in one or more separate offerings with the size , price and terms to be determined at the time of sale .emerson 2019s financial structure prov...
what percent of total contractual obligations is due to long-term debt ( including interest ) ?
81%
{ "answer": "81%", "decimal": 0.81, "type": "percentage" }
the following table provides the weighted average assumptions used in the black-scholes option-pricing model for grants and the resulting weighted average grant date fair value per share of stock options granted for the years ended december 31: . [['', '2018', '2017', '2016'], ['intrinsic value', '$ 9', '$ 10', '$ 18']...
what was average income tax benefit realized for the three year period?
3.67
{ "answer": "3.67", "decimal": 3.67, "type": "float" }
notes to consolidated financial statements note 20 .regulation and capital adequacy the federal reserve board is the primary regulator of group inc. , a bank holding company under the bank holding company act of 1956 ( bhc act ) and a financial holding company under amendments to the bhc act effected by the u.s .gramm-...
what was the change in risk-weighted assets in millions between 2011 and 2012?
-57099
{ "answer": "-57099", "decimal": -57099, "type": "float" }
assumed health care cost trend rates for the u.s .retiree health care benefit plan as of december 31 are as follows: . [['', '2017', '2016'], ['assumed health care cost trend rate for next year', '7.50% ( 7.50 % )', '6.75% ( 6.75 % )'], ['ultimate trend rate', '5.00% ( 5.00 % )', '5.00% ( 5.00 % )'], ['year in which ul...
by how many percentage points did the health care cost trend rate for next year increase in 2017?
0.75
{ "answer": "0.75", "decimal": 0.75, "type": "float" }
operating expenses operating expenses were $ 2.9 billion , an increase of 8% ( 8 % ) over 2000 .adjusted for the formation of citistreet , operating expenses grew 10% ( 10 % ) .expense growth in 2001 of 10% ( 10 % ) is significantly lower than the comparable 20% ( 20 % ) expense growth for 2000 compared to 1999 .state ...
what is the growth rate in the number of employees from 1999 to 2000?
2.3%
{ "answer": "2.3%", "decimal": 0.023, "type": "percentage" }
factors , including the market price of our common stock , general economic and market conditions and applicable legal requirements .the repurchase program may be commenced , suspended or discontinued at any time .in fiscal 2019 , we repurchased approximately 2.1 million shares of our common stock for an aggregate cost...
what percent of longterm debt payments are deferred until after 2024?
58.98%
{ "answer": "58.98%", "decimal": 0.5898, "type": "percentage" }
our initial estimate of fraud losses , fines and other charges on our understanding of the rules and operating regulations published by the networks and preliminary communications with the networks .we have now reached resolution with and made payments to the networks , resulting in charges that were less than our init...
what portion of the beginning balance of accrual for fraud losses is regulated through adjustments?
47.1%
{ "answer": "47.1%", "decimal": 0.47100000000000003, "type": "percentage" }
reinsurance commissions , fees and other revenue increased 1% ( 1 % ) driven by a favorable foreign currency translation of 2% ( 2 % ) and was partially offset by a 1% ( 1 % ) decline in dispositions , net of acquisitions and other .organic revenue was flat primarily resulting from strong growth in the capital market t...
what was the percent of the increase in the revenue from 2010 to 2011
113%
{ "answer": "113%", "decimal": 1.13, "type": "percentage" }
the revenue increase 113% from 2010 to 2011
during the year ended december 31 , 2011 , we granted 354660 performance share units having a fair value based on our grant date closing stock price of $ 28.79 .these units are payable in stock and are subject to certain financial performance criteria .the fair value of these performance share unit awards is based on t...
what percentage of the fair value of performance share units at july 1 , 2011 was relates to to post-merger services and will be recognized ratably over the remaining service period through 2013?
84.9%
{ "answer": "84.9%", "decimal": 0.8490000000000001, "type": "percentage" }
table of contents ( 4 ) the increase in cash flows was primarily due to the timing of inventory purchases and longer payment terms with certain vendors .in order to manage our working capital and operating cash needs , we monitor our cash conversion cycle , defined as days of sales outstanding in accounts receivable pl...
in data what was the average cash conversion cycle for the three year period?
19.7
{ "answer": "19.7", "decimal": 19.7, "type": "float" }
performance graph the graph below compares the cumulative total shareholder return on pmi's common stock with the cumulative total return for the same period of pmi's compensation survey group and the s&p 500 index .the graph assumes the investment of $ 100 as of december 31 , 2010 , in pmi common stock ( at prices quo...
what was the difference in percentage cumulative total shareholder return on pmi's common stock versus the s&p 500 index for the five years ended december 31 , 2015?
5.40%
{ "answer": "5.40%", "decimal": 0.054000000000000006, "type": "percentage" }
approved by the board of directors on april 21 , 2004 and expired on april 30 , 2006 .sources and uses in financing activities during 2005 related primarily to uses for the payment of a dividend ( $ 54.0 million ) and stock repurchase ( $ 26.7 million ) , and a source of cash from the issuance of common shares related ...
what percentage of total contractual obligations and commercial commitments future commitments of garmin , as of december 29 , 2007 are due to purchase obligations?
10%
{ "answer": "10%", "decimal": 0.1, "type": "percentage" }
2mar201707015999 ( c ) in october 2016 , our accelerated share repurchase ( 2018 2018asr 2019 2019 ) agreement concluded and we received an additional 44 thousand shares of our common stock .shares purchased pursuant to the asr agreement are presented in the table above in the periods in which they were received .perfo...
what was the percentage cumulative total return for edwards lifesciences for the five years ended 2016?
165%
{ "answer": "165%", "decimal": 1.65, "type": "percentage" }
part ii item 5 .market for registrant 2019s common equity , related stockholder matters and issuer purchases of equity securities at january 25 , 2019 , we had 26812 holders of record of our common stock , par value $ 1 per share .our common stock is traded on the new york stock exchange ( nyse ) under the symbol lmt ....
what is the percentage change in total dividends paid per share from 2017 to 2018?
9.9%
{ "answer": "9.9%", "decimal": 0.099, "type": "percentage" }
in february 2008 , we issued $ 300.0 million of 8.375% ( 8.375 % ) series o cumulative redeemable preferred shares .the indentures ( and related supplemental indentures ) governing our outstanding series of notes also require us to comply with financial ratios and other covenants regarding our operations .we were in co...
in 2007 what was the percent of the total recurring capital expenditures that was associated with recurring leasing costs
37.5%
{ "answer": "37.5%", "decimal": 0.375, "type": "percentage" }
( 3 ) refer to note 2 201csummary of significant accounting principles and practices 201d for further information .13 .employee benefitsp y defined contribution savings plans aon maintains defined contribution savings plans for the benefit of its employees .the expense recognized for these plans is included in compensa...
considering the years 2016-2018 , what is the average expense for the significant plans in the u.k.?
43.66
{ "answer": "43.66", "decimal": 43.66, "type": "float" }
it is the sum of all expense for the significant plans divided by three .
weighted average fair values and valuation assumptions used to value performance unit and performance stock grants during the years ended december 31 , 2016 , 2015 and 2014 were as follows: . [['', '2016', '2015', '2014'], ['weighted average fair value of grants', '$ 119.10', '$ 80.64', '$ 119.27'], ['expected volatili...
what is the variation observed in the risk-free interest rate during 2015 and 2016?
0.08%
{ "answer": "0.08%", "decimal": 0.0008, "type": "percentage" }
it is the difference between those risk-free interest rates .
properties , plants , and equipment .properties , plants , and equipment are recorded at cost .depreciation is recorded principally on the straight-line method at rates based on the estimated useful lives of the assets .the following table details the weighted-average useful lives of structures and machinery and equipm...
what is the difference between firth rixson's goodwill and the rti's?
1503
{ "answer": "1503", "decimal": 1503, "type": "float" }
it is the variation between each company's goodwill .
performance graph comparison of five-year cumulative total return the following graph and table compare the cumulative total return on citi 2019s common stock , which is listed on the nyse under the ticker symbol 201cc 201d and held by 81805 common stockholders of record as of january 31 , 2016 , with the cumulative to...
what was the overall percentage growth of the cumulative total return for citi from 2010 to 2015
10.14%
{ "answer": "10.14%", "decimal": 0.1014, "type": "percentage" }
vornado realty trust notes to consolidated financial statements ( continued ) 9 .debt - continued our revolving credit facility and senior unsecured notes contain financial covenants which require us to maintain minimum interest coverage ratios and limit our debt to market capitalization ratios .we believe that we have...
for the year ending december 31 , 2008 , were principal payments greater than 2009?
yes
{ "answer": "yes", "decimal": 1, "type": "bool" }
troubled debt restructurings ( tdrs ) a tdr is a loan whose terms have been restructured in a manner that grants a concession to a borrower experiencing financial difficulty .tdrs result from our loss mitigation activities , and include rate reductions , principal forgiveness , postponement/reduction of scheduled amort...
what were total specific reserves in the alll in billions at december 31 , 2014 and december 31 , 2013 for the total tdr portfolio?
.9
{ "answer": ".9", "decimal": 0.9, "type": "float" }
as described above , the borrowings are extended on a non-recourse basis .as such , there is no credit or market risk exposure to us on the assets , and as a result the terms of the amlf permit exclusion of the assets from regulatory leverage and risk-based capital calculations .the interest rate on the borrowings is s...
what is the percentage change in the balance of the outstanding commercial papers from 2007 to 2008?
9.7%
{ "answer": "9.7%", "decimal": 0.09699999999999999, "type": "percentage" }
it can issue debt securities , preferred stock , common stock , warrants , share purchase contracts or share purchase units without a predetermined limit .securities can be sold in one or more separate offerings with the size , price and terms to be determined at the time of sale .emerson 2019s financial structure prov...
what percent of total contractual obligations is due to purchase obligations?
11%
{ "answer": "11%", "decimal": 0.11, "type": "percentage" }
credit commitments and lines of credit the table below summarizes citigroup 2019s credit commitments : in millions of dollars u.s .outside of u.s .december 31 , december 31 . [['in millions of dollars', 'u.s .', 'outside ofu.s .', 'december 312018', 'december 31 2017'], ['commercial and similar letters of credit', '$ 8...
what percentage of total credit commitments as of december 31 , 2017 are credit card lines?
69%
{ "answer": "69%", "decimal": 0.69, "type": "percentage" }
kendal vroman , 39 mr .vroman has served as our managing director , commodity products , otc services & information products since february 2010 .mr .vroman previously served as managing director and chief corporate development officer from 2008 to 2010 .mr .vroman joined us in 2001 and since then has held positions of...
what was the average percent of trading through telecommunication hubs for 2008-2010 ? \\n
7.7
{ "answer": "7.7", "decimal": 7.7, "type": "float" }
entergy mississippi , inc .management 2019s financial discussion and analysis plan to spin off the utility 2019s transmission business see the 201cplan to spin off the utility 2019s transmission business 201d section of entergy corporation and subsidiaries management 2019s financial discussion and analysis for a discus...
based on the review of the net revenue changes what was ratio of the volume/weather to the transmission equalization
-1
{ "answer": "-1", "decimal": -1, "type": "float" }
the discount rate used to measure pension obligations is determined by comparing the expected future benefits that will be paid under the plan with yields available on high quality corporate bonds of similar duration .the impact on pension expense of a .5% ( .5 % ) decrease in discount rate in the current environment i...
for pension expense , does a .5% ( .5 % ) decrease in discount rate have a greater impact than a .5% ( .5 % ) decrease in expected long-term return on assets?
no
{ "answer": "no", "decimal": null, "type": "bool" }
the following table sets forth our refined products sales by product group and our average sales price for each of the last three years .refined product sales ( thousands of barrels per day ) 2008 2007 2006 . [['( thousands of barrels per day )', '2008', '2007', '2006'], ['gasoline', '756', '791', '804'], ['distillates...
based on average sales price , how much refined product sales revenue did mro achieve in 2008?
148030
{ "answer": "148030", "decimal": 148030, "type": "float" }
application of specific accounting literature .for the nonconsolidated proprietary tob trusts and qspe tob trusts , the company recognizes only its residual investment on its balance sheet at fair value and the third-party financing raised by the trusts is off-balance sheet .the following table summarizes selected cash...
what was the difference in billions of proceeds from new securitizations from 2007 to 2008?
-9.3
{ "answer": "-9.3", "decimal": -9.3, "type": "float" }
stock performance graph the following graph sets forth the cumulative total shareholder return on our series a common stock , series b common stock and series c common stock as compared with the cumulative total return of the companies listed in the standard and poor 2019s 500 stock index ( 201cs&p 500 index 201d ) and...
did the b series stock's 5 year performance beat the s&p 500?
no
{ "answer": "no", "decimal": null, "type": "bool" }
consolidated income statement review our consolidated income statement is presented in item 8 of this report .net income for 2012 was $ 3.0 billion compared with $ 3.1 billion for 2011 .revenue growth of 8 percent and a decline in the provision for credit losses were more than offset by a 16 percent increase in noninte...
dodd-frank was responsible for what time negative impact , in millions , on revenue in 2011 and 2012?
389
{ "answer": "389", "decimal": 389, "type": "float" }
page 78 of 98 notes to consolidated financial statements ball corporation and subsidiaries 17 .financial instruments and risk management ( continued ) at december 31 , 2006 , the company had outstanding interest rate swap agreements in europe with notional amounts of 20ac135 million paying fixed rates .approximately $ ...
what is the unrealized gain ( in millions ) on the hedges of long-term debt for 2006?
2.5
{ "answer": "2.5", "decimal": 2.5, "type": "float" }
management 2019s discussion and analysis 74 jpmorgan chase & co./2017 annual report treasury and cio overview treasury and cio is predominantly responsible for measuring , monitoring , reporting and managing the firm 2019s liquidity , funding and structural interest rate and foreign exchange risks , as well as executin...
for 2017 , were available for sale securities on average greater than held to maturity securities?
yes
{ "answer": "yes", "decimal": 1, "type": "bool" }
abbreviations
( c ) effective january 1 , 2019 , these assets were transferred from the products pipelines business segment to the natural gas pipelines business segment .( d ) effective january 1 , 2019 , a small number of terminals were transferred between the products pipelines and terminals business segments .competition our pro...
what percent of storage facilities are liquid terminals
50.98%
{ "answer": "50.98%", "decimal": 0.5097999999999999, "type": "percentage" }
tax returns for 2001 and beyond are open for examination under statute .currently , unrecognized tax benefits are not expected to change significantly over the next 12 months .19 .stock-based and other management compensation plans in april 2009 , the company approved a global incentive plan which replaces the company ...
what portion of the total shares subject to outstanding awards is under the 2004 stock incentive plan?
29.9%
{ "answer": "29.9%", "decimal": 0.299, "type": "percentage" }
jpmorgan chase & co./2015 annual report 67 five-year stock performance the following table and graph compare the five-year cumulative total return for jpmorgan chase & co .( 201cjpmorgan chase 201d or the 201cfirm 201d ) common stock with the cumulative return of the s&p 500 index , the kbw bank index and the s&p finan...
what was the 5 year return of the s&p 500 index?
80.67%
{ "answer": "80.67%", "decimal": 0.8067, "type": "percentage" }
entergy corporation and subsidiaries management 2019s financial discussion and analysis palisades plants and related assets to their fair values .see note 14 to the financial statements for further discussion of the impairment and related charges .as a result of the entergy louisiana and entergy gulf states louisiana b...
what portion of the net change in net revenue is due to retail electric price?
82.6%
{ "answer": "82.6%", "decimal": 0.826, "type": "percentage" }
of sales , competitive supply gross margin declined in south america , europe/africa and the caribbean and remained relatively flat in north america and asia .large utilities gross margin increased $ 201 million , or 37% ( 37 % ) , to $ 739 million in 2001 from $ 538 million in 2000 .excluding businesses acquired or th...
2001 north american revenues were what in millions?
3648
{ "answer": "3648", "decimal": 3648, "type": "float" }
commodity prices risk : the company manages commodity price risks through negotiated supply contracts , price protection agreements and forward contracts .3m used commodity price swaps as cash flow hedges of forecasted commodity transactions to manage price volatility , but discontinued this practice in the first quart...
what was the net foreign exchange rate in 2015 in millions
19
{ "answer": "19", "decimal": 19, "type": "float" }
other expense , net , decreased $ 6.2 million , or 50.0% ( 50.0 % ) , for the year ended december 31 , 2004 compared to the year ended december 31 , 2003 .the decrease was primarily due to a reduction in charges on disposal and transfer costs of fixed assets and facility closure costs of $ 3.3 million , reduced legal c...
containerboard sales volume to external domestic and export customers decreased by how many tons in the year ended december 31 , 2003 from 2002?
32000
{ "answer": "32000", "decimal": 32000, "type": "float" }
part ii , item 7 until maturity , effectively making this a us dollar denominated debt on which schlumberger will pay interest in us dollars at a rate of 4.74% ( 4.74 % ) .the proceeds from these notes were used to repay commercial paper borrowings .0160 on april 20 , 2006 , the schlumberger board of directors approved...
by how much did the average price per share decrease from 2007 to 2009?
-23%
{ "answer": "-23%", "decimal": -0.23, "type": "percentage" }
reasonably possible that such matters will be resolved in the next twelve months , but we do not anticipate that the resolution of these matters would result in any material impact on our results of operations or financial position .foreign jurisdictions have statutes of limitations generally ranging from 3 to 5 years ...
percent change of average shares outstanding when taking dilution into consideration in 2008?
.44%
{ "answer": ".44%", "decimal": 0.44, "type": "percentage" }
to determine stock-based compensation expense , the grant date fair value is applied to the options granted with a reduction for estimated forfeitures .we recognize compensation expense for stock options on a straight-line basis over the specified vesting period .at december 31 , 2012 and 2011 , options for 12759000 an...
for 2013 , what was the change in shares in thousands of nonvested incentive/ performance unit shares?
528
{ "answer": "528", "decimal": 528, "type": "float" }
notes to consolidated financial statements at december 31 , 2007 , future minimum rental payments required under operating leases for continuing operations that have initial or remaining noncancelable lease terms in excess of one year , net of sublease rental income , most of which pertain to real estate leases , are a...
what is the percentual decrease observed in the future minimum rental payments during 2008 and 2009?
13.25%
{ "answer": "13.25%", "decimal": 0.1325, "type": "percentage" }
it is the variation between those values divided by the initial one , then turned into a percentage .
adobe systems incorporated notes to consolidated financial statements ( continued ) note 8 .other assets other assets as of november 27 , 2009 and november 28 , 2008 consisted of the following ( in thousands ) : . [['', '2009', '2008'], ['acquired rights to use technology', '$ 84313', '$ 90643'], ['investments', '63526...
what is the growth rate in the other assets from 2008 to 2009?
-11.7%
{ "answer": "-11.7%", "decimal": -0.11699999999999999, "type": "percentage" }
table of contents capital deployment program will be subject to market and economic conditions , applicable legal requirements and other relevant factors .our capital deployment program does not obligate us to continue a dividend for any fixed period , and payment of dividends may be suspended at any time at our discre...
by how much did american airlines group inc . common stock out preform the s&p 500 index over the 4 year period?
48%
{ "answer": "48%", "decimal": 0.48, "type": "percentage" }
long-term product offerings include active and index strategies .our active strategies seek to earn attractive returns in excess of a market benchmark or performance hurdle while maintaining an appropriate risk profile .we offer two types of active strategies : those that rely primarily on fundamental research and thos...
in 2014 , what percent of the multi asset value was the value of of asset allocation and balanced?
48.44%
{ "answer": "48.44%", "decimal": 0.4844, "type": "percentage" }
performance graph the following graph compares the cumulative five-year total return provided shareholders on our class a common stock relative to the cumulative total returns of the s&p 500 index and two customized peer groups .the old peer group includes intercontinentalexchange , inc. , nyse euronext and the nasdaq ...
did the cme group outperform the new peer group?
yes
{ "answer": "yes", "decimal": 1, "type": "bool" }
during 2012 , the company granted selected employees an aggregate of 139 thousand rsus with internal performance measures and , separately , certain market thresholds .these awards vested in january 2015 .the terms of the grants specified that to the extent certain performance goals , comprised of internal measures and...
what was the growth rate of the grant date fair value of rsus vested from 2013 to 2014
22.2%
{ "answer": "22.2%", "decimal": 0.222, "type": "percentage" }
the change in grant date fair value of rsus vested from 2013 to 2014 was the ( 2014 amount less 2013 amount ) divide by 2013 amount
the agencies consider many factors in determining the final rating of an insurance company .one consideration is the relative level of statutory surplus necessary to support the business written .statutory surplus represents the capital of the insurance company reported in accordance with accounting practices prescribe...
what portion of the total statutory surplus is related to property and casualty insurance subsidiaries in 2014?
53.0%
{ "answer": "53.0%", "decimal": 0.53, "type": "percentage" }
in january 2016 , the company issued $ 800 million of debt securities consisting of a $ 400 million aggregate principal three year fixed rate note with a coupon rate of 2.00% ( 2.00 % ) and a $ 400 million aggregate principal seven year fixed rate note with a coupon rate of 3.25% ( 3.25 % ) .the proceeds were used to r...
is the long term debt maturing in 2021 greater than 2022?
yes
{ "answer": "yes", "decimal": 1, "type": "bool" }
purchases of equity securities the following table provides information about our repurchases of our common stock registered pursuant to section 12 of the exchange act during the quarter ended december 31 , 2016 .period ( a ) number of shares purchased average price paid per share total number of shares purchased as pa...
what was the average number of shares repurchased per month for the 3 months ending december 31 , 2016?
1095923
{ "answer": "1095923", "decimal": 1095923, "type": "float" }
entergy corporation and subsidiaries management 2019s financial discussion and analysis combination .consistent with the terms of the stipulated settlement in the business combination proceeding , electric customers of entergy louisiana will realize customer credits associated with the business combination ; accordingl...
what would net revenue have been in 2016 if there wasn't a gain from the fitzpatrick reimbursement agreement?
1501
{ "answer": "1501", "decimal": 1501, "type": "float" }
other off-balance sheet commitments lease commitments the company leases various equipment and facilities , including retail space , under noncancelable operating lease arrangements .the company does not currently utilize any other off-balance sheet financing arrangements .the major facility leases are typically for te...
what was the percentage change in rent expense under operating leases from 2011 to 2012?
44%
{ "answer": "44%", "decimal": 0.44, "type": "percentage" }
contractual obligations significant contractual obligations as of december 30 , 2017 were as follows: . [['( in millions )', 'payments due by period total', 'payments due by period less than1 year', 'payments due by period 1 20133 years', 'payments due by period 3 20135 years', 'payments due by period more than5 years'...
what percentage of total contractual obligations do capital purchase obligations make up as of december 30 2017?
18%
{ "answer": "18%", "decimal": 0.18, "type": "percentage" }
( d ) securities authorized for issuance under equity compensation plans .except for the information concerning equity compensation plans below , the information required by item 12 is incorporated by reference to the company 2019s 2004 proxy statement under the caption 2018 2018security ownership of certain beneficial...
at the end of 2003 , what would total proceeds be for the company if all remaining shares in the plan were exercised?
554686320
{ "answer": "554686320", "decimal": 554686320, "type": "float" }
in december , our board of directors ratified its authorization of a stock repurchase program in the amount of 1.5 million shares of our common stock .as of december 31 , 2010 no shares had been repurchased .we have paid dividends for 71 consecutive years with payments increasing each of the last 19 years .we paid tota...
what percentage of total aggregate contractual obligations is composed of long-term debt?
73%
{ "answer": "73%", "decimal": 0.73, "type": "percentage" }
the goldman sachs group , inc .and subsidiaries management 2019s discussion and analysis investing & lending investing & lending includes our investing activities and the origination of loans to provide financing to clients .these investments and loans are typically longer-term in nature .we make investments , some of ...
in millions for 2015 , 2014 , and 2013 , what were the largest amount of debt securities and loans?
2264
{ "answer": "2264", "decimal": 2264, "type": "float" }
38 2015 ppg annual report and form 10-k notes to the consolidated financial statements 1 .summary of significant accounting policies principles of consolidation the accompanying consolidated financial statements include the accounts of ppg industries , inc .( 201cppg 201d or the 201ccompany 201d ) and all subsidiaries ...
what were average advertising costs for the three year period , in millions?
275
{ "answer": "275", "decimal": 275, "type": "float" }
our wholesale segment our wholesale segment sells our products to leading upscale and certain mid-tier department stores , specialty stores , and golf and pro shops , both domestically and internationally .we have continued to focus on elevating our brand by improving in- store product assortment and presentation , as ...
what percentage of doors in the wholesale segment as of march 29 , 2014 where in asia ?
1%
{ "answer": "1%", "decimal": 0.01, "type": "percentage" }
class a ordinary shares of aon plc are , at present , eligible for deposit and clearing within the dtc system .in connection with the closing of the merger , we entered into arrangements with dtc whereby we agreed to indemnify dtc for any stamp duty and/or sdrt that may be assessed upon it as a result of its service as...
how many square feet of the occupied space will expire during 2020?
778000
{ "answer": "778000", "decimal": 778000, "type": "float" }
american tower corporation and subsidiaries notes to consolidated financial statements 2014 ( continued ) the following table illustrates the effect on net loss and net loss per share if the company had applied the fair value recognition provisions of sfas no .123 to stock-based compensation .the estimated fair value o...
what is the percentage change in 401 ( k ) contributions from 2001 to 2002?
-36.4%
{ "answer": "-36.4%", "decimal": -0.364, "type": "percentage" }
the goldman sachs group , inc .and subsidiaries management 2019s discussion and analysis investing & lending investing & lending includes our investing activities and the origination of loans to provide financing to clients .these investments and loans are typically longer-term in nature .we make investments , some of ...
what percentage of total net revenues in the investing & lending segment is attributable to equity securities in 2014?
67%
{ "answer": "67%", "decimal": 0.67, "type": "percentage" }
management 2019s discussion and analysis of financial condition and results of operations state street corporation | 90 table 30 : total deposits average balance december 31 years ended december 31 . [['( in millions )', 'december 31 2017', 'december 31 2016', 'december 31 2017', '2016'], ['client deposits', '$ 180149'...
what is the percentage change in of total assets from 2016 to 2017?
-1.2%
{ "answer": "-1.2%", "decimal": -0.012, "type": "percentage" }
management 2019s discussion and analysis 164 jpmorgan chase & co./2013 annual report firm ) is required to hold more than the additional 2.5% ( 2.5 % ) of tier 1 common .in addition , basel iii establishes a 6.5% ( 6.5 % ) tier i common equity standard for the definition of 201cwell capitalized 201d under the prompt co...
for basel adjustments , what would tier 1 capital have declined absent adjustments related to aoci and basel adjustments?\\n
3254
{ "answer": "3254", "decimal": 3254, "type": "float" }
table of contents adobe inc .notes to consolidated financial statements ( continued ) goodwill , purchased intangibles and other long-lived assets goodwill is assigned to one or more reporting segments on the date of acquisition .we review our goodwill for impairment annually during our second quarter of each fiscal ye...
what is the average yearly amortization expense related to purchased technology?
16.7%
{ "answer": "16.7%", "decimal": 0.16699999999999998, "type": "percentage" }
table of contents ( 4 ) the increase in cash flows was primarily due to the timing of inventory purchases and longer payment terms with certain vendors .in order to manage our working capital and operating cash needs , we monitor our cash conversion cycle , defined as days of sales outstanding in accounts receivable pl...
what was the average capital expenditures , in millions , for 2016 and 2015?
77
{ "answer": "77", "decimal": 77, "type": "float" }
table of contents item 2 .properties flight equipment and fleet renewal as of december 31 , 2016 , american operated a mainline fleet of 930 aircraft .in 2016 , we continued our extensive fleet renewal program , which has provided us with the youngest fleet of the major u.s .network carriers .during 2016 , american too...
what was the net change in airliner count during 2016?
-16
{ "answer": "-16", "decimal": -16, "type": "float" }
. [['', '12/07', '12/08', '12/09', '12/10', '12/11', '12/12'], ['fidelity national information services inc .', '100.00', '70.08', '101.93', '120.01', '117.34', '157.38'], ['s&p 500', '100.00', '63.00', '79.67', '91.67', '93.61', '108.59'], ['s&p supercap data processing & outsourced services', '100.00', '68.26', '99.4...
what was the percentage cumulative 5-year total shareholder return on common stock fidelity national information services , inc . for the period ending 12/12?
57.38%
{ "answer": "57.38%", "decimal": 0.5738, "type": "percentage" }
equity equity at december 31 , 2014 was $ 6.6 billion , a decrease of $ 1.6 billion from december 31 , 2013 .the decrease resulted primarily due to share repurchases of $ 2.3 billion , $ 273 million of dividends to shareholders , and an increase in accumulated other comprehensive loss of $ 760 million , partially offse...
what is the difference between the average and the 2014's operating margin?
0.87%
{ "answer": "0.87%", "decimal": 0.0087, "type": "percentage" }
it is the variation between those values .
$ 25.7 million in cash , including $ 4.2 million in taxes and 1373609 of hep 2019s common units having a fair value of $ 53.5 million .roadrunner / beeson pipelines transaction also on december 1 , 2009 , hep acquired our two newly constructed pipelines for $ 46.5 million , consisting of a 65- mile , 16-inch crude oil ...
according to line 1 , how much is each individual hep common unit worth?
17.18
{ "answer": "17.18", "decimal": 17.18, "type": "float" }
advance auto parts , inc .and subsidiaries notes to the consolidated financial statements 2013 ( continued ) december 29 , 2007 , december 30 , 2006 and december 31 , 2005 ( in thousands , except per share data ) 11 .stock repurchase program : during fiscal 2007 , the company's board of directors authorized a new stock...
what is the percentage change in the stock price from average price of 2005 and 2006 to the average price of 2007?
-8.8%
{ "answer": "-8.8%", "decimal": -0.08800000000000001, "type": "percentage" }
welltower inc .notes to consolidated financial statements is no longer present ( and additional weight may be given to subjective evidence such as our projections for growth ) .the valuation allowance rollforward is summarized as follows for the periods presented ( in thousands ) : year ended december 31 , 2017 2016 20...
what is the percentage change in the balance valuation allowance rollforward during 2017?
31.4%
{ "answer": "31.4%", "decimal": 0.314, "type": "percentage" }
baker hughes , a ge company notes to consolidated and combined financial statements bhge 2017 form 10-k | 85 the total intrinsic value of rsus ( defined as the value of the shares awarded at the current market price ) vested and outstanding in 2017 was $ 17 million and $ 38 million , respectively .the total fair value ...
what is the balance of class a common stock as a percentage of class b common stock?
59.7%
{ "answer": "59.7%", "decimal": 0.597, "type": "percentage" }
part i item 1 entergy corporation , utility operating companies , and system energy entergy new orleans provides electric and gas service in the city of new orleans pursuant to indeterminate permits set forth in city ordinances ( except electric service in algiers , which is provided by entergy louisiana ) .these ordin...
what portion of the total capabilities is generated from nuclear station for entergy as a whole?
23.8%
{ "answer": "23.8%", "decimal": 0.23800000000000002, "type": "percentage" }
issuer purchases of equity securities the following table provides information about our repurchases of common stock during the three-month period ended december 31 , 2012 .period total number of shares purchased average price paid per total number of shares purchased as part of publicly announced program ( a ) amount ...
what is the total value of repurchased shares during december 2012 , in millions?
128.4
{ "answer": "128.4", "decimal": 128.4, "type": "float" }
contractual obligations the following table summarizes our significant contractual obligations as of december 28 , 2013: . [['( in millions )', 'payments due by period total', 'payments due by period less than1 year', 'payments due by period 1 20133 years', 'payments due by period 3 20135 years', 'payments due by perio...
what was the percent of the pension plans and other post retirement benefit plans included in the total other long-term liabilities as of december 28 , 2013
4.1%
{ "answer": "4.1%", "decimal": 0.040999999999999995, "type": "percentage" }
as of december 28 , 2013 the total other long-term liabilities included 4.1% of pension plans and other post retirement benefit plans
which , $ 44.9 million , or $ 38.2 million , net of taxes , is expected to be reclassified to earnings over the next twelve months .we also enter into foreign currency forward exchange contracts with terms of one month to manage currency exposures for assets and liabilities denominated in a currency other than an entit...
what percent of gains were lost due to foreign currency hedges?
12.31%
{ "answer": "12.31%", "decimal": 0.1231, "type": "percentage" }
2022 expand client relationships - the overall market we serve continues to gravitate beyond single-application purchases to multi-solution partnerships .as the market dynamics shift , we expect our clients and prospects to rely more on our multidimensional service offerings .our leveraged solutions and processing expe...
what percentage of total consolidated revenues was gfs segment in 2017?
45%
{ "answer": "45%", "decimal": 0.45, "type": "percentage" }
management 2019s discussion and analysis supplemental financial information and disclosures income tax matters effective tax rate from continuing operations . [['', '2017', '2016', '2015'], ['u.s . gaap', '40.1% ( 40.1 % )', '30.8% ( 30.8 % )', '25.9% ( 25.9 % )'], ['adjusted effective income taxrate 2014non-gaap1', '3...
what is the difference between u.s . gaap and adjusted effective income tax rate 2014non-gaap in 2017?
9.3%
{ "answer": "9.3%", "decimal": 0.09300000000000001, "type": "percentage" }
during 2009 , the company extended the contractual life of 4 million fully vested share options held by 6 employees .as a result of that modification , the company recognized additional compensation expense of $ 1 million for the year ended december 31 , 2009 .restricted stock units ( 201crsus 201d ) performance-based ...
what was the value of the nonvested shares at december 31 2009
35714.6
{ "answer": "35714.6", "decimal": 35714.6, "type": "float" }
the value is the product of the number of shares by the price
part iii item 10 .directors , executive officers and corporate governance the information required by this item is incorporated by reference to the 201celection of directors 201d section , the 201cdirector selection process 201d section , the 201ccode of conduct 201d section , the 201cprincipal committees of the board ...
what was the total number of equity compensation plans approved by security holders
86676685
{ "answer": "86676685", "decimal": 86676685, "type": "float" }
14 .leases we lease certain locomotives , freight cars , and other property .the consolidated statement of financial position as of december 31 , 2009 and 2008 included $ 2754 million , net of $ 927 million of accumulated depreciation , and $ 2024 million , net of $ 869 million of accumulated depreciation , respectivel...
what portion of 2009 operating leases are current liabilities?
10.8%
{ "answer": "10.8%", "decimal": 0.10800000000000001, "type": "percentage" }
current is due the following year = 2010
hr solutions . [['years ended december 31,', '2010', '2009', '2008'], ['revenue', '$ 2111', '$ 1267', '$ 1356'], ['operating income', '234', '203', '208'], ['operating margin', '11.1% ( 11.1 % )', '16.0% ( 16.0 % )', '15.3% ( 15.3 % )']] in october 2010 , we completed the acquisition of hewitt , one of the world 2019s ...
if hr solutions generated 25% ( 25 % ) of total revenues , what are the total revenue for aon in 2010 , ( in millions ) ?
8444.0
{ "answer": "8444.0", "decimal": 8444, "type": "float" }
notes receivable in 2014 , we entered into a $ 3.0 million promissory note with a privately held company which was recorded at cost .the interest rate on the promissory note is 8.0% ( 8.0 % ) per annum and is payable quarterly .all unpaid principal and accrued interest on the promissory note is due and payable on the e...
as of december 31 , 2015 what was the 2016 percent of non-cancelable operating leases as part of the total minimum future lease payments
12.1%
{ "answer": "12.1%", "decimal": 0.121, "type": "percentage" }
ventas , inc .notes to consolidated financial statements 2014 ( continued ) if we experience certain kinds of changes of control , the issuers must make an offer to repurchase the senior notes , in whole or in part , at a purchase price in cash equal to 101% ( 101 % ) of the principal amount of the senior notes , plus ...
what percentage of total maturities were payable in 2011?
11.7%
{ "answer": "11.7%", "decimal": 0.11699999999999999, "type": "percentage" }
57management's discussion and analysis of financial condition and results of operations facility include covenants relating to net interest coverage and total debt-to-book capitalization ratios .the company was in compliance with the terms of the 3-year credit facility at december 31 , 2005 .the company has never borro...
in 2007 what was the percent of the total long-term debt obligations
30.3%
{ "answer": "30.3%", "decimal": 0.303, "type": "percentage" }
table of contents stock performance graph the following stock performance graph and related information shall not be deemed 201csoliciting material 201d or 201cfiled 201d with the securities and exchange commission , nor shall such information be incorporated by reference into any future filings under the securities ac...
what was the growth rate on the amex airline index from 12/31/2013 to 12/31/2014
49%
{ "answer": "49%", "decimal": 0.49, "type": "percentage" }
the growth rate is the recent period less the prior period divided by the prior
part ii item 5 : market for registrant's common equity , related stockholder matters and issuer purchases of equity securities motorola's common stock is listed on the new york and chicago stock exchanges .the number of stockholders of record of motorola common stock on january 31 , 2006 was 80799 .the remainder of the...
what is the estimated value , in dollars , of the total number of shares purchased between 10/2/05 and 10/29/05?
116515424
{ "answer": "116515424", "decimal": 116515424, "type": "float" }
part ii item 5 .market for registrant 2019s common equity , related stockholder matters and issuer purchases of equity securities vornado 2019s common shares are traded on the new york stock exchange under the symbol 201cvno . 201d quarterly high and low sales prices of the common shares and dividends paid per share fo...
was the quarterly high sales prices of the common shares and dividends paid per share for the first quarter of the year ended december 31 , 2011 higher than the fourth quarter of that period?
yes
{ "answer": "yes", "decimal": 1, "type": "bool" }
westrock company notes to consolidated financial statements fffd ( continued ) at september 30 , 2018 and september 30 , 2017 , gross net operating losses for foreign reporting purposes of approximately $ 698.4 million and $ 673.7 million , respectively , were available for carryforward .a majority of these loss carryf...
by what percent did the balance of deferred tax assets increase between 2016 and 2018?
29.46%
{ "answer": "29.46%", "decimal": 0.29460000000000003, "type": "percentage" }