Year to September 30 2019 assets overview

21/05/20 06:23 augustine - IMPERIAL BRANDS PLC
Total assets in the year totaled to GBP33.7 billion, up 9% over the preceding year's assets of GBP30.8 billion. Long-term assets were GBP22.6 billion, down 4% (2018: GBP23.6 billion) and short-term assets were GBP11.1 billion, up 52% (2018: GBP7.3 billion). Cash funds as of September 30 2019 stood at GBP2.3 billion (September 30 2018: GBP775 million). Net assets attributable to the equity owners stood at GBP5.6 billion, down 12.5% (2018: GBP6.4 billion). The net assets to total assets ratio in the year was 16.6% (2018: 20.8%). Reference: Annual report. Edited (1)
The currency for balance date 30/09/16 has changed from EUR to GBP.
The currency for balance date 30/09/15 has changed from EUR to GBP.
The currency for balance date 30/09/14 has changed from EUR to GBP.
The currency for balance date 30/09/13 has changed from EUR to GBP.
The position of account Deferred Long Term Asset Charges has moved above No account name found.
New Account Property Plant And Equipment created.
New Account Other Assets created.
The position of account Short Term Investments has moved below No account name found.
Account name changed from Goodwill to Short Term Investments.
New Account Capital Surplus created.
New Account Retained Earnings created.
New Account Other Stockholders' Equity created.
New Account Deferred Long Term Liability Charges created.
New Account Other Liabilities created.
New balance date 30/09/19 has been added.
The amount value of account Assets for balance date 30/09/19 changed from 0 GBP to 19,463,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/19 changed from 0 GBP to 1,264,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/19 changed from 0 GBP to 10,380,000,000 GBP.
The amount value of account Current Assets for balance date 30/09/19 changed from 0 GBP to 17,666,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 30/09/19 changed from 0 GBP to 533,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/09/19 changed from 0 GBP to 2,042,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/19 changed from 0 GBP to 2,383,000,000 GBP.
The amount value of account Inventory for balance date 30/09/19 changed from 0 GBP to 2,842,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/19 changed from 0 GBP to 19,000,000 GBP.
The amount value of account Liabilities for balance date 30/09/19 changed from 0 GBP to 33,941,000,000 GBP.
The amount value of account Equity for balance date 30/09/19 changed from 0 GBP to 5,937,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/19 changed from 0 GBP to 5,937,000,000 GBP.
The amount value of account Current Liabilities for balance date 30/09/19 changed from 0 GBP to 15,754,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/19 changed from 0 GBP to 987,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/19 changed from 0 GBP to 14,227,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/19 changed from 0 GBP to 540,000,000 GBP.
The amount value of account Long Term Debt for balance date 30/09/19 changed from 0 GBP to 12,250,000,000 GBP.
New balance date 30/09/18 has been added.
The amount value of account Assets for balance date 30/09/18 changed from 0 GBP to 19,463,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/18 changed from 0 GBP to 1,264,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/18 changed from 0 GBP to 10,380,000,000 GBP.
The amount value of account Current Assets for balance date 30/09/18 changed from 0 GBP to 17,666,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 30/09/18 changed from 0 GBP to 533,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/09/18 changed from 0 GBP to 2,042,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/18 changed from 0 GBP to 2,383,000,000 GBP.
The amount value of account Inventory for balance date 30/09/18 changed from 0 GBP to 2,842,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/18 changed from 0 GBP to 19,000,000 GBP.
The amount value of account Liabilities for balance date 30/09/18 changed from 0 GBP to 33,941,000,000 GBP.
The amount value of account Equity for balance date 30/09/18 changed from 0 GBP to 5,937,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/18 changed from 0 GBP to 5,937,000,000 GBP.
The amount value of account Current Liabilities for balance date 30/09/18 changed from 0 GBP to 15,754,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/18 changed from 0 GBP to 987,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/18 changed from 0 GBP to 14,227,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/18 changed from 0 GBP to 540,000,000 GBP.
The amount value of account Long Term Debt for balance date 30/09/18 changed from 0 GBP to 12,250,000,000 GBP.
New balance date 30/09/17 has been added.
The amount value of account Assets for balance date 30/09/17 changed from 0 GBP to 19,463,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/17 changed from 0 GBP to 1,264,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/17 changed from 0 GBP to 10,380,000,000 GBP.
The amount value of account Current Assets for balance date 30/09/17 changed from 0 GBP to 17,666,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 30/09/17 changed from 0 GBP to 533,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/09/17 changed from 0 GBP to 2,042,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/17 changed from 0 GBP to 2,383,000,000 GBP.
The amount value of account Inventory for balance date 30/09/17 changed from 0 GBP to 2,842,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/17 changed from 0 GBP to 19,000,000 GBP.
The amount value of account Liabilities for balance date 30/09/17 changed from 0 GBP to 33,941,000,000 GBP.
The amount value of account Equity for balance date 30/09/17 changed from 0 GBP to 5,937,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/17 changed from 0 GBP to 5,937,000,000 GBP.
The amount value of account Current Liabilities for balance date 30/09/17 changed from 0 GBP to 15,754,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/17 changed from 0 GBP to 987,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/17 changed from 0 GBP to 14,227,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/17 changed from 0 GBP to 540,000,000 GBP.
The amount value of account Long Term Debt for balance date 30/09/17 changed from 0 GBP to 12,250,000,000 GBP.