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NIKE Inc (NYS: NKE)
Company Financials
Income Statement
Exchange rate used is that of the Year
End reported date
As Reported Annual Income Statement
Report Date
05/31/2021
Currency
USD
Audit Status
Not Qualified
Consolidated
Yes
Scale
Thousands
Revenues
$
44,538,000
Cost of sales
$
24,576,000
Gross profit
$
19,962,000
Demand creation expense
$
3,114,000
Operating overhead expense
$
9,911,000
Total selling & administrative expense
$
13,025,000
Interest income (expense), net
$
(262,000)
Other expense (income), net
$
14,000
Income (loss) before income taxes - U.S. $
5,723,000
Income (loss) before income taxes - foreign $
938,000
Income (loss) before income taxes
$
6,661,000
Current provision (benefit) for income taxes $
- U.S. - federal
328,000
Current provision (benefit) for income taxes $
- U.S. - state
134,000
Current provision (benefit) for income taxes $
- foreign857,000
Total current provision (benefit) for income taxes
$
1,319,000
Deferred provision (benefit) for income taxes$ - U.S. (371,000)
- federal
Deferred provision (benefit) for income taxes$ - U.S. - (34,000)
state
Deferred provision (benefit) for income tax - $foreign 20,000
Total deferred provision (benefit) for income$taxes (385,000)
Income tax expense (benefit)
$
934,000
Net income (loss)
$
5,727,000
Net income available to common stockholders
$
5,727,000
Weighted average shares outstanding - basic
1,573,000
Weighted average shares outstanding - diluted
1,609,400
Year end shares outstanding
1,578,000
Net income (loss) per share - basic
$
3.64
Net income (loss) per share - diluted
$
3.56
Dividends declared per common share
$
1.07
Total number of employees
73300
Class A common stockholders
14
Class B common stockholders
22745
Foreign currency translation adjustments
496000
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
05/31/2020
USD
Not Qualified
Yes
Thousands
37,403,000
21,162,000
16,241,000
3,592,000
9,534,000
13,126,000
(89,000)
139,000
2,954,000
(67,000)
2,887,000
(109,000)
81,000
756,000
728,000
(231,000)
(47,000)
(102,000)
(380,000)
348,000
2,539,000
1,558,800
1,591,600
1,558,000
1.63
1.60
0.96
75400
14
23114
-148000
Balance Sheet
Exchange rate used is that of the Year
End reported date
As Reported Annual Balance Sheet
Report Date
05/31/2021
Currency
USD
Audit Status
Not Qualified
Consolidated
Yes
Scale
Thousands
Cash & equivalents
$
9,889,000
Short-term investments
$
3,587,000
Accounts receivable, gross
$
4,556,000
Less: allowance for uncollectible accounts receivable
$
93,000
Accounts receivable, net
$
4,463,000
Finished goods
$
6,854,000
Inventories
$
6,854,000
Prepaid expenses & other current assets $
1,498,000
Total current assets
$
26,291,000
Land & improvements
$
363,000
Buildings
$
3,365,000
Machinery & equipment
$
3,023,000
Internal-use software
$
1,391,000
Leasehold improvements
$
1,608,000
Construction in process
$
311,000
Machinery, equipment & internal-use software
Total property, plant & equipment, gross
$
10,061,000
Less: accumulated depreciation - property, plant
$
&5,157,000
equipment
Property, plant & equipment, net
$
4,904,000
Operating lease right-of-use assets, net
$
3,113,000
Identifiable intangible assets, net
$
269,000
Goodwill
$
242,000
Deferred income taxes & other assets
$
2,921,000
Total assets
$
37,740,000
Current portion of long-term debt
Notes payable
$
2,000
Accounts payable
$
2,836,000
Current portion of operating lease liabilities $
467,000
Accrued compensation & benefits, excluding$taxes1,472,000
Accured sales-related reserves
$
1,077,000
Accrued allowance for expected loss on sale$
358,000
Allowance for cumulative foreign currency translation lossesAccrued endorsement compensation
Accrued dividends payable
Accrued import & logistics costs
Accrued collateral received from counterparties to hedging instruments
Accrued taxes other than income taxes payable
Accrued advertising & marketing
Accrued fair value of derivatives
Liabilities held-for-sale
-
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
05/31/2020
USD
Not Qualified
Yes
Thousands
8,348,000
439,000
2,963,000
214,000
2,749,000
7,367,000
7,367,000
1,653,000
20,556,000
345,000
2,442,000
2,751,000
1,483,000
1,554,000
1,086,000
9,661,000
4,795,000
4,866,000
3,097,000
274,000
223,000
2,326,000
31,342,000
3,000
248,000
2,248,000
445,000
1,248,000
1,178,000
405,000
393,000
384,000
273,000
202,000
97,000
190,000
146,000
Other accrued liabilities
$
3,156,000
Accrued liabilities
$
6,063,000
Income taxes payable
$
306,000
Total current liabilities
$
9,674,000
Corporate term debt
$
9,413,000
Japanese Yen notes
Total long-term debt
$
9,413,000
Less: current maturities
Long-term debt
$
9,413,000
Operating lease liabilities
$
2,931,000
Deferred income taxes & other liabilities
$
2,955,000
Class B common stock at stated value
$
3,000
Capital in excess of stated value
$
9,965,000
Foreign currency translation adjustment
$
2,000
Cash flow hedges
$
(435,000)
Net investment hedges
$
115,000
Other accumulated other comprehensive income
$
(loss)
(62,000)
Accumulated other comprehensive income (loss)
$
(380,000)
Retained earnings (deficit)
$
3,179,000
Total shareholders' equity
$
12,767,000
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
668,000
5,184,000
156,000
8,284,000
9,406,000
3,000
9,409,000
3,000
9,406,000
2,913,000
2,684,000
3,000
8,299,000
(494,000)
390,000
115,000
(67,000)
(56,000)
(191,000)
8,055,000
Cash Flows
Exchange rate used is that of the Year
End reported date
As Reported Annual Cash Flow
Report Date
05/31/2021
05/31/2020
Currency
USD
USD
Audit Status
Not Qualified
Not Qualified
Consolidated
Yes
Yes
Scale
Thousands
Thousands
Net income (loss)
$
5,727,000
$
2,539,000
Depreciation
$
744,000
$
721,000
Deferred income taxes
$
(385,000)
$
(380,000)
Stock-based compensation
$
611,000
$
429,000
Amortization & other
Amortization, impairment & other adjustments
$
53,000
$
398,000
Net foreign currency adjustments
$
(138,000)
$
23,000
Accounts receivable
$
(1,606,000)
$
1,239,000
Inventories
$
507,000
$
(1,854,000)
Prepaid expenses & other current & non-current assets
Prepaid expenses, operating lease right-of-use
$ assets
(182,000)
& other current & non-current
$
(654,000)
assets
accounts payable, accrued liabilities & other current & non-current
liabilities
Accounts payable, accrued liabilities, operating
$ lease
1,326,000
liabilities & other current
$ & non-current
24,000 liabilities
Net cash flows from operating activities
$
6,657,000
$
2,485,000
Purchases of short-term investments
$
(9,961,000)
$
(2,426,000)
Maturities of short-term investments
$
4,236,000
$
74,000
Sales of short-term investments
$
2,449,000
$
2,379,000
Additions to property, plant & equipment
$
(695,000)
$
(1,086,000)
Disposals of property, plant & equipment
-
Other investing activities
$
171,000
Net cash flows from investing activities
$
(3,800,000)
Proceeds from borrowings, net of debt issuance costs
Long-term debt payments, including current portion
Increase (decrease) in notes payable, net $
(52,000)
Repayment of borrowings
$
(197,000)
Payments on capital lease & other financing obligations
Proceeds from exercise of stock options & other
$
stock
1,172,000
issuances
Issuance (repurchase) of common stock
$
(608,000)
Dividends - common & preferred
$
(1,638,000)
Tax payments for net share settlement of equity awards
Other financing activities
$
(136,000)
Net cash flows from financing activities
$
(1,459,000)
Effect of exchange rate changes on cash & equivalents
$
143,000
Net increase (decrease) in cash & equivalents
$
1,541,000
Cash & equivalents, beginning of year
$
8,348,000
Cash & equivalents, end of year
$
9,889,000
Cash paid during the year for interest, net of$capitalized
293,000
interest
Cash paid during the year for income taxes $
1,177,000
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
31,000
(1,028,000)
6,134,000
49,000
885,000
(3,067,000)
(1,452,000)
(58,000)
2,491,000
(66,000)
3,882,000
4,466,000
8,348,000
140,000
1,028,000
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
05/31/2019
USD
Not Qualified
Yes
Thousands
39,117,000
21,643,000
17,474,000
3,753,000
8,949,000
12,702,000
(49,000)
(78,000)
593,000
4,208,000
4,801,000
74,000
56,000
608,000
738,000
(33,000)
(9,000)
76,000
34,000
772,000
4,029,000
1,579,700
1,618,400
1,568,000
2.55
2.49
0.86
76700
13
23305
-173000
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
05/31/2019
USD
Not Qualified
Yes
Thousands
4,466,000
197,000
4,302,000
30,000
4,272,000
5,622,000
5,622,000
1,968,000
16,525,000
329,000
2,445,000
1,563,000
797,000
4,335,000
9,469,000
4,725,000
4,744,000
283,000
154,000
2,011,000
23,717,000
6,000
9,000
2,612,000
1,232,000
1,218,000
424,000
346,000
296,000
289,000
234,000
114,000
52,000
-
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
805,000
5,010,000
229,000
7,866,000
3,461,000
9,000
3,470,000
6,000
3,464,000
3,347,000
3,000
7,163,000
(346,000)
520,000
115,000
(58,000)
231,000
1,643,000
9,040,000
05/31/2019
USD
Not Qualified
Yes
Thousands
4,029,000
705,000
34,000
325,000
15,000
233,000
(270,000)
(490,000)
(203,000)
1,525,000
5,903,000
(2,937,000)
1,715,000
2,072,000
(1,119,000)
5,000
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
(264,000)
(6,000)
(325,000)
(27,000)
700,000
(4,286,000)
(1,332,000)
(17,000)
(5,293,000)
(129,000)
217,000
4,249,000
4,466,000
153,000
757,000
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NIKE Inc (NYS: NKE)
Company Financials
Income Statement
Exchange rate used is that of the Year
End reported date
As Reported Annual Income Statement
Report Date
05/31/2021
Currency
USD
Audit Status
Not Qualified
Consolidated
Yes
Scale
Thousands
Revenues
100,00%
Cost of sales
55,18%
Gross profit
44,82%
Demand creation expense
6,99%
Operating overhead expense
22,25%
Total selling & administrative expense
29,24%
Interest income (expense), net
-0,59%
Other expense (income), net
0,03%
Income (loss) before income taxes - U.S.
12,85%
Income (loss) before income taxes - foreign
2,11%
Income (loss) before income taxes
14,96%
Current provision (benefit) for income taxes - U.S. - federal
0,74%
Current provision (benefit) for income taxes - U.S. - state
0,30%
Current provision (benefit) for income taxes - foreign
1,92%
Total current provision (benefit) for income taxes
2,96%
Deferred provision (benefit) for income taxes - U.S. - federal
-0,83%
Deferred provision (benefit) for income taxes - U.S. - state
-0,08%
Deferred provision (benefit) for income tax - foreign
0,04%
Total deferred provision (benefit) for income taxes
-0,86%
Income tax expense (benefit)
2,10%
Net income (loss)
12,86%
Net income available to common stockholders
12,86%
Weighted average shares outstanding - basic
3,53%
Weighted average shares outstanding - diluted
3,61%
Year end shares outstanding
3,54%
Net income (loss) per share - basic
0,00%
Net income (loss) per share - diluted
0,00%
Dividends declared per common share
0,00%
Total number of employees
0,16%
Class A common stockholders
0,00%
Class B common stockholders
0,05%
Foreign currency translation adjustments
1,11%
05/31/2020
USD
Not Qualified
Yes
Thousands
100,00%
56,58%
43,42%
9,60%
25,49%
35,09%
-0,24%
0,37%
7,90%
-0,18%
7,72%
-0,29%
0,22%
2,02%
1,95%
-0,62%
-0,13%
-0,27%
-1,02%
0,93%
6,79%
NM
4,17%
4,26%
4,17%
0,00%
0,00%
0,00%
0,20%
0,00%
0,06%
-0,40%
Balance Sheet
Exchange rate used is that of the Year
End reported date
As Reported Annual Balance Sheet
Report Date
05/31/2021
Currency
USD
Audit Status
Not Qualified
Consolidated
Yes
Scale
Thousands
Cash & equivalents
26,20%
Short-term investments
9,50%
Accounts receivable, gross
12,07%
Less: allowance for uncollectible accounts receivable
0,25%
Accounts receivable, net
11,83%
Finished goods
18,16%
Inventories
18,16%
Prepaid expenses & other current assets
3,97%
Total current assets
69,66%
Land & improvements
0,96%
Buildings
8,92%
Machinery & equipment
8,01%
Internal-use software
3,69%
Leasehold improvements
4,26%
Construction in process
0,82%
Machinery, equipment & internal-use software
NM
Total property, plant & equipment, gross
26,66%
Less: accumulated depreciation - property, plant & equipment
13,66%
Property, plant & equipment, net
12,99%
Operating lease right-of-use assets, net
8,25%
Identifiable intangible assets, net
0,71%
Goodwill
0,64%
Deferred income taxes & other assets
7,74%
Total assets
100,00%
Current portion of long-term debt
NM
Notes payable
0,01%
Accounts payable
7,51%
Current portion of operating lease liabilities
1,24%
Accrued compensation & benefits, excluding taxes
3,90%
Accured sales-related reserves
2,85%
Accrued allowance for expected loss on sale
0,95%
Allowance for cumulative foreign currency translation losses
NM
Accrued endorsement compensation
NM
Accrued dividends payable
NM
Accrued import & logistics costs
NM
Accrued collateral received from counterparties to hedging
NM instruments
Accrued taxes other than income taxes payable
NM
Accrued advertising & marketing
NM
Accrued fair value of derivatives
NM
Liabilities held-for-sale
NM
05/31/2020
USD
Not Qualified
Yes
Thousands
26,64%
1,40%
9,45%
0,68%
8,77%
23,51%
23,51%
5,27%
65,59%
1,10%
7,79%
8,78%
4,73%
4,96%
3,46%
NM
30,82%
15,30%
15,53%
9,88%
0,87%
0,71%
7,42%
100,00%
0,01%
0,79%
7,17%
1,42%
3,98%
3,76%
NM
1,29%
1,25%
1,23%
0,87%
NM
0,64%
0,31%
0,61%
0,47%
Other accrued liabilities
Accrued liabilities
Income taxes payable
Total current liabilities
Corporate term debt
Japanese Yen notes
NM
Total long-term debt
Less: current maturities
NM
Long-term debt
Operating lease liabilities
Deferred income taxes & other liabilities
Class B common stock at stated value
Capital in excess of stated value
Foreign currency translation adjustment
Cash flow hedges
Net investment hedges
Other accumulated other comprehensive income (loss)
Accumulated other comprehensive income (loss)
Retained earnings (deficit)
Total shareholders' equity
8,36%
16,07%
0,81%
25,63%
24,94%
24,94%
24,94%
7,77%
7,83%
0,01%
26,40%
0,01%
-1,15%
0,30%
-0,16%
-1,01%
8,42%
33,83%
2,13%
16,54%
0,50%
26,43%
30,01%
0,01%
30,02%
0,01%
30,01%
9,29%
8,56%
0,01%
26,48%
-1,58%
1,24%
0,37%
-0,21%
-0,18%
-0,61%
25,70%
Cash Flows
Exchange rate used is that of the Year
End reported date
As Reported Annual Cash Flow
Report Date
Currency
Audit Status
Consolidated
Scale
Net income (loss)
Depreciation
Deferred income taxes
Stock-based compensation
Amortization & other
Amortization, impairment & other adjustments
Net foreign currency adjustments
Accounts receivable
Inventories
Prepaid expenses & other current & non-current assets
Prepaid expenses, operating lease right-of-use assets & other current & non-current assets
accounts payable, accrued liabilities & other current & non-current liabilities
Accounts payable, accrued liabilities, operating lease liabilities & other current & non-current liabilities
Net cash flows from operating activities
Purchases of short-term investments
Maturities of short-term investments
Sales of short-term investments
Additions to property, plant & equipment
Disposals of property, plant & equipment
Other investing activities
Net cash flows from investing activities
Proceeds from borrowings, net of debt issuance costs
Long-term debt payments, including current portion
Increase (decrease) in notes payable, net
Repayment of borrowings
Payments on capital lease & other financing obligations
Proceeds from exercise of stock options & other stock issuances
Issuance (repurchase) of common stock
Dividends - common & preferred
Tax payments for net share settlement of equity awards
Other financing activities
Net cash flows from financing activities
Effect of exchange rate changes on cash & equivalents
Net increase (decrease) in cash & equivalents
Cash & equivalents, beginning of year
Cash & equivalents, end of year
Cash paid during the year for interest, net of capitalized interest
Cash paid during the year for income taxes
05/31/2019
USD
Not Qualified
Yes
Thousands
100,00%
55,33%
44,67%
9,59%
22,88%
32,47%
-0,13%
-0,20%
1,52%
10,76%
12,27%
0,19%
0,14%
1,55%
1,89%
-0,08%
-0,02%
0,19%
0,09%
1,97%
10,30%
NM
4,04%
4,14%
4,01%
0,00%
0,00%
0,00%
0,20%
0,00%
0,06%
-0,44%
05/31/2019
USD
Not Qualified
Yes
Thousands
18,83%
0,83%
18,14%
0,13%
18,01%
23,70%
23,70%
8,30%
69,68%
1,39%
10,31%
NM
NM
6,59%
3,36%
18,28%
39,92%
19,92%
20,00%
NM
1,19%
0,65%
8,48%
100,00%
0,03%
0,04%
11,01%
NM
5,19%
5,14%
NM
NM
1,79%
1,46%
1,25%
1,22%
0,99%
0,48%
0,22%
NM
3,39%
21,12%
0,97%
33,17%
14,59%
0,04%
14,63%
0,03%
14,61%
NM
14,11%
0,01%
30,20%
-1,46%
2,19%
0,48%
-0,24%
0,97%
6,93%
38,12%
Purchase answer to see full
attachment