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32    PART 1 • OVERVIEW OF STRATEGIC MANAGEMENT


              EXHIBIT 6   MCD’s Balance Sheet
                           PERIOD ENDING                           31-Dec-08        31-Dec-07       31-Dec-06
              Assets
              Current Assets
                 Cash and Cash Equivalents                         $2,063,400      $1,981,300       $2,136,400
                 Short Term Investments                                   —               —               —
                 Net Receivables                                     931,200        1,053,800         904,200
                 Inventory                                           111,500          125,300         149,000
                 Other Current Assets                                411,500          421,500         435,700
                   Total Current Assets                             3,517,600       3,581,900        3,625,300
                 Long Term Investments                              1,222,300       1,156,400        1,036,200
                 Property Plant and Equipment                      20,254,500      20,984,700       20,845,700
                 Goodwill                                           2,237,400       2,301,300        2,209,200
                 Intangible Assets                                        —               —                —
                 Accumulated Amortization                                 —               —                —
                 Other Assets                                       1,229,700       1,367,400        1,307,400
                 Deferred Long Term Asset Charges                         —               —                —
                   Total Assets                                    28,461,500      29,391,700       29,023,800
              Liabilities
              Current Liabilities
                 Accounts Payable                                   2,506,100       3,634,000        2,739,000
                 Short/Current Long Term Debt                         31,800          864,500          17,700
                 Other Current Liabilities                                —               —           251,400
                   Total Current Liabilities                        2,537,900       4,498,500        3,008,100

                 Long Term Debt                                    10,186,000       7,310,000        8,416,500
                 Other Liabilities                                  1,410,100       1,342,500        1,074,900
                 Deferred Long Term Liability Charges                944,900          960,900        1,066,000
                 Minority Interest                                        —               —                —
                 Negative Goodwill                                        —               —                —

                   Total Liabilities                               15,078,900      14,111,900       13,565,500
              Stockholders’ Equity
                 Misc. Stocks Options Warrants                            —               —                —
                 Redeemable Preferred Stock                               —               —                —
                 Preferred Stock                                          —               —                —
                 Common Stock                                         16,600           16,600          16,600
                 Retained Earnings                                 28,953,900      26,461,500       25,845,600
                 Treasury Stock                                   (20,289,400)    (16,762,400)     (13,552,200)
                 Capital Surplus                                    4,600,200       4,226,700        3,445,000
                 Other Stockholders’ Equity                          101,300        1,337,400        (296,700)
                   Total Stockholders’ Equity                      13,382,600      15,279,800       15,458,300
                   Total Liabilities and SE                       $28,461,500     $29,391,700      $29,023,800


              Source: http://finance.yahoo.com.
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