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Major Indexes

Financial Statements

Boston Beer Company Inc. (The)

Boston Beer Company Inc. (The) (SAM)

$520.19
6.46 (+1.26%)

Income Statement

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Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009
Earnings Per Share Basic 2.213.675.084.605.476.967.466.938.187.909.26
Net Profit Margin 0.070.110.130.100.100.100.100.100.110.090.09
Earnings Per Share Diluted 2.173.524.814.395.186.697.256.798.097.829.16
Revenue 415.05463.80513.00580.22739.05903.01959.93906.45862.99995.651,249.82
Weighted Average Shares Outstanding 14.2513.3813.014.114.033.779.623.343.1011.7311.89
Gross Profit 213.82256.33284.57315.21384.92465.01501.62459.67449.90512.24614.17
Weighted Average Shares Outstanding (Diluted) 14.0613.6613.7413.4413.5013.4813.5212.8012.1811.7311.91
Sales, General and Administrative Expense 158.50174.85200.75219.48270.26316.67345.19322.25331.77395.71468.34
Dividend per Share -----------
Operating Income 54.2781.18103.6695.58113.09146.57156.17137.66115.67115.88144.91
Gross Margin 0.520.550.550.540.520.510.520.510.520.510.49
Earnings before Tax 54.3781.11103.5095.52112.54145.59155.01137.12116.14116.29144.37
EBITDA Margin 0.170.210.240.200.190.200.210.210.190.170.16
Net Income 31.1250.1466.0659.4770.3990.7498.4187.3599.0592.66110.04
EBIT Margin 0.130.170.200.160.150.160.160.150.130.120.12
Net Income - Discounted ops -----------
Profit Margin 0.070.110.130.100.100.100.100.100.110.090.09
Preferred Dividends -----------
Free Cash Flow margin 0.000.000.000.00-0.00-0.000.000.000.000.000.00
R&D Expenses -----------
Interest Expense --0.08---------
Earnings Before Tax Margin 0.130.170.200.160.150.160.160.150.130.120.12
Consolidated Income 31.1250.1466.0659.4770.3990.7498.4187.3599.0592.66110.04
EBIT 54.3781.03103.6695.58113.09146.57156.17137.66115.67115.88144.91
EBITDA 71.2998.46122.45115.79139.00181.71199.06187.22166.93167.85201.18
Income Tax Expense 23.2530.9737.4436.0542.1554.8556.6049.7717.0923.6234.33
Operating Expenses 159.55175.15200.75219.63271.83318.44345.44322.25334.23396.36469.25
Cost of Revenue 201.24207.47228.43265.01354.13438.00458.32446.78413.09483.41635.66
Net Income Com 31.1250.1466.0659.4770.3990.7498.4187.3599.0592.66110.04
Net Income - Non-Controlling int -----------

Balance Sheet Statement

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Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009
Total current liabilities 73.7972.2067.0588.89104.38110.17111.16101.52101.76120.51180.65
Other Liabilities 48.5352.78---------
Long-term debt ---0.570.580.530.470.41--53.94
Cash and cash equivalents 55.4848.9749.4574.4649.5276.4094.1991.0365.64108.4036.70
Total debt ---0.630.640.580.530.47--59.11
Cash and short-term investments 55.4848.9749.4574.4649.5276.4094.1991.0365.64108.4036.70
Deferred revenue -----------
Inventories 25.5626.6134.0744.3656.4051.3156.4652.5050.6570.25106.04
Tax Liabilities 13.4417.09---------
Goodwill and Intangible Assets 1.381.38--------216.80
Deposit Liabilities -----------
Tax assets 4.423.654.365.415.718.696.987.357.625.719.46
Total non-current liabilities 15.9920.7420.6925.5037.6158.8573.0275.2044.3459.02137.77
Total current assets 113.03112.00125.72162.34164.28207.46223.60201.24168.35231.57218.65
Total liabilities 89.7892.9487.74114.39141.99169.02184.18176.72146.10179.53318.42
Payables 25.2519.4218.8128.3034.4235.5842.7240.5938.1447.1076.37
Other comprehensive income -0.36-0.44138.42157.39173.11225.00290.13350.00372.68405.74571.81
Short-term investments -----------
Retained earnings (deficit) 61.7043.8847.1288.54129.35212.23171.9597.6552.1055.69165.40
Property, Plant & Equipment Net 147.02142.89143.59189.95266.56381.57409.93408.41384.28389.79541.07
Total non-current assets 149.91146.53146.76197.14279.80397.70421.80422.06401.28408.28835.41
Other Assets 14.1316.40---------
Net Debt -55.48-48.97-49.45-73.83-48.89-75.82-93.66-90.56-65.64-108.4022.41
Investments -----------
Total shareholders equity 173.16165.59184.75245.09302.08436.14461.22446.58423.52460.32735.64
Total assets 262.94258.53272.49359.48444.07605.16645.40623.30569.62639.851,054.06
Long-term investments -----------
Receivables 17.8620.0223.2331.4842.0036.8638.9836.6933.7534.0754.40
Short-term debt ---0.060.050.060.060.06--5.17

Cash Flow Statement

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Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009
Insurance (repayment) of debt -----------
Net Cash/Marketcap 0.000.00---------
Insurance (buybacks) of shares -----------
Depreciation & Amortization 16.9217.4318.7920.2125.9035.1442.8849.5651.2651.9756.27
Dividend payments -----------
Operating Cash Flow 65.5667.8372.7695.3399.98141.21168.68154.19135.98163.45178.24
Acquisitions and disposals ----1.73-2.75-0.10-0.10---0.05-
Free Cash Flow 48.5854.2453.1629.32-0.67-10.5794.50104.28103.00107.9985.01
Net cash flow / Change in cash 46.41-6.510.4825.01-24.9426.8817.79-3.16-25.4042.76-71.73
Effect of forex changes on cash -----------
Financing Cash Flow -2.17-60.75-52.68-2.99-21.5937.50-76.66-111.33-128.45-65.348.86
Investment purchases and sales ---62.82-18.05-29.59-7.86-135.71-164.66-144.60-88.31-
Capital Expenditure -16.99-13.5919.6066.01100.66151.7874.1949.9132.9955.4693.23
Stock-based compensation 2.470.116.186.537.326.866.676.156.3210.0412.34
Investing Cash Flow -----------

Retained Earning Schedule

Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009
Retained Earnings (Previous Year) -62444789129212172985256
Net Income 31506659709198879993110
Stock Dividends 31-68-63-18-30-8-139-162-145-89-0
Dividend Paid -----------
Retained Earnings 62444789129212172985256165

PPE Schedule

Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009
Gross PPE -147143144190267382410408384390
Annual Depreciation 1649-19-20-24-37-46-51-57-5058
Capital Expenditure -17-1420661011527450335593
Net PPE 147143144190267382410408384390541

Intangible and Goodwill Schedule

Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009
Intangible and Goodwill (Previous Year) -11--------
New Purchases ---63-18-30-8-136-165-145-88-
Intangible and Goodwill 11--------217

Boston Beer Company Inc. (The) income statement is the only one that provides an overview of company sales and net income
The reasoning behind the adjustment, however, is that free cash flow is meant to measure money being spent right now, not transactions that happened in the past. This makes Boston Beer Company Inc. (The) FCF a useful instrument for identifying growing companies with high up-front costs, which may eat into earnings now but have the potential to pay off later.