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美国苹果电脑公司日前宣布了’96财年第三营业季度(1996年4至6月)的经营情况,这一期间的销售总额为21.79亿美元,与第二季度的21.85亿美元大体持平,但18.5%的毛利率大大好于上一季度的-19.3%。第三季度结束时,苹果电脑公司的现金和短期投资额为13.59亿美元,比第二季度增加了7.67亿美元。长期筹资的成功、固定资产和投资的转售以及良好的资产管理,都是促进苹果公司现金状况好转的有利因素。 苹果电脑公司在今年第二营业季度首次提出的为期12个月的重整计划仍在进行中,在第三季度完
Apple Computer Inc. of the United States recently announced the operation of the third fiscal quarter (April-June 1996) of the fiscal year 1996 with total sales of $ 2,179 million for the period, broadly equivalent to $ 2,185 million in the second quarter The gross profit margin of 18.5% is much better than that of the previous quarter of -19.3%. At the end of the third quarter, Apple Computer’s cash and short-term investments amounted to $ 1,393 million, an increase of $ 767 million from the second quarter. The success of long-term funding, resale of fixed assets and investments, and good asset management are all favorable factors for improving Apple’s cash position. The 12-month restructuring plan first proposed by Apple Computer in the second quarter of this year is still in progress. In the third quarter