Vinny's Overhead Construction had free cash flow during 2021 of $23.8 million. The change in gross...
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Vinny's Overhead Construction had free cash flow during 2021 of $23.8 million. The change in gross fixed assets on Vinny's balance sheet during 2021 was $9.0 million and the change in net operating working capital was $10.0 million. Calculate the missing amounts on Vinny's income statement below. (Enter your answers in millions of dollars rounded to 2 decimal places.) VINNY'S OVERHEAD CONSTRUCTION, CORP. Income Statement for Year Ending December 31, 2021 (in millions of dollars) Net sales Less: Cost of goods sold 123.10 Gross profits S + 73.00 Less: Other operating expenses 19.40 Earnings before interest, taxes, depreciation, and amortization (EBITDA) $ 53.60 Less: Depreciation 17.60 Earnings before interest and taxes (EBIT) Less: Interest Earnings before taxes (EBT) Less: Taxes Net income $ 21.74 Vinny's Overhead Construction had free cash flow during 2021 of $23.8 million. The change in gross fixed assets on Vinny's balance sheet during 2021 was $9.0 million and the change in net operating working capital was $10.0 million. Calculate the missing amounts on Vinny's income statement below. (Enter your answers in millions of dollars rounded to 2 decimal places.) VINNY'S OVERHEAD CONSTRUCTION, CORP. Income Statement for Year Ending December 31, 2021 (in millions of dollars) Net sales Less: Cost of goods sold 123.10 Gross profits S + 73.00 Less: Other operating expenses 19.40 Earnings before interest, taxes, depreciation, and amortization (EBITDA) $ 53.60 Less: Depreciation 17.60 Earnings before interest and taxes (EBIT) Less: Interest Earnings before taxes (EBT) Less: Taxes Net income $ 21.74
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