Goodyear Tire & Rubber
Balance Sheet

Last updated:

The balance sheet is a financial statement presenting the value of assets, liabilities and equity of a company. How has Goodyear Tire & Rubber's balance sheet done over the years? Its assets were worth $17,185,000,000 last year, which is more than in the previous period. 75% of Goodyear Tire & Rubber’s total assets is currently financed by debt. Its liabilities reached the amount of $12,834,000,000, which means an increase by 7% compared compared to last year.

Debt to Assets

Goodyear Tire & Rubber Co. (NASDAQ:GTPPP): Debt to assets
2013 17527000000 15.92B 90.84%
2014 18109000000 14.49B 80.07%
2015 16439000000 12.51B 76.15%
2016 16511000000 12.00B 72.7%
2017 17064000000 12.46B 73.03%
2018 16872000000 12.00B 71.17%
2019 17185000000 12.83B 74.68%

GTPPP Balance Sheet (2013 – 2019)

2019 2018 2017 2016 2015 2014 2013
Assets
Current assets:
Cash and cash equivalents
908M801M1.04B1.13B1.47B2.16B2.99B
Short term investments
3.56B000000
Net receivables
1.94B2.03B2.02B1.76B2.03B2.12B2.43B
Inventory
2.85B2.85B2.78B2.62B2.46B2.67B2.81B
Other current assets
-3.33B238M224M190M168M766M397M
Total current assets
5.93B5.92B6.07B5.71B6.14B7.72B8.64B
Non-current assets:
Property, Plant and Equipment
855M7.25B7.45B7.04B6.77B7.15B7.32B
Goodwill
565M569M595M535M555M601M668M
Intangible assets
137M136M139M136M138M138M138M
Long term investments
0000000
Other non-current assets
8.16B1.13B792M668M687M731M600M
Total non-current assets
11.25B10.94B10.98B10.79B10.29B10.38B8.88B
Total assets
17.18B16.87B17.06B16.51B16.43B18.10B17.52B
Liabilities
Current liabilities:
Accounts payable
Deferred revenue
1.73B1.84B100M2.41B2.14B570M157M
Short term debt
562M410M262M245M49M148M14M
Total current liabilities
5.28B4.78B5.02B4.81B4.95B4.73B5.02B
Non-current liabilities:
Long term debt
4.75B5.11B5.07B4.79B5.12B6.21B73M
Deferred tax
0000000
Other non-current liabilities
145M499M2.50B261M913M3.67B-2.04B
Total non-current liabilities
5.35B5.67B5.67B5.50B5.87B7.27B1.22B
Total liabilities
12.83B12.00B12.46B12.00B12.51B14.49B15.92B
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