Financial statement analysis and common stock valuation
Financial Analyst
Stock Analysis on Net
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Adobe Inc. (NASDAQ:ADBE)
DuPont Analysis: Disaggregation of ROE, ROA, and Net Profit Margin
Quarterly Data
An approach to decomposing Adobe Inc. return on equity, return on assets, and net profit margin ratio as the product of other financial ratios.
Analysis of Short-term (Operating) Activity Ratios
Quarterly Data
Evaluates revenues and output generated by the Adobe Inc. assets. Operating performance ratios describe the relationship between the Adobe Inc. level of operations and the assets needed to sustain operating activities.
Common-Size Balance Sheet: Liabilities and Stockholders’ Equity
Quarterly Data
Liabilities and stockholders’ equity components shown as percentage of total liabilities and stockholders’ equity.
Common-Size Income Statement
Income statement components (revenues and expenses) shown as percentage of total sales.
Long-term Trends
Enterprise Value to EBITDA (EV/EBITDA)
To calculate EBITDA analysts start with net earnings. To that earnings number, interest, taxes, depreciation, and amortization are added. EBITDA as a pre-interest number is a flow to all providers of capital.
Aggregate Accruals
Financial reporting quality relates to the accuracy with which Adobe Inc. reported financial statements reflect its operating performance and to their usefulness for forecasting future cash flows.
Aggregate accruals deriving measures of the accrual component of Adobe Inc. earnings.
Present Value of Free Cash Flow to Equity (FCFE)
The FCFE valuation approach estimates the value of equity as the present value of future FCFE discounted at the required rate of return on equity.
Analysis of Long-term (Investment) Activity Ratios
Measures how efficiently Adobe Inc. generates revenues from its investments in fixed or total assets.
Common Stock Valuation Ratios
Relative valuation technique determine the value of Adobe Inc. by comparing it to similar entities (like industry or sector) on the basis of several relative ratios that compare its stock price to relevant variables that affect the stock value, such as earnings, book value, and sales.
Capital Asset Pricing Model (CAPM)
CAPM is a theory concentrated with deriving the expected rates of return on risky assets based on the assets’ systematic risk levels. Systematic risk is the variability of returns that is due to macroeconomic factors that affect all risky assets. It cannot be eliminated by diversification.
Cash Flow Statement
Quarterly Data
The cash flow statement provides information about Adobe Inc. cash receipts and cash payments during an accounting period, showing how these cash flows link the ending cash balance to the beginning balance shown on Adobe Inc. balance sheet.
What’s new
Thursday, January 15, 2026
Adobe Inc. (NASDAQ:ADBE) annual report
for fiscal year ended November 28, 2025
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Micron Technology Inc. (NASDAQ:MU) quarterly report
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