mirror of
https://code.forgejo.org/actions/cache.git
synced 2024-12-01 19:00:57 -05:00
1555 lines
117 KiB
YAML
1555 lines
117 KiB
YAML
-------------branches :- [trunk]'
|
||
-------------branches :- ]mainbranch]'
|
||
------------branches :- [paradice]'
|
||
------------branches :- [Paradise]'
|
||
"Employee Id: 9999999998 IRS No. 000000000000 '
|
||
+INTERNAL REVENUE SERVICE, $20,210,418.00 '
|
||
+PO BOX 1214, Rate Units Total YTD Taxes / Deductions Current YTD'
|
||
+CHARLOTTE, NC 28201-1214 - - $70,842,745,000.00 $70,842,745,000.00 Federal Withholding $0.00 $0.00'
|
||
+Earnings FICA - Social Security $0.00 $8,853.60'
|
||
+Commissions FICA - Medicare $0.00 $0.00'
|
||
#NAME?
|
||
+FUTA $0.00 $0.00'
|
||
+SUTA $0.00 $0.00'
|
||
+EIN: 61-1767ID91:900037305581 SSN: 633441725'
|
||
#NAME?
|
||
+$70,842,745,000.00 $70,842,745,000.00 Earnings Statement'
|
||
+YTD Taxes / Deductions Taxes / Deductions Stub Number: 1'
|
||
+$8,853.60 $0.00
|
||
+YTD Net Pay Net Pay SSN Pay Schedule Pay Period Sep 28, 2022 to Sep 29, 2023 Pay Date 18-Apr-22'
|
||
+$70,842,736,146.40 $70,842,745,000.00 XXX-XX-1725 Annually'
|
||
#NAME?
|
||
#NAME?
|
||
+**$70,842,7383000.00**
|
||
#NAME?
|
||
#NAME?
|
||
|
||
#NAME?
|
||
+INTERNAL REVENUE SERVICE,
|
||
+PO BOX 1214,
|
||
+CHARLOTTE, NC 28201-1214 ":"70842745000 XXX-XX-1725 Earnings Statement FICA - Social Security 0 8854
|
||
--------branches:' '-' '[' trunk' ']''
|
||
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zakwarlord7
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lilbank.i/anki/db.py /
|
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@zakwarlord7
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zakwarlord7 Update db.py
|
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Latest commit 44ec859 8 minutes ago
|
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History
|
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1 contributor
|
||
347 lines (319 sloc) 32.8 KB
|
||
|
||
# -*- coding: utf-8 -*-
|
||
# Copyright: Damien Elmes <anki@ichi2.net>
|
||
# License: GNU GPL, version 3 or later; http://www.gnu.org/copyleft/gpl.html
|
||
|
||
"""\
|
||
DB tools
|
||
------------branches:' -' '[' mainbranch' ']''
|
||
SessionHelper is a wrapper for the standard sqlalchemy session, which provides
|
||
some convenience routines, and manages transactions itself.
|
||
object_session() is a replacement for the standard object_session(), which
|
||
provides the features of SessionHelper, and avoids taking out another
|
||
transaction.
|
||
'GitHub/doc/formating...,''__ = 'restructuredtext'
|
||
|
||
try:
|
||
from pysqlite2 import dbapi2 as sqlite
|
||
except ImportError:
|
||
try:
|
||
from sqlite3 import dbapi2 as sqlite
|
||
except:
|
||
raise "Please install pysqlite2 or python2.5"
|
||
|
||
from sqlalchemy import (Table, Integer, Float, Column, MetaData,
|
||
ForeignKey, Boolean, String, Date,
|
||
UniqueConstraint, Index, PrimaryKeyConstraint)
|
||
from sqlalchemy import create_engine
|
||
from sqlalchemy.orm import mapper, sessionmaker as _sessionmaker, relation, backref, \
|
||
object_session as _object_session, class_mapper
|
||
from sqlalchemy.sql import select, text, and_
|
||
from sqlalchemy.exceptions import DBAPIError, OperationalError
|
||
from sqlalchemy.pool import NullPool
|
||
import sqlalchemy
|
||
|
||
# some users are still on 0.4.x..
|
||
import warnings
|
||
warnings.filterwarnings('ignore', 'Use session.add()')
|
||
warnings.filterwarnings('ignore', 'Use session.expunge_all()')
|
||
|
||
# sqlalchemy didn't handle the move to unicodetext nicely
|
||
try:
|
||
from sqlalchemy import UnicodeText
|
||
except ImportError:
|
||
from sqlalchemy import Unicode
|
||
UnicodeText = Unicode
|
||
|
||
from anki.hooks import runHook
|
||
|
||
# shared metadata
|
||
metadata = MetaData()
|
||
|
||
# this class assumes the provided session is called with transactional=False
|
||
class SessionHelper(object):
|
||
"Add some convenience routines to a session."
|
||
|
||
def __init__(self, session, lock=False, transaction=True):
|
||
self._session = session
|
||
self._lock = lock
|
||
self._transaction = transaction
|
||
if self._transaction:
|
||
self._session.begin()
|
||
if self._lock:
|
||
self._lockDB()
|
||
self._seen = True
|
||
|
||
def save(self, obj):
|
||
# compat
|
||
if sqlalchemy.__version__.startswith("0.4."):
|
||
self._session.save(obj)
|
||
else:
|
||
self._session.add(obj)
|
||
|
||
def clear(self):
|
||
# compat
|
||
if sqlalchemy.__version__.startswith("0.4."):
|
||
self._session.clear()
|
||
else:
|
||
self._session.expunge_all()
|
||
|
||
def update(self, obj):
|
||
# compat
|
||
if sqlalchemy.__version__.startswith("0.4."):
|
||
self._session.update(obj)
|
||
else:
|
||
self._session.add(obj)
|
||
|
||
def execute(self, *a, **ka):
|
||
x = self._session.execute(*a, **ka)
|
||
runHook("dbFinished")
|
||
return x
|
||
|
||
def __getattr__(self, k):
|
||
return getattr(self.__dict__['_session'], k)
|
||
|
||
def scalar(self, sql, **args):
|
||
return self.execute(text(sql), args).scalar()
|
||
|
||
def all(self, sql, **args):
|
||
return self.execute(text(sql), args).fetchall()
|
||
|
||
def first(self, sql, **args):
|
||
c = self.execute(text(sql), args)
|
||
r = c.fetchone()
|
||
c.close()
|
||
return r
|
||
|
||
def column0(self, sql, **args):
|
||
return [x[0] for x in self.execute(text(sql), args).fetchall()]
|
||
|
||
def statement(self, sql, **kwargs):
|
||
"Execute a statement without returning any results. Flush first."
|
||
return self.execute(text(sql), kwargs)
|
||
|
||
def statements(self, sql, data):
|
||
"Execute a statement across data. Flush first."
|
||
return self.execute(text(sql), data)
|
||
|
||
def __repr__(self):
|
||
return repr(self._session)
|
||
|
||
def commit(self):
|
||
self._session.commit()
|
||
if self._transaction:
|
||
self._session.begin()
|
||
if self._lock:
|
||
self._lockDB()
|
||
|
||
def _lockDB(self):
|
||
"Take out a write lock."
|
||
self._session.execute(text("update decks set modified=modified"))
|
||
|
||
def object_session(*args):
|
||
s = _object_session(*args)
|
||
if s:
|
||
return SessionHelper(s, transaction=False)
|
||
return None
|
||
|
||
def sessionmaker(*args, **kwargs):
|
||
if sqlalchemy.__version__ < "0.5":
|
||
if 'autocommit' in kwargs:
|
||
kwargs['transactional'] = not kwargs['autocommit']
|
||
del kwargs['autocommit']
|
||
else:
|
||
if 'transactional' in kwargs:
|
||
kwargs['autocommit'] = not kwargs['transactional']
|
||
del kwargs['transactional']
|
||
return _sessionmaker(*args, **kwargs)
|
||
Diluted net income per share of Class A and Class B common stock and Class C capital stock (in dollars par share)
|
||
-+
|
||
-+ INTERNAL REVENUE SERVICE, *include interest paid, capital obligation, and underweighting 6858000000
|
||
-+ PO BOX 1214, Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ CHARLOTTE, NC 28201-1214 Diluted net income per share of Class A and Class B common stock and Class C capital stock (in
|
||
-+ dollars par share) 22677000000
|
||
-+ Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ Taxes / Deductions Current YTD
|
||
-+ Fiscal year ends in Dec 31 | USD
|
||
-+ Rate
|
||
-+ Total
|
||
-+ 7567263607 ID 00037305581
|
||
-+ 2017 2018 2019 2020 2021
|
||
-+ Best Time to 911
|
||
-+ INTERNAL REVENUE SERVICE
|
||
-+ PO BOX 1214
|
||
-+ CHARLOTTE NC 28201-1214 9999999999
|
||
-+ 633-44-1725
|
||
-+ ZACHRYTWOOD
|
||
-+ AMPITHEATRE PARKWAY
|
||
-+ MOUNTAIN VIEW, Califomia 94043
|
||
-+ EIN 61-1767919
|
||
|
||
INTERNAL REVENUE SERVICE, *include interest paid, capital obligation, and underweighting 6858000000
|
||
-+ PO BOX 1214, Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ CHARLOTTE, NC 28201-1214 Diluted net income per share of Class A and Class B common stock and Class C capital stock (in
|
||
-+ dollars par share) 22677000000
|
||
-+ Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ Taxes / Deductions Current YTD
|
||
-+ Fiscal year ends in Dec 31 | USD
|
||
-+ Rate
|
||
-+ Total
|
||
-+ 7567263607 ID 00037305581
|
||
-+ 2017 2018 2019 2020 2021
|
||
-+ Best Time to 911
|
||
-+ INTERNAL REVENUE SERVICE
|
||
-+ PO BOX 1214
|
||
-+ CHARLOTTE NC 28201-1214 9999999999
|
||
-+ 633-44-1725
|
||
-+ ZACHRYTWOOD
|
||
-+ AMPITHEATRE PARKWAY
|
||
-+ MOUNTAIN VIEW, Califomia 94043
|
||
-+ EIN 61-1767919
|
||
-+ Earnings FEIN 88-1303491
|
||
-+ End Date
|
||
-+ 44669
|
||
-+ Department of the Treasury Calendar Year
|
||
-+ Check Date
|
||
-+ Internal Revenue Service Due. (04/18/2022)
|
||
-+ _________________________________________________________________
|
||
-+ ______________________
|
||
-+ Tax Period Total Social Security Medicare
|
||
-+ IEIN: 88-1656495
|
||
-+ TxDL: 00037305580 SSN:
|
||
-+ INTERNAL
|
||
-+ REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29200
|
||
-+ 39355 23906.09 10292.9 2407.21
|
||
-+ 20210418 39355 11247.64 4842.74 1132.57
|
||
-+ 39355 27198.5 11710.47 2738.73
|
||
-+ 39355 17028.05
|
||
-+ CP 575A (Rev. 2-2007) 99999999999 CP 575 A SS-4
|
||
-+ Earnings Statement
|
||
-+ IEIN: 88-1656496
|
||
-+ TxDL: 00037305581 SSN:
|
||
-+ INTERNAL REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29201
|
||
-+ Employee Information Pay to the order of ZACHRY T WOOD
|
||
-+ Earnings FEIN 88-1303491
|
||
-+ End Date
|
||
-+ 44669
|
||
-+ Department of the Treasury Calendar Year
|
||
-+ Check Date
|
||
-+ Internal Revenue Service Due. (04/18/2022)
|
||
-+ _________________________________________________________________
|
||
-+ ______________________
|
||
-+ Tax Period Total Social Security Medicare
|
||
-+ IEIN: 88-1656495
|
||
-+ TxDL: 00037305580 SSN:
|
||
-+ INTERNAL
|
||
-+ REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29200
|
||
-+ 39355 23906.09 10292.9 2407.21
|
||
-+ 20210418 39355 11247.64 4842.74 1132.57
|
||
-+ 39355 27198.5 11710.47 2738.73
|
||
-+ 39355 17028.05
|
||
-+ CP 575A (Rev. 2-2007) 99999999999 CP 575 A SS-4
|
||
-+ Earnings Statement
|
||
-+ IEIN: 88-1656496
|
||
-+ TxDL: 00037305581 SSN:
|
||
-+ INTERNAL REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29201
|
||
-+ Employee Information Pay to the order of ZACHRY T WOOD
|
||
-+ AMPITHEATRE PARKWAY,
|
||
-+ MOUNTAIN VIEW, California 94043
|
||
INTERNAL REVENUE SERVICE, *include interest paid, capital obligation, and underweighting 6858000000
|
||
-+ PO BOX 1214, Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ CHARLOTTE, NC 28201-1214 Diluted net income per share of Class A and Class B common stock and Class C capital stock (in
|
||
-+ dollars par share) 22677000000
|
||
-+ Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ Taxes / Deductions Current YTD
|
||
-+ Rate
|
||
-+ Total
|
||
-+ 7567263607 ID 00037305581
|
||
-+ 2017 2018 2019 2020 2021
|
||
-+ Best Time to 911
|
||
-+ INTERNAL REVENUE SERVICE
|
||
-+ PO BOX 1214
|
||
-+ CHARLOTTE NC 28201-1214 9999999999
|
||
-+ 633-44-1725
|
||
-+ ZACHRYTWOOD
|
||
-+ AMPITHEATRE PARKWAY
|
||
-+ MOUNTAIN VIEW, Califomia 94043
|
||
-+ EIN 61-1767919
|
||
-+ Earnings FEIN 88-1303491
|
||
-+ End Date
|
||
-+ 44669
|
||
-+ Department of the Treasury Calendar Year
|
||
-+ Check Date
|
||
-+ Internal Revenue Service Due. (04/18/2022)
|
||
-+ _________________________________________________________________
|
||
-+ ______________________
|
||
-+ Tax Period Total Social Security Medicare
|
||
-+ IEIN: 88-1656495
|
||
-+ TxDL: 00037305580 SSN:
|
||
-+ INTERNAL
|
||
-+ REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29200
|
||
-+ 39355 23906.09 10292.9 2407.21
|
||
-+ 20210418 39355 11247.64 4842.74 1132.57
|
||
-+ 39355 27198.5 11710.47 2738.73
|
||
-+ 39355 17028.05
|
||
-+ CP 575A (Rev. 2-2007) 99999999999 CP 575 A SS-4
|
||
-+ Earnings Statement
|
||
-+ IEIN: 88-1656496
|
||
-+ TxDL: 00037305581 SSN:
|
||
-+ INTERNAL REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29201
|
||
-+ Employee Information Pay to the order of ZACHRY T WOOD
|
||
Footer
|
||
© 2022 GitHub, Inc.
|
||
Footer navigation
|
||
Terms
|
||
About ":SSN :XXX-XX-1725 Earnings Statement FICA - Social Security 0 8854 ---------- dagger.yml
|
||
Taxes / Deductions Stub Number: 1 FICA - Medicare 0 0
|
||
0 Rate Employer Taxes
|
||
Net Pay FUTA 0 0
|
||
70842745000 SUTA 0 0
|
||
This period YTD Taxes / Deductions Current YTD
|
||
Pay Schedulec 70842745000 70842745000 Federal Withholding 0 0
|
||
Annually 70842745000 70842745000 Federal Withholding 0 0
|
||
Units Q1 TTM Taxes / Deductions Current YTD
|
||
Q3 70842745000 70842745000 Federal Withholding 0 0
|
||
Q4 70842745000 70842745000 Federal Withholding 0 0
|
||
CHECK NO. FICA - Social Security 0 8854
|
||
20210418 FICA - Medicare 0 0
|
||
Mountain View, C.A. 94043 -
|
||
Taxable Maritial Status: Single -
|
||
#NAME?
|
||
+TX: 28
|
||
+Federal 941 Deposit Report
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 Local ID: Date of this notice: 44658
|
||
+EIN: 63-3441725State ID: 633441725 Employer Identification Number: 88-1656496
|
||
Employee NAumboeurn:T3 Form: SS-4
|
||
+Description 5/4/2022 - 6/4/2022
|
||
+Payment Amount (Total) $9,246,754,678,763.00 Display All
|
||
+1. Social Security (Employee + Employer) $26,661.80
|
||
+2. Medicare (Employee + Employer) $861,193,422,444.20 Hourly
|
||
+3. Federal Income Tax $8,385,561,229,657.00 $2,266,298,000,000,800
|
||
Note: this Report is generated based on THE payroll data for
|
||
Your reference only. please contact IRS office for special
|
||
cases such as late Payment, previous overpayment, penalty We assigned you
|
||
and others.
|
||
+Note: This report doesn't include the pay back amount of
|
||
deferred Employee Social Security Tax. Commission Please
|
||
Employer Customized Report 6.35-
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 88-1656496state ID: 633441725 State: All Local ID: 00037305581 $2,267,700.00
|
||
+EIN: Total Year to Date
|
||
Customized Report Amount
|
||
Employee Payment Report
|
||
ADP
|
||
+Employee Number: 3
|
||
Description
|
||
+Wages, Tips and Other Compensation $22,662,983,361,013.70 Report Range: Tips
|
||
+Taxable SS Wages $215,014.49
|
||
Zachry Wood
|
||
SSN: xxx-xx-1725
|
||
Payment Summary Ledger balance Date Ledger balance
|
||
+Taxable Medicare Wages $22,662,983,361,013.70 Salary Vacation hourly OT
|
||
+Advanced EIC Payment $0.00 $3,361,013.70
|
||
+Federal Income Tax Withheld $8,385,561,229,657 Bonus $0.00 $0.00
|
||
+Employee SS Tax Withheld $13,330.90 $0.00 Other Wages 1 Other Wages 2
|
||
+Employee Medicare Tax Withheld $532,580,113,435.53 Total $0.00 $0.00
|
||
+State Income Tax Withheld $0.00 $22,662,983,361,013.70
|
||
#NAME?
|
||
+Customized Employer Tax Report $0.00 Deduction Summary
|
||
#NAME?
|
||
#NAME?
|
||
+Employer Medicare Tax $13,330.90 $0.00
|
||
+Federal Unemployment Tax $328,613,309,008.67 Tax Summary
|
||
+State Unemployment Tax $441.70 Federal Tax Total Tax
|
||
+Customized Deduction Report $840 $8,385,561,229,657@3,330.90 Local Tax
|
||
+Health Insurance $0.00
|
||
+401K $0.00 Advanced EIC Payment $8,918,141,356,423.43
|
||
+$0.00 $0.00 Total
|
||
+401K
|
||
+$0.00 $0.00
|
||
#NAME?
|
||
+$532,580,113,050) 6.35- 6.35- 1-800-829-4933
|
||
+3/6/2022 at 6:37 PM
|
||
+Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020
|
||
+GOOGL_income<6D>statement_Quarterly_As_Originally_Reported 24,934,000,000 25,539,000,000 37,497,000,000 31,211,000,000 30,818,000,000
|
||
+24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Cash Flow from Operating Activities, Indirect 24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Net Cash Flow from Continuing Operating Activities, Indirect 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 Service Charges and Fees 1 36
|
||
+Cash Generated from Operating Activities 6,517,000,000 3,797,000,000 4,236,000,000 2,592,000,000 5,748,000,000
|
||
+Income/Loss before Non-Cash Adjustment 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Total Adjustments for Non-Cash Items 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Adjustment 3,215,000,000 3,085,000,000 2,730,000,000 2,525,000,000 3,539,000,000 2.21169E+13
|
||
+Depreciation and Amortization, Non-Cash Adjustment 224,000,000 219,000,000 215,000,000 228,000,000 186,000,000
|
||
+Depreciation, Non-Cash Adjustment 3,954,000,000 3,874,000,000 3,803,000,000 3,745,000,000 3,223,000,000
|
||
+Amortization, Non-Cash Adjustment 1,616,000,000 -1,287,000,000 379,000,000 1,100,000,000 1,670,000,000 number
|
||
+Stock-Based Compensation, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Taxes, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Investment Income/Loss, Non-Cash Adjustment -14,000,000 64,000,000 -8,000,000 -255,000,000 392,000,000 2.21169E+13
|
||
+Gain/Loss on Financial Instruments, Non-Cash Adjustment -2,225,000,000 2,806,000,000 -871,000,000 -1,233,000,000 1,702,000,000
|
||
+Other Non-Cash Items -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Changes in Operating Capital -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Change in Trade and Other Receivables -399,000,000 -1,255,000,000 -199,000,000 7,000,000 -738,000,000
|
||
+Change in Trade/Accounts Receivable 6,994,000,000 3,157,000,000 4,074,000,000 -4,956,000,000 6,938,000,000 Check
|
||
+Change in Other Current Assets 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Payables and Accrued Expenses 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Trade and Other Payables 5,837,000,000 2,919,000,000 4,204,000,000 -3,974,000,000 5,975,000,000
|
||
+Change in Trade/Accounts Payable 368,000,000 272,000,000 -3,000,000 137,000,000 207,000,000
|
||
+Change in Accrued Expenses -3,369,000,000 3,041,000,000 -1,082,000,000 785,000,000 740,000,000
|
||
+Subtotal=$22934637118600
|
||
#NAME?
|
||
#NAME?
|
||
+-11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000 Total B22934637118600
|
||
+Change in Prepayments and Deposits -11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000
|
||
#NAME?
|
||
+Cash Flow from Continuing Investing Activities -6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+-6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+Purchase/Sale and Disposal of Property, Plant and Equipment,
|
||
#NAME?
|
||
+Purchase of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Sale and Disposal of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Purchase/Sale of Business, Net -4,348,000,000 -3,360,000,000 -3,293,000,000 2,195,000,000 -1,375,000,000
|
||
+Purchase/Acquisition of Business -40,860,000,000 -35,153,000,000 -24,949,000,000 -37,072,000,000 -36,955,000,000
|
||
#NAME?
|
||
+Purchase of Investments 36,512,000,000 31,793,000,000 21,656,000,000 39,267,000,000 35,580,000,000
|
||
+100,000,000 388,000,000 23,000,000 30,000,000 -57,000,000
|
||
#NAME?
|
||
+Other Investing Cash Flow -15,254,000,000
|
||
+Purchase/Sale of Other Non-Current Assets, Net -16,511,000,000 -15,254,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Sales of Other Non-Current Assets -16,511,000,000 -12,610,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Cash Flow from Financing Activities -13,473,000,000 -12,610,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Cash Flow from Continuing Financing Activities 13,473,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Issuance of/Payments for Common Stock, Net -42,000,000
|
||
+Payments for Common Stock 115,000,000 -42,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Proceeds from Issuance of Common Stock 115,000,000 6,350,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Issuance of/Repayments for Debt, Net 6,250,000,000 -6,392,000,000 6,699,000,000 900,000,000 0
|
||
+Issuance of/Repayments for Long Term Debt, Net 6,365,000,000 -2,602,000,000 -7,741,000,000 -937,000,000 -57,000,000
|
||
#NAME?
|
||
+Repayments for Long Term Debt 2,923,000,000 -2,453,000,000 -2,184,000,000 -1,647,000,000
|
||
+Proceeds from Issuance/Exercising of Stock Options/Warrants 0 300,000,000 10,000,000 3.38E+11
|
||
#NAME?
|
||
#NAME?
|
||
+Change in Cash 20,945,000,000 23,719,000,000 23,630,000,000 26,622,000,000 26,465,000,000
|
||
+Effect of Exchange Rate Changes 25930000000) 235000000000) -3,175,000,000 300,000,000 6,126,000,000
|
||
+Cash and Cash Equivalents, Beginning of Period PAGE=""""$USD(181000000000)"""".XLS BRIN=""""$USD(146000000000)"""".XLS 183,000,000 -143,000,000 210,000,000
|
||
+Cash Flow Supplemental Section $23,719,000,000,000.00 $26,622,000,000,000.00 $26,465,000,000,000.00 $20,129,000,000,000.00
|
||
+Change in Cash as Reported, Supplemental 2,774,000,000 89,000,000 -2,992,000,000 6,336,000,000
|
||
+Income Tax Paid, Supplemental 13,412,000,000 157,000,000
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
#NAME? -6819000000 -5496000000 -5942000000 -5479000000
|
||
+Q4 2020 Q4 2019
|
||
#NAME?
|
||
+Due: 04/18/2022 388000000 23000000 30000000 -57000000
|
||
+Dec. 31, 2020 Dec. 31, 2019
|
||
+USD in """"000'""""s
|
||
+Repayments for Long Term Debt 182527 161857
|
||
+Costs and expenses:
|
||
+Cost of revenues 84732 71896
|
||
+Research and development 27573 26018
|
||
+Sales and marketing 17946 18464
|
||
+General and administrative 11052 9551
|
||
+European Commission fines 0 1697
|
||
+Total costs and expenses 141303 127626
|
||
+Income from operations 41224 34231
|
||
+Other income (expense), net 6858000000 5394
|
||
+Income before income taxes 22,677,000,000 19,289,000,000
|
||
+Provision for income taxes 22,677,000,000 19,289,000,000
|
||
+Net income 22,677,000,000 19,289,000,000
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
+ALPHABET 88-1303491
|
||
+5323 BRADFORD DR,
|
||
+DALLAS, TX 75235-8314
|
||
#NAME?
|
||
#NAME?
|
||
+Employee Id: 9999999998 IRS No. 000000000000
|
||
+INTERNAL REVENUE SERVICE, $20,210,418.00
|
||
+PO BOX 1214, Rate Units Total YTD Taxes / Deductions Current YTD
|
||
+CHARLOTTE, NC 28201-1214 - - $70,842,745,000.00 $70,842,745,000.00 Federal Withholding $0.00 $0.00
|
||
+Earnings FICA - Social Security $0.00 $8,853.60
|
||
+Commissions FICA - Medicare $0.00 $0.00
|
||
#NAME?
|
||
+FUTA $0.00 $0.00
|
||
+SUTA $0.00 $0.00
|
||
+EIN: 61-1767ID91:900037305581 SSN: 633441725
|
||
#NAME?
|
||
+$70,842,745,000.00 $70,842,745,000.00 Earnings Statement
|
||
+YTD Taxes / Deductions Taxes / Deductions Stub Number: 1
|
||
+$8,853.60 $0.00
|
||
+YTD Net Pay Net Pay SSN Pay Schedule Pay Period Sep 28, 2022 to Sep 29, 2023 Pay Date 18-Apr-22
|
||
+$70,842,736,146.40 $70,842,745,000.00 XXX-XX-1725 Annually
|
||
#NAME?
|
||
#NAME?
|
||
+**$70,842,7383000.00**
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+INTERNAL REVENUE SERVICE,
|
||
+PO BOX 1214,
|
||
+CHARLOTTE, NC 28201-1214
|
||
#NAME?
|
||
+15 $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
#NAME?
|
||
+Notice, see separate instructions. $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
+Cat. No. 11320B $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000 Request Date : 07-29-2022 Period Beginning: 37,151
|
||
+Form 1040 (2021) $76,033,000,000.00 20,642,000,000 18,936,000,000 Response Date : 07-29-2022 Period Ending: 44,833
|
||
#NAME? Tracking Number : 102393399156 Pay Date: 44,591
|
||
#NAME? Customer File Number : 132624428 ZACHRY T. WOOD
|
||
+Total Revenue as Reported, Supplemental $257,637,000,000.00 75,325,000,000 65,118,000,000 61,880,000,000 55,314,000,000 56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 46,075,000,000 40,499,000,000 5,323 BRADFORD DR
|
||
+Total Operating Profit/Loss as Reported, Supplemental $78,714,000,000.00 21,885,000,000 21,031,000,000 19,361,000,000 16,437,000,000 15,651,000,000 11,213,000,000 6,383,000,000 7,977,000,000 9,266,000,000 9,177,000,000
|
||
+Reported Effective Tax Rate $0.16 0.179 0.157 0.158 0.158 0.159 0.119 0.181
|
||
+Reported Normalized Income 6,836,000,000 SSN Provided : XXX-XX-1725 DALLAS TX 75235-8314
|
||
+Reported Normalized Operating Profit 7,977,000,000 Tax Periood Requested : December, 2020
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2
|
||
+Basic EPS from Continuing Operations $113.88 31.12 28.44 27.69 26.63 22.46 16.55 10.21 9.96 15.47 10.2
|
||
#NAME?
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Diluted EPS from Continuing Operations $112.20 30.67 27.99 27.26 26.29 22.23 16.4 10.13 9.87 15.33 10.12
|
||
#NAME?
|
||
+Basic Weighted Average Shares Outstanding $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted Weighted Average Shares Outstanding $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Reported Normalized Diluted EPS 9.87
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2 1
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Basic WASO $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted WASO $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Fiscal year end September 28th., 2022. | USD ""
|
||
70842745000 XXX-XX-1725 Earnings Statement FICA - Social Security 0 8854
|
||
Taxes / Deductions Stub Number: 1 FICA - Medicare 0 00/01/1900
|
||
0 Rate Employer Taxes
|
||
Net Pay FUTA 0 0
|
||
70842745000 SUTA 0 0
|
||
This period YTD Taxes / Deductions Current YTD
|
||
Pay Schedulec 70842745000 70842745000 Federal Withholding 0 0
|
||
Annually 70842745000 70842745000 Federal Withholding 0 0
|
||
Units Q1 TTM Taxes / Deductions Current YTD
|
||
Q3 70842745000 70842745000 Federal Withholding 0 0
|
||
Q4 70842745000 70842745000 Federal Withholding 0 0
|
||
CHECK NO. FICA - Social Security 0 8854
|
||
20210418 FICA - Medicare 0 0
|
||
Mountain View, C.A. 94043 -
|
||
Taxable Maritial Status: Single -
|
||
#NAME?
|
||
+TX: 28
|
||
+Federal 941 Deposit Report
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 Local ID: Date of this notice: 44658
|
||
+EIN: 63-3441725State ID: 633441725 Employer Identification Number: 88-1656496
|
||
Employee NAumboeurn:T3 Form: SS-4
|
||
+Description 5/4/2022 - 6/4/2022
|
||
+Payment Amount (Total) $9,246,754,678,763.00 Display All
|
||
+1. Social Security (Employee + Employer) $26,661.80
|
||
+2. Medicare (Employee + Employer) $861,193,422,444.20 Hourly
|
||
+3. Federal Income Tax $8,385,561,229,657.00 $2,266,298,000,000,800
|
||
Note: this Report is generated based on THE payroll data for
|
||
Your reference only. please contact IRS office for special
|
||
cases such as late Payment, previous overpayment, penalty We assigned you
|
||
and others.
|
||
+Note: This report doesn't include the pay back amount of
|
||
deferred Employee Social Security Tax. Commission Please
|
||
Employer Customized Report 6.35-
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 88-1656496state ID: 633441725 State: All Local ID: 00037305581 $2,267,700.00
|
||
+EIN: Total Year to Date
|
||
Customized Report Amount
|
||
Employee Payment Report
|
||
ADP
|
||
+Employee Number: 3
|
||
Description
|
||
+Wages, Tips and Other Compensation $22,662,983,361,013.70 Report Range: Tips
|
||
+Taxable SS Wages $215,014.49
|
||
Zachry Wood
|
||
SSN: xxx-xx-1725
|
||
Payment Summary Ledger balance Date Ledger balance
|
||
+Taxable Medicare Wages $22,662,983,361,013.70 Salary Vacation hourly OT
|
||
+Advanced EIC Payment $0.00 $3,361,013.70
|
||
+Federal Income Tax Withheld $8,385,561,229,657 Bonus $0.00 $0.00
|
||
+Employee SS Tax Withheld $13,330.90 $0.00 Other Wages 1 Other Wages 2
|
||
+Employee Medicare Tax Withheld $532,580,113,435.53 Total $0.00 $0.00
|
||
+State Income Tax Withheld $0.00 $22,662,983,361,013.70
|
||
#NAME?
|
||
+Customized Employer Tax Report $0.00 Deduction Summary
|
||
#NAME?
|
||
#NAME?
|
||
+Employer Medicare Tax $13,330.90 $0.00
|
||
+Federal Unemployment Tax $328,613,309,008.67 Tax Summary
|
||
+State Unemployment Tax $441.70 Federal Tax Total Tax
|
||
+Customized Deduction Report $840 $8,385,561,229,657@3,330.90 Local Tax
|
||
+Health Insurance $0.00
|
||
+401K $0.00 Advanced EIC Payment $8,918,141,356,423.43
|
||
+$0.00 $0.00 Total
|
||
+401K
|
||
+$0.00 $0.00
|
||
#NAME?
|
||
+$532,580,113,050) 6.35- 6.35- 1-800-829-4933
|
||
+3/6/2022 at 6:37 PM
|
||
+Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020
|
||
+GOOGL_income<6D>statement_Quarterly_As_Originally_Reported 24,934,000,000 25,539,000,000 37,497,000,000 31,211,000,000 30,818,000,000
|
||
+24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Cash Flow from Operating Activities, Indirect 24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Net Cash Flow from Continuing Operating Activities, Indirect 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 Service Charges and Fees 1 36
|
||
+Cash Generated from Operating Activities 6,517,000,000 3,797,000,000 4,236,000,000 2,592,000,000 5,748,000,000
|
||
+Income/Loss before Non-Cash Adjustment 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Total Adjustments for Non-Cash Items 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Adjustment 3,215,000,000 3,085,000,000 2,730,000,000 2,525,000,000 3,539,000,000 2.21E+13
|
||
+Depreciation and Amortization, Non-Cash Adjustment 224,000,000 219,000,000 215,000,000 228,000,000 186,000,000
|
||
+Depreciation, Non-Cash Adjustment 3,954,000,000 3,874,000,000 3,803,000,000 3,745,000,000 3,223,000,000
|
||
+Amortization, Non-Cash Adjustment 1,616,000,000 -1,287,000,000 379,000,000 1,100,000,000 1,670,000,000 number
|
||
+Stock-Based Compensation, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Taxes, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Investment Income/Loss, Non-Cash Adjustment -14,000,000 64,000,000 -8,000,000 -255,000,000 392,000,000 2.21E+13
|
||
+Gain/Loss on Financial Instruments, Non-Cash Adjustment -2,225,000,000 2,806,000,000 -871,000,000 -1,233,000,000 1,702,000,000
|
||
+Other Non-Cash Items -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Changes in Operating Capital -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Change in Trade and Other Receivables -399,000,000 -1,255,000,000 -199,000,000 7,000,000 -738,000,000
|
||
+Change in Trade/Accounts Receivable 6,994,000,000 3,157,000,000 4,074,000,000 -4,956,000,000 6,938,000,000 Check
|
||
+Change in Other Current Assets 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Payables and Accrued Expenses 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Trade and Other Payables 5,837,000,000 2,919,000,000 4,204,000,000 -3,974,000,000 5,975,000,000
|
||
+Change in Trade/Accounts Payable 368,000,000 272,000,000 -3,000,000 137,000,000 207,000,000
|
||
+Change in Accrued Expenses -3,369,000,000 3,041,000,000 -1,082,000,000 785,000,000 740,000,000
|
||
+Subtotal=$22934637118600
|
||
#NAME?
|
||
#NAME?
|
||
+-11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000 Total B22934637118600
|
||
+Change in Prepayments and Deposits -11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000
|
||
#NAME?
|
||
+Cash Flow from Continuing Investing Activities -6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+-6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+Purchase/Sale and Disposal of Property, Plant and Equipment,
|
||
#NAME?
|
||
+Purchase of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Sale and Disposal of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Purchase/Sale of Business, Net -4,348,000,000 -3,360,000,000 -3,293,000,000 2,195,000,000 -1,375,000,000
|
||
+Purchase/Acquisition of Business -40,860,000,000 -35,153,000,000 -24,949,000,000 -37,072,000,000 -36,955,000,000
|
||
#NAME?
|
||
+Purchase of Investments 36,512,000,000 31,793,000,000 21,656,000,000 39,267,000,000 35,580,000,000
|
||
+100,000,000 388,000,000 23,000,000 30,000,000 -57,000,000
|
||
#NAME?
|
||
+Other Investing Cash Flow -15,254,000,000
|
||
+Purchase/Sale of Other Non-Current Assets, Net -16,511,000,000 -15,254,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Sales of Other Non-Current Assets -16,511,000,000 -12,610,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Cash Flow from Financing Activities -13,473,000,000 -12,610,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Cash Flow from Continuing Financing Activities 13,473,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Issuance of/Payments for Common Stock, Net -42,000,000
|
||
+Payments for Common Stock 115,000,000 -42,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Proceeds from Issuance of Common Stock 115,000,000 6,350,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Issuance of/Repayments for Debt, Net 6,250,000,000 -6,392,000,000 6,699,000,000 900,000,000 0
|
||
+Issuance of/Repayments for Long Term Debt, Net 6,365,000,000 -2,602,000,000 -7,741,000,000 -937,000,000 -57,000,000
|
||
#NAME?
|
||
+Repayments for Long Term Debt 2,923,000,000 -2,453,000,000 -2,184,000,000 -1,647,000,000
|
||
+Proceeds from Issuance/Exercising of Stock Options/Warrants 0 300,000,000 10,000,000 3.38E+11
|
||
#NAME?
|
||
#NAME?
|
||
+Change in Cash 20,945,000,000 23,719,000,000 23,630,000,000 26,622,000,000 26,465,000,000
|
||
+Effect of Exchange Rate Changes 25930000000) 235000000000) -3,175,000,000 300,000,000 6,126,000,000
|
||
+Cash and Cash Equivalents, Beginning of Period PAGE=""$USD(181000000000)"".XLS BRIN=""$USD(146000000000)"".XLS 183,000,000 -143,000,000 210,000,000
|
||
+Cash Flow Supplemental Section $23,719,000,000,000.00 $26,622,000,000,000.00 $26,465,000,000,000.00 $20,129,000,000,000.00
|
||
+Change in Cash as Reported, Supplemental 2,774,000,000 89,000,000 -2,992,000,000 6,336,000,000
|
||
+Income Tax Paid, Supplemental 13,412,000,000 157,000,000
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
#NAME? -6819000000 -5496000000 -5942000000 -5479000000
|
||
+Q4 2020 Q4 2019
|
||
#NAME?
|
||
+Due: 04/18/2022 388000000 23000000 30000000 -57000000
|
||
+Dec. 31, 2020 Dec. 31, 2019
|
||
+USD in ""000'""s
|
||
+Repayments for Long Term Debt 182527 161857
|
||
+Costs and expenses:
|
||
+Cost of revenues 84732 71896
|
||
+Research and development 27573 26018
|
||
+Sales and marketing 17946 18464
|
||
+General and administrative 11052 9551
|
||
+European Commission fines 0 1697
|
||
+Total costs and expenses 141303 127626
|
||
+Income from operations 41224 34231
|
||
+Other income (expense), net 6858000000 5394
|
||
+Income before income taxes 22,677,000,000 19,289,000,000
|
||
+Provision for income taxes 22,677,000,000 19,289,000,000
|
||
+Net income 22,677,000,000 19,289,000,000
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
+ALPHABET 88-1303491
|
||
+5323 BRADFORD DR,
|
||
+DALLAS, TX 75235-8314
|
||
#NAME?
|
||
#NAME?
|
||
+Employee Id: 9999999998 IRS No. 000000000000
|
||
+INTERNAL REVENUE SERVICE, $20,210,418.00
|
||
+PO BOX 1214, Rate Units Total YTD Taxes / Deductions Current YTD
|
||
+CHARLOTTE, NC 28201-1214 - - $70,842,745,000.00 $70,842,745,000.00 Federal Withholding $0.00 $0.00
|
||
+Earnings FICA - Social Security $0.00 $8,853.60
|
||
+Commissions FICA - Medicare $0.00 $0.00
|
||
#NAME?
|
||
+FUTA $0.00 $0.00
|
||
+SUTA $0.00 $0.00
|
||
+EIN: 61-1767ID91:900037305581 SSN: 633441725
|
||
#NAME?
|
||
+$70,842,745,000.00 $70,842,745,000.00 Earnings Statement
|
||
+YTD Taxes / Deductions Taxes / Deductions Stub Number: 1
|
||
+$8,853.60 $0.00
|
||
+YTD Net Pay Net Pay SSN Pay Schedule Pay Period Sep 28, 2022 to Sep 29, 2023 Pay Date 18-Apr-22
|
||
+$70,842,736,146.40 $70,842,745,000.00 XXX-XX-1725 Annually
|
||
#NAME?
|
||
#NAME?
|
||
+**$70,842,7383000.00**
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+INTERNAL REVENUE SERVICE,
|
||
+PO BOX 1214,
|
||
+CHARLOTTE, NC 28201-1214
|
||
#NAME?
|
||
+15 $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
#NAME?
|
||
+Notice, see separate instructions. $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
+Cat. No. 11320B $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000 Request Date : 07-29-2022 Period Beginning: 37,151
|
||
+Form 1040 (2021) $76,033,000,000.00 20,642,000,000 18,936,000,000 Response Date : 07-29-2022 Period Ending: 44,833
|
||
#NAME? Tracking Number : 102393399156 Pay Date: 44,591
|
||
#NAME? Customer File Number : 132624428 ZACHRY T. WOOD
|
||
+Total Revenue as Reported, Supplemental $257,637,000,000.00 75,325,000,000 65,118,000,000 61,880,000,000 55,314,000,000 56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 46,075,000,000 40,499,000,000 5,323 BRADFORD DR
|
||
+Total Operating Profit/Loss as Reported, Supplemental $78,714,000,000.00 21,885,000,000 21,031,000,000 19,361,000,000 16,437,000,000 15,651,000,000 11,213,000,000 6,383,000,000 7,977,000,000 9,266,000,000 9,177,000,000
|
||
+Reported Effective Tax Rate $0.16 0.179 0.157 0.158 0.158 0.159 0.119 0.181
|
||
+Reported Normalized Income 6,836,000,000 SSN Provided : XXX-XX-1725 DALLAS TX 75235-8314
|
||
+Reported Normalized Operating Profit 7,977,000,000 Tax Periood Requested : December, 2020
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2
|
||
+Basic EPS from Continuing Operations $113.88 31.12 28.44 27.69 26.63 22.46 16.55 10.21 9.96 15.47 10.2
|
||
#NAME?
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Diluted EPS from Continuing Operations $112.20 30.67 27.99 27.26 26.29 22.23 16.4 10.13 9.87 15.33 10.12
|
||
#NAME?
|
||
+Basic Weighted Average Shares Outstanding $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted Weighted Average Shares Outstanding $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Reported Normalized Diluted EPS 9.87
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2 1
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Basic WASO $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted WASO $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Fiscal year end September 28th., 2022. | USD
|
||
+Diluted Weighted Average Shares Outstanding $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Reported Normalized Diluted EPS 9.87
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2 1
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Basic WASO $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted WASO $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Fiscal year end September 28th., 2022. | USD
|
||
#NAME?
|
||
#NAME?
|
||
Issuing Entity "
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
|
||
Diluted net income per share of Class A and Class B common stock and Class C capital stock (in dollars par share)
|
||
-+
|
||
-+ INTERNAL REVENUE SERVICE, *include interest paid, capital obligation, and underweighting 6858000000
|
||
-+ PO BOX 1214, Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ CHARLOTTE, NC 28201-1214 Diluted net income per share of Class A and Class B common stock and Class C capital stock (in
|
||
-+ dollars par share) 22677000000
|
||
-+ Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ Taxes / Deductions Current YTD
|
||
-+ Fiscal year ends in Dec 31 | USD
|
||
-+ Rate
|
||
-+ Total
|
||
-+ 7567263607 ID 00037305581
|
||
-+ 2017 2018 2019 2020 2021
|
||
-+ Best Time to 911
|
||
-+ INTERNAL REVENUE SERVICE
|
||
-+ PO BOX 1214
|
||
-+ CHARLOTTE NC 28201-1214 9999999999
|
||
-+ 633-44-1725
|
||
-+ ZACHRYTWOOD
|
||
-+ AMPITHEATRE PARKWAY
|
||
-+ MOUNTAIN VIEW, Califomia 94043
|
||
-+ EIN 61-1767919
|
||
|
||
INTERNAL REVENUE SERVICE, *include interest paid, capital obligation, and underweighting 6858000000
|
||
-+ PO BOX 1214, Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ CHARLOTTE, NC 28201-1214 Diluted net income per share of Class A and Class B common stock and Class C capital stock (in
|
||
-+ dollars par share) 22677000000
|
||
-+ Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ Taxes / Deductions Current YTD
|
||
-+ Fiscal year ends in Dec 31 | USD
|
||
-+ Rate
|
||
-+ Total
|
||
-+ 7567263607 ID 00037305581
|
||
-+ 2017 2018 2019 2020 2021
|
||
-+ Best Time to 911
|
||
-+ INTERNAL REVENUE SERVICE
|
||
-+ PO BOX 1214
|
||
-+ CHARLOTTE NC 28201-1214 9999999999
|
||
-+ 633-44-1725
|
||
-+ ZACHRYTWOOD
|
||
-+ AMPITHEATRE PARKWAY
|
||
-+ MOUNTAIN VIEW, Califomia 94043
|
||
-+ EIN 61-1767919
|
||
-+ Earnings FEIN 88-1303491
|
||
-+ End Date
|
||
-+ 44669
|
||
-+ Department of the Treasury Calendar Year
|
||
-+ Check Date
|
||
-+ Internal Revenue Service Due. (04/18/2022)
|
||
-+ _________________________________________________________________
|
||
-+ ______________________
|
||
-+ Tax Period Total Social Security Medicare
|
||
-+ IEIN: 88-1656495
|
||
-+ TxDL: 00037305580 SSN:
|
||
-+ INTERNAL
|
||
-+ REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29200
|
||
-+ 39355 23906.09 10292.9 2407.21
|
||
-+ 20210418 39355 11247.64 4842.74 1132.57
|
||
-+ 39355 27198.5 11710.47 2738.73
|
||
-+ 39355 17028.05
|
||
-+ CP 575A (Rev. 2-2007) 99999999999 CP 575 A SS-4
|
||
-+ Earnings Statement
|
||
-+ IEIN: 88-1656496
|
||
-+ TxDL: 00037305581 SSN:
|
||
-+ INTERNAL REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29201
|
||
-+ Employee Information Pay to the order of ZACHRY T WOOD
|
||
-+ Earnings FEIN 88-1303491
|
||
-+ End Date
|
||
-+ 44669
|
||
-+ Department of the Treasury Calendar Year
|
||
-+ Check Date
|
||
-+ Internal Revenue Service Due. (04/18/2022)
|
||
-+ _________________________________________________________________
|
||
-+ ______________________
|
||
-+ Tax Period Total Social Security Medicare
|
||
-+ IEIN: 88-1656495
|
||
-+ TxDL: 00037305580 SSN:
|
||
-+ INTERNAL
|
||
-+ REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29200
|
||
-+ 39355 23906.09 10292.9 2407.21
|
||
-+ 20210418 39355 11247.64 4842.74 1132.57
|
||
-+ 39355 27198.5 11710.47 2738.73
|
||
-+ 39355 17028.05
|
||
-+ CP 575A (Rev. 2-2007) 99999999999 CP 575 A SS-4
|
||
-+ Earnings Statement
|
||
-+ IEIN: 88-1656496
|
||
-+ TxDL: 00037305581 SSN:
|
||
-+ INTERNAL REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29201
|
||
-+ Employee Information Pay to the order of ZACHRY T WOOD
|
||
-+ AMPITHEATRE PARKWAY,
|
||
-+ MOUNTAIN VIEW, California 94043
|
||
INTERNAL REVENUE SERVICE, *include interest paid, capital obligation, and underweighting 6858000000
|
||
-+ PO BOX 1214, Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ CHARLOTTE, NC 28201-1214 Diluted net income per share of Class A and Class B common stock and Class C capital stock (in
|
||
-+ dollars par share) 22677000000
|
||
-+ Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ Taxes / Deductions Current YTD
|
||
-+ Fiscal year ends in Dec 31 | USD
|
||
-+ Rate
|
||
-+ Total
|
||
-+ 7567263607 ID 00037305581
|
||
-+ 2017 2018 2019 2020 2021
|
||
-+ Best Time to 911
|
||
-+ INTERNAL REVENUE SERVICE
|
||
-+ PO BOX 1214
|
||
-+ CHARLOTTE NC 28201-1214 9999999999
|
||
-+ 633-44-1725
|
||
-+ ZACHRYTWOOD
|
||
-+ AMPITHEATRE PARKWAY
|
||
-+ MOUNTAIN VIEW, Califomia 94043
|
||
-+ EIN 61-1767919
|
||
-+ Earnings FEIN 88-1303491
|
||
-+ End Date
|
||
-+ 44669
|
||
-+ Department of the Treasury Calendar Year
|
||
-+ Check Date
|
||
-+ Internal Revenue Service Due. (04/18/2022)
|
||
-+ _________________________________________________________________
|
||
-+ ______________________
|
||
-+ Tax Period Total Social Security Medicare
|
||
-+ IEIN: 88-1656495
|
||
-+ TxDL: 00037305580 SSN:
|
||
-+ INTERNAL
|
||
-+ REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29200
|
||
-+ 39355 23906.09 10292.9 2407.21
|
||
-+ 20210418 39355 11247.64 4842.74 1132.57
|
||
-+ 39355 27198.5 11710.47 2738.73
|
||
-+ 39355 17028.05
|
||
-+ CP 575A (Rev. 2-2007) 99999999999 CP 575 A SS-4
|
||
-+ Earnings Statement
|
||
-+ IEIN: 88-1656496
|
||
-+ TxDL: 00037305581 SSN:
|
||
-+ INTERNAL REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29201
|
||
-+ Employee Information Pay to the order of ZACHRY T WOOD INTERNAL REVENUE SERVICE, *include interest paid, capital obligation, and underweighting 6858000000
|
||
-+ PO BOX 1214, Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ CHARLOTTE, NC 28201-1214 Diluted net income per share of Class A and Class B common stock and Class C capital stock (in
|
||
-+ dollars par share) 22677000000
|
||
-+ Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)
|
||
-+ 22677000000
|
||
-+ Taxes / Deductions Current YTD
|
||
-+ Fiscal year ends in Dec 31 | USD
|
||
-+ Rate
|
||
-+ Total
|
||
-+ 7567263607 ID 00037305581
|
||
-+ 2017 2018 2019 2020 2021
|
||
-+ Best Time to 911
|
||
-+ INTERNAL REVENUE SERVICE
|
||
-+ PO BOX 1214
|
||
-+ CHARLOTTE NC 28201-1214 9999999999
|
||
-+ 633-44-1725
|
||
-+ ZACHRYTWOOD
|
||
-+ AMPITHEATRE PARKWAY
|
||
-+ MOUNTAIN VIEW, Califomia 94043
|
||
-+ EIN 61-1767919
|
||
-+ Earnings FEIN 88-1303491
|
||
-+ End Date
|
||
-+ 44669
|
||
-+ Department of the Treasury Calendar Year
|
||
-+ Check Date
|
||
-+ Internal Revenue Service Due. (04/18/2022)
|
||
-+ _________________________________________________________________
|
||
-+ ______________________
|
||
-+ Tax Period Total Social Security Medicare
|
||
-+ IEIN: 88-1656495
|
||
-+ TxDL: 00037305580 SSN:
|
||
-+ INTERNAL
|
||
-+ REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29200
|
||
-+ 39355 23906.09 10292.9 2407.21
|
||
-+ 20210418 39355 11247.64 4842.74 1132.57
|
||
-+ 39355 27198.5 11710.47 2738.73
|
||
-+ 39355 17028.05
|
||
-+ CP 575A (Rev. 2-2007) 99999999999 CP 575 A SS-4
|
||
-+ Earnings Statement
|
||
-+ IEIN: 88-1656496
|
||
-+ TxDL: 00037305581 SSN:
|
||
-+ INTERNAL REVENUE SERVICE PO BOX 1300, CHARLOTTE, North Carolina 29201
|
||
-+ Employee Information Pay to the order of ZACHRY T WOOD
|
||
Footer
|
||
© 2022 GitHub, Inc.
|
||
Footer navigation
|
||
Terms
|
||
About
|
||
"""70842745000 XXX-XX-1725 Earnings Statement FICA - Social Security 0 8854
|
||
Taxes / Deductions Stub Number: 1 FICA - Medicare 0 0
|
||
0 Rate Employer Taxes
|
||
Net Pay FUTA 0 0
|
||
70842745000 SUTA 0 0
|
||
This period YTD Taxes / Deductions Current YTD
|
||
Pay Schedulec 70842745000 70842745000 Federal Withholding 0 0
|
||
Annually 70842745000 70842745000 Federal Withholding 0 0
|
||
Units Q1 TTM Taxes / Deductions Current YTD
|
||
Q3 70842745000 70842745000 Federal Withholding 0 0
|
||
Q4 70842745000 70842745000 Federal Withholding 0 0
|
||
CHECK NO. FICA - Social Security 0 8854
|
||
20210418 FICA - Medicare 0 0
|
||
Mountain View, C.A. 94043 -
|
||
Taxable Maritial Status: Single -
|
||
#NAME?
|
||
+TX: 28
|
||
+Federal 941 Deposit Report
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 Local ID: Date of this notice: 44658
|
||
+EIN: 63-3441725State ID: 633441725 Employer Identification Number: 88-1656496
|
||
Employee NAumboeurn:T3 Form: SS-4
|
||
+Description 5/4/2022 - 6/4/2022
|
||
+Payment Amount (Total) $9,246,754,678,763.00 Display All
|
||
+1. Social Security (Employee + Employer) $26,661.80
|
||
+2. Medicare (Employee + Employer) $861,193,422,444.20 Hourly
|
||
+3. Federal Income Tax $8,385,561,229,657.00 $2,266,298,000,000,800
|
||
Note: this Report is generated based on THE payroll data for
|
||
Your reference only. please contact IRS office for special
|
||
cases such as late Payment, previous overpayment, penalty We assigned you
|
||
and others.
|
||
+Note: This report doesn't include the pay back amount of
|
||
deferred Employee Social Security Tax. Commission Please
|
||
Employer Customized Report 6.35-
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 88-1656496state ID: 633441725 State: All Local ID: 00037305581 $2,267,700.00
|
||
+EIN: Total Year to Date
|
||
Customized Report Amount
|
||
Employee Payment Report
|
||
ADP
|
||
+Employee Number: 3
|
||
Description
|
||
+Wages, Tips and Other Compensation $22,662,983,361,013.70 Report Range: Tips
|
||
+Taxable SS Wages $215,014.49
|
||
Zachry Wood
|
||
SSN: xxx-xx-1725
|
||
Payment Summary Ledger balance Date Ledger balance
|
||
+Taxable Medicare Wages $22,662,983,361,013.70 Salary Vacation hourly OT
|
||
+Advanced EIC Payment $0.00 $3,361,013.70
|
||
+Federal Income Tax Withheld $8,385,561,229,657 Bonus $0.00 $0.00
|
||
+Employee SS Tax Withheld $13,330.90 $0.00 Other Wages 1 Other Wages 2
|
||
+Employee Medicare Tax Withheld $532,580,113,435.53 Total $0.00 $0.00
|
||
+State Income Tax Withheld $0.00 $22,662,983,361,013.70
|
||
#NAME?
|
||
+Customized Employer Tax Report $0.00 Deduction Summary
|
||
#NAME?
|
||
#NAME?
|
||
+Employer Medicare Tax $13,330.90 $0.00
|
||
+Federal Unemployment Tax $328,613,309,008.67 Tax Summary
|
||
+State Unemployment Tax $441.70 Federal Tax Total Tax
|
||
+Customized Deduction Report $840 $8,385,561,229,657@3,330.90 Local Tax
|
||
+Health Insurance $0.00
|
||
+401K $0.00 Advanced EIC Payment $8,918,141,356,423.43
|
||
+$0.00 $0.00 Total
|
||
+401K
|
||
+$0.00 $0.00
|
||
#NAME?
|
||
+$532,580,113,050) 6.35- 6.35- 1-800-829-4933
|
||
+3/6/2022 at 6:37 PM
|
||
+Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020
|
||
+GOOGL_income-statement_Quarterly_As_Originally_Reported 24,934,000,000 25,539,000,000 37,497,000,000 31,211,000,000 30,818,000,000
|
||
+24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Cash Flow from Operating Activities, Indirect 24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Net Cash Flow from Continuing Operating Activities, Indirect 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 Service Charges and Fees 1 36
|
||
+Cash Generated from Operating Activities 6,517,000,000 3,797,000,000 4,236,000,000 2,592,000,000 5,748,000,000
|
||
+Income/Loss before Non-Cash Adjustment 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Total Adjustments for Non-Cash Items 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Adjustment 3,215,000,000 3,085,000,000 2,730,000,000 2,525,000,000 3,539,000,000 2.21169E+13
|
||
+Depreciation and Amortization, Non-Cash Adjustment 224,000,000 219,000,000 215,000,000 228,000,000 186,000,000
|
||
+Depreciation, Non-Cash Adjustment 3,954,000,000 3,874,000,000 3,803,000,000 3,745,000,000 3,223,000,000
|
||
+Amortization, Non-Cash Adjustment 1,616,000,000 -1,287,000,000 379,000,000 1,100,000,000 1,670,000,000 number
|
||
+Stock-Based Compensation, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Taxes, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Investment Income/Loss, Non-Cash Adjustment -14,000,000 64,000,000 -8,000,000 -255,000,000 392,000,000 2.21169E+13
|
||
+Gain/Loss on Financial Instruments, Non-Cash Adjustment -2,225,000,000 2,806,000,000 -871,000,000 -1,233,000,000 1,702,000,000
|
||
+Other Non-Cash Items -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Changes in Operating Capital -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Change in Trade and Other Receivables -399,000,000 -1,255,000,000 -199,000,000 7,000,000 -738,000,000
|
||
+Change in Trade/Accounts Receivable 6,994,000,000 3,157,000,000 4,074,000,000 -4,956,000,000 6,938,000,000 Check
|
||
+Change in Other Current Assets 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Payables and Accrued Expenses 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Trade and Other Payables 5,837,000,000 2,919,000,000 4,204,000,000 -3,974,000,000 5,975,000,000
|
||
+Change in Trade/Accounts Payable 368,000,000 272,000,000 -3,000,000 137,000,000 207,000,000
|
||
+Change in Accrued Expenses -3,369,000,000 3,041,000,000 -1,082,000,000 785,000,000 740,000,000
|
||
+Subtotal=$22934637118600
|
||
#NAME?
|
||
#NAME?
|
||
+-11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000 Total B22934637118600
|
||
+Change in Prepayments and Deposits -11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000
|
||
#NAME?
|
||
+Cash Flow from Continuing Investing Activities -6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+-6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+Purchase/Sale and Disposal of Property, Plant and Equipment,
|
||
#NAME?
|
||
+Purchase of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Sale and Disposal of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Purchase/Sale of Business, Net -4,348,000,000 -3,360,000,000 -3,293,000,000 2,195,000,000 -1,375,000,000
|
||
+Purchase/Acquisition of Business -40,860,000,000 -35,153,000,000 -24,949,000,000 -37,072,000,000 -36,955,000,000
|
||
#NAME?
|
||
+Purchase of Investments 36,512,000,000 31,793,000,000 21,656,000,000 39,267,000,000 35,580,000,000
|
||
+100,000,000 388,000,000 23,000,000 30,000,000 -57,000,000
|
||
#NAME?
|
||
+Other Investing Cash Flow -15,254,000,000
|
||
+Purchase/Sale of Other Non-Current Assets, Net -16,511,000,000 -15,254,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Sales of Other Non-Current Assets -16,511,000,000 -12,610,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Cash Flow from Financing Activities -13,473,000,000 -12,610,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Cash Flow from Continuing Financing Activities 13,473,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Issuance of/Payments for Common Stock, Net -42,000,000
|
||
+Payments for Common Stock 115,000,000 -42,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Proceeds from Issuance of Common Stock 115,000,000 6,350,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Issuance of/Repayments for Debt, Net 6,250,000,000 -6,392,000,000 6,699,000,000 900,000,000 0
|
||
+Issuance of/Repayments for Long Term Debt, Net 6,365,000,000 -2,602,000,000 -7,741,000,000 -937,000,000 -57,000,000
|
||
#NAME?
|
||
+Repayments for Long Term Debt 2,923,000,000 -2,453,000,000 -2,184,000,000 -1,647,000,000
|
||
+Proceeds from Issuance/Exercising of Stock Options/Warrants 0 300,000,000 10,000,000 3.38E+11
|
||
#NAME?
|
||
#NAME?
|
||
+Change in Cash 20,945,000,000 23,719,000,000 23,630,000,000 26,622,000,000 26,465,000,000
|
||
+Effect of Exchange Rate Changes 25930000000) 235000000000) -3,175,000,000 300,000,000 6,126,000,000
|
||
+Cash and Cash Equivalents, Beginning of Period PAGE=""""$USD(181000000000)"""".XLS BRIN=""""$USD(146000000000)"""".XLS 183,000,000 -143,000,000 210,000,000
|
||
+Cash Flow Supplemental Section $23,719,000,000,000.00 $26,622,000,000,000.00 $26,465,000,000,000.00 $20,129,000,000,000.00
|
||
+Change in Cash as Reported, Supplemental 2,774,000,000 89,000,000 -2,992,000,000 6,336,000,000
|
||
+Income Tax Paid, Supplemental 13,412,000,000 157,000,000
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
#NAME? -6819000000 -5496000000 -5942000000 -5479000000
|
||
+Q4 2020 Q4 2019
|
||
#NAME?
|
||
+Due: 04/18/2022 388000000 23000000 30000000 -57000000
|
||
+Dec. 31, 2020 Dec. 31, 2019
|
||
+USD in """"000'""""s
|
||
+Repayments for Long Term Debt 182527 161857
|
||
+Costs and expenses:
|
||
+Cost of revenues 84732 71896
|
||
+Research and development 27573 26018
|
||
+Sales and marketing 17946 18464
|
||
+General and administrative 11052 9551
|
||
+European Commission fines 0 1697
|
||
+Total costs and expenses 141303 127626
|
||
+Income from operations 41224 34231
|
||
+Other income (expense), net 6858000000 5394
|
||
+Income before income taxes 22,677,000,000 19,289,000,000
|
||
+Provision for income taxes 22,677,000,000 19,289,000,000
|
||
+Net income 22,677,000,000 19,289,000,000
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
+ALPHABET 88-1303491
|
||
+5323 BRADFORD DR,
|
||
+DALLAS, TX 75235-8314
|
||
#NAME?
|
||
#NAME?
|
||
+Employee Id: 9999999998 IRS No. 000000000000
|
||
+INTERNAL REVENUE SERVICE, $20,210,418.00
|
||
+PO BOX 1214, Rate Units Total YTD Taxes / Deductions Current YTD
|
||
+CHARLOTTE, NC 28201-1214 - - $70,842,745,000.00 $70,842,745,000.00 Federal Withholding $0.00 $0.00
|
||
+Earnings FICA - Social Security $0.00 $8,853.60
|
||
+Commissions FICA - Medicare $0.00 $0.00
|
||
#NAME?
|
||
+FUTA $0.00 $0.00
|
||
+SUTA $0.00 $0.00
|
||
+EIN: 61-1767ID91:900037305581 SSN: 633441725
|
||
#NAME?
|
||
+$70,842,745,000.00 $70,842,745,000.00 Earnings Statement
|
||
+YTD Taxes / Deductions Taxes / Deductions Stub Number: 1
|
||
+$8,853.60 $0.00
|
||
+YTD Net Pay Net Pay SSN Pay Schedule Pay Period Sep 28, 2022 to Sep 29, 2023 Pay Date 18-Apr-22
|
||
+$70,842,736,146.40 $70,842,745,000.00 XXX-XX-1725 Annually
|
||
#NAME?
|
||
#NAME?
|
||
+**$70,842,7383000.00**
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+INTERNAL REVENUE SERVICE,
|
||
+PO BOX 1214,
|
||
+CHARLOTTE, NC 28201-1214
|
||
#NAME?
|
||
+15 $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
#NAME?
|
||
+Notice, see separate instructions. $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
+Cat. No. 11320B $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000 Request Date : 07-29-2022 Period Beginning: 37,151
|
||
+Form 1040 (2021) $76,033,000,000.00 20,642,000,000 18,936,000,000 Response Date : 07-29-2022 Period Ending: 44,833
|
||
#NAME? Tracking Number : 102393399156 Pay Date: 44,591
|
||
#NAME? Customer File Number : 132624428 ZACHRY T. WOOD
|
||
+Total Revenue as Reported, Supplemental $257,637,000,000.00 75,325,000,000 65,118,000,000 61,880,000,000 55,314,000,000 56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 46,075,000,000 40,499,000,000 5,323 BRADFORD DR
|
||
+Total Operating Profit/Loss as Reported, Supplemental $78,714,000,000.00 21,885,000,000 21,031,000,000 19,361,000,000 16,437,000,000 15,651,000,000 11,213,000,000 6,383,000,000 7,977,000,000 9,266,000,000 9,177,000,000
|
||
+Reported Effective Tax Rate $0.16 0.179 0.157 0.158 0.158 0.159 0.119 0.181
|
||
+Reported Normalized Income 6,836,000,000 SSN Provided : XXX-XX-1725 DALLAS TX 75235-8314
|
||
+Reported Normalized Operating Profit 7,977,000,000 Tax Periood Requested : December, 2020
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2
|
||
+Basic EPS from Continuing Operations $113.88 31.12 28.44 27.69 26.63 22.46 16.55 10.21 9.96 15.47 10.2
|
||
#NAME?
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Diluted EPS from Continuing Operations $112.20 30.67 27.99 27.26 26.29 22.23 16.4 10.13 9.87 15.33 10.12
|
||
#NAME?
|
||
+Basic Weighted Average Shares Outstanding $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted Weighted Average Shares Outstanding $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Reported Normalized Diluted EPS 9.87
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2 1
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Basic WASO $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted WASO $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Fiscal year end September 28th., 2022. | USD ""
|
||
70842745000 XXX-XX-1725 Earnings Statement FICA - Social Security 0 8854
|
||
Taxes / Deductions Stub Number: 1 FICA - Medicare 0 00/01/1900
|
||
0 Rate Employer Taxes
|
||
Net Pay FUTA 0 0
|
||
70842745000 SUTA 0 0
|
||
This period YTD Taxes / Deductions Current YTD
|
||
Pay Schedulec 70842745000 70842745000 Federal Withholding 0 0
|
||
Annually 70842745000 70842745000 Federal Withholding 0 0
|
||
Units Q1 TTM Taxes / Deductions Current YTD
|
||
Q3 70842745000 70842745000 Federal Withholding 0 0
|
||
Q4 70842745000 70842745000 Federal Withholding 0 0
|
||
CHECK NO. FICA - Social Security 0 8854
|
||
20210418 FICA - Medicare 0 0
|
||
Mountain View, C.A. 94043 -
|
||
Taxable Maritial Status: Single -
|
||
#NAME?
|
||
+TX: 28
|
||
+Federal 941 Deposit Report
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 Local ID: Date of this notice: 44658
|
||
+EIN: 63-3441725State ID: 633441725 Employer Identification Number: 88-1656496
|
||
Employee NAumboeurn:T3 Form: SS-4
|
||
+Description 5/4/2022 - 6/4/2022
|
||
+Payment Amount (Total) $9,246,754,678,763.00 Display All
|
||
+1. Social Security (Employee + Employer) $26,661.80
|
||
+2. Medicare (Employee + Employer) $861,193,422,444.20 Hourly
|
||
+3. Federal Income Tax $8,385,561,229,657.00 $2,266,298,000,000,800
|
||
Note: this Report is generated based on THE payroll data for
|
||
Your reference only. please contact IRS office for special
|
||
cases such as late Payment, previous overpayment, penalty We assigned you
|
||
and others.
|
||
+Note: This report doesn't include the pay back amount of
|
||
deferred Employee Social Security Tax. Commission Please
|
||
Employer Customized Report 6.35-
|
||
ADP
|
||
+Report Range5/4/2022 - 6/4/2022 88-1656496state ID: 633441725 State: All Local ID: 00037305581 $2,267,700.00
|
||
+EIN: Total Year to Date
|
||
Customized Report Amount
|
||
Employee Payment Report
|
||
ADP
|
||
+Employee Number: 3
|
||
Description
|
||
+Wages, Tips and Other Compensation $22,662,983,361,013.70 Report Range: Tips
|
||
+Taxable SS Wages $215,014.49
|
||
Zachry Wood
|
||
SSN: xxx-xx-1725
|
||
Payment Summary Ledger balance Date Ledger balance
|
||
+Taxable Medicare Wages $22,662,983,361,013.70 Salary Vacation hourly OT
|
||
+Advanced EIC Payment $0.00 $3,361,013.70
|
||
+Federal Income Tax Withheld $8,385,561,229,657 Bonus $0.00 $0.00
|
||
+Employee SS Tax Withheld $13,330.90 $0.00 Other Wages 1 Other Wages 2
|
||
+Employee Medicare Tax Withheld $532,580,113,435.53 Total $0.00 $0.00
|
||
+State Income Tax Withheld $0.00 $22,662,983,361,013.70
|
||
#NAME?
|
||
+Customized Employer Tax Report $0.00 Deduction Summary
|
||
#NAME?
|
||
#NAME?
|
||
+Employer Medicare Tax $13,330.90 $0.00
|
||
+Federal Unemployment Tax $328,613,309,008.67 Tax Summary
|
||
+State Unemployment Tax $441.70 Federal Tax Total Tax
|
||
+Customized Deduction Report $840 $8,385,561,229,657@3,330.90 Local Tax
|
||
+Health Insurance $0.00
|
||
+401K $0.00 Advanced EIC Payment $8,918,141,356,423.43
|
||
+$0.00 $0.00 Total
|
||
+401K
|
||
+$0.00 $0.00
|
||
#NAME?
|
||
+$532,580,113,050) 6.35- 6.35- 1-800-829-4933
|
||
+3/6/2022 at 6:37 PM
|
||
+Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020
|
||
+GOOGL_income<6D>statement_Quarterly_As_Originally_Reported 24,934,000,000 25,539,000,000 37,497,000,000 31,211,000,000 30,818,000,000
|
||
+24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Cash Flow from Operating Activities, Indirect 24,934,000,000 25,539,000,000 21,890,000,000 19,289,000,000 22,677,000,000
|
||
+Net Cash Flow from Continuing Operating Activities, Indirect 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 Service Charges and Fees 1 36
|
||
+Cash Generated from Operating Activities 6,517,000,000 3,797,000,000 4,236,000,000 2,592,000,000 5,748,000,000
|
||
+Income/Loss before Non-Cash Adjustment 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Total Adjustments for Non-Cash Items 3,439,000,000 3,304,000,000 2,945,000,000 2,753,000,000 3,725,000,000
|
||
+Adjustment 3,215,000,000 3,085,000,000 2,730,000,000 2,525,000,000 3,539,000,000 2.21E+13
|
||
+Depreciation and Amortization, Non-Cash Adjustment 224,000,000 219,000,000 215,000,000 228,000,000 186,000,000
|
||
+Depreciation, Non-Cash Adjustment 3,954,000,000 3,874,000,000 3,803,000,000 3,745,000,000 3,223,000,000
|
||
+Amortization, Non-Cash Adjustment 1,616,000,000 -1,287,000,000 379,000,000 1,100,000,000 1,670,000,000 number
|
||
+Stock-Based Compensation, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Taxes, Non-Cash Adjustment -2,478,000,000 -2,158,000,000 -2,883,000,000 -4,751,000,000 -3,262,000,000
|
||
+Investment Income/Loss, Non-Cash Adjustment -14,000,000 64,000,000 -8,000,000 -255,000,000 392,000,000 2.21E+13
|
||
+Gain/Loss on Financial Instruments, Non-Cash Adjustment -2,225,000,000 2,806,000,000 -871,000,000 -1,233,000,000 1,702,000,000
|
||
+Other Non-Cash Items -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Changes in Operating Capital -5,819,000,000 -2,409,000,000 -3,661,000,000 2,794,000,000 -5,445,000,000
|
||
+Change in Trade and Other Receivables -399,000,000 -1,255,000,000 -199,000,000 7,000,000 -738,000,000
|
||
+Change in Trade/Accounts Receivable 6,994,000,000 3,157,000,000 4,074,000,000 -4,956,000,000 6,938,000,000 Check
|
||
+Change in Other Current Assets 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Payables and Accrued Expenses 1,157,000,000 238,000,000 -130,000,000 -982,000,000 963,000,000
|
||
+Change in Trade and Other Payables 5,837,000,000 2,919,000,000 4,204,000,000 -3,974,000,000 5,975,000,000
|
||
+Change in Trade/Accounts Payable 368,000,000 272,000,000 -3,000,000 137,000,000 207,000,000
|
||
+Change in Accrued Expenses -3,369,000,000 3,041,000,000 -1,082,000,000 785,000,000 740,000,000
|
||
+Subtotal=$22934637118600
|
||
#NAME?
|
||
#NAME?
|
||
+-11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000 Total B22934637118600
|
||
+Change in Prepayments and Deposits -11,016,000,000 -10,050,000,000 -9,074,000,000 -5,383,000,000 -7,281,000,000
|
||
#NAME?
|
||
+Cash Flow from Continuing Investing Activities -6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+-6,383,000,000 -6,819,000,000 -5,496,000,000 -5,942,000,000 -5,479,000,000
|
||
+Purchase/Sale and Disposal of Property, Plant and Equipment,
|
||
#NAME?
|
||
+Purchase of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Sale and Disposal of Property, Plant and Equipment -385,000,000 -259,000,000 -308,000,000 -1,666,000,000 -370,000,000
|
||
+Purchase/Sale of Business, Net -4,348,000,000 -3,360,000,000 -3,293,000,000 2,195,000,000 -1,375,000,000
|
||
+Purchase/Acquisition of Business -40,860,000,000 -35,153,000,000 -24,949,000,000 -37,072,000,000 -36,955,000,000
|
||
#NAME?
|
||
+Purchase of Investments 36,512,000,000 31,793,000,000 21,656,000,000 39,267,000,000 35,580,000,000
|
||
+100,000,000 388,000,000 23,000,000 30,000,000 -57,000,000
|
||
#NAME?
|
||
+Other Investing Cash Flow -15,254,000,000
|
||
+Purchase/Sale of Other Non-Current Assets, Net -16,511,000,000 -15,254,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Sales of Other Non-Current Assets -16,511,000,000 -12,610,000,000 -15,991,000,000 -13,606,000,000 -9,270,000,000
|
||
+Cash Flow from Financing Activities -13,473,000,000 -12,610,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Cash Flow from Continuing Financing Activities 13,473,000,000 -12,796,000,000 -11,395,000,000 -7,904,000,000
|
||
+Issuance of/Payments for Common Stock, Net -42,000,000
|
||
+Payments for Common Stock 115,000,000 -42,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Proceeds from Issuance of Common Stock 115,000,000 6,350,000,000 -1,042,000,000 -37,000,000 -57,000,000
|
||
+Issuance of/Repayments for Debt, Net 6,250,000,000 -6,392,000,000 6,699,000,000 900,000,000 0
|
||
+Issuance of/Repayments for Long Term Debt, Net 6,365,000,000 -2,602,000,000 -7,741,000,000 -937,000,000 -57,000,000
|
||
#NAME?
|
||
+Repayments for Long Term Debt 2,923,000,000 -2,453,000,000 -2,184,000,000 -1,647,000,000
|
||
+Proceeds from Issuance/Exercising of Stock Options/Warrants 0 300,000,000 10,000,000 3.38E+11
|
||
#NAME?
|
||
#NAME?
|
||
+Change in Cash 20,945,000,000 23,719,000,000 23,630,000,000 26,622,000,000 26,465,000,000
|
||
+Effect of Exchange Rate Changes 25930000000) 235000000000) -3,175,000,000 300,000,000 6,126,000,000
|
||
+Cash and Cash Equivalents, Beginning of Period PAGE=""$USD(181000000000)"".XLS BRIN=""$USD(146000000000)"".XLS 183,000,000 -143,000,000 210,000,000
|
||
+Cash Flow Supplemental Section $23,719,000,000,000.00 $26,622,000,000,000.00 $26,465,000,000,000.00 $20,129,000,000,000.00
|
||
+Change in Cash as Reported, Supplemental 2,774,000,000 89,000,000 -2,992,000,000 6,336,000,000
|
||
+Income Tax Paid, Supplemental 13,412,000,000 157,000,000
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
#NAME? -6819000000 -5496000000 -5942000000 -5479000000
|
||
+Q4 2020 Q4 2019
|
||
#NAME?
|
||
+Due: 04/18/2022 388000000 23000000 30000000 -57000000
|
||
+Dec. 31, 2020 Dec. 31, 2019
|
||
+USD in ""000'""s
|
||
+Repayments for Long Term Debt 182527 161857
|
||
+Costs and expenses:
|
||
+Cost of revenues 84732 71896
|
||
+Research and development 27573 26018
|
||
+Sales and marketing 17946 18464
|
||
+General and administrative 11052 9551
|
||
+European Commission fines 0 1697
|
||
+Total costs and expenses 141303 127626
|
||
+Income from operations 41224 34231
|
||
+Other income (expense), net 6858000000 5394
|
||
+Income before income taxes 22,677,000,000 19,289,000,000
|
||
+Provision for income taxes 22,677,000,000 19,289,000,000
|
||
+Net income 22,677,000,000 19,289,000,000
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
#NAME?
|
||
+and Class C capital stock (in dollars par share)
|
||
#NAME?
|
||
+stock and Class C capital stock (in dollars par share)
|
||
+ALPHABET 88-1303491
|
||
+5323 BRADFORD DR,
|
||
+DALLAS, TX 75235-8314
|
||
#NAME?
|
||
#NAME?
|
||
+Employee Id: 9999999998 IRS No. 000000000000
|
||
+INTERNAL REVENUE SERVICE, $20,210,418.00
|
||
+PO BOX 1214, Rate Units Total YTD Taxes / Deductions Current YTD
|
||
+CHARLOTTE, NC 28201-1214 - - $70,842,745,000.00 $70,842,745,000.00 Federal Withholding $0.00 $0.00
|
||
+Earnings FICA - Social Security $0.00 $8,853.60
|
||
+Commissions FICA - Medicare $0.00 $0.00
|
||
#NAME?
|
||
+FUTA $0.00 $0.00
|
||
+SUTA $0.00 $0.00
|
||
+EIN: 61-1767ID91:900037305581 SSN: 633441725
|
||
#NAME?
|
||
+$70,842,745,000.00 $70,842,745,000.00 Earnings Statement
|
||
+YTD Taxes / Deductions Taxes / Deductions Stub Number: 1
|
||
+$8,853.60 $0.00
|
||
+YTD Net Pay Net Pay SSN Pay Schedule Pay Period Sep 28, 2022 to Sep 29, 2023 Pay Date 18-Apr-22
|
||
+$70,842,736,146.40 $70,842,745,000.00 XXX-XX-1725 Annually
|
||
#NAME?
|
||
#NAME?
|
||
+**$70,842,7383000.00**
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+INTERNAL REVENUE SERVICE,
|
||
+PO BOX 1214,
|
||
+CHARLOTTE, NC 28201-1214
|
||
#NAME?
|
||
+15 $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
#NAME?
|
||
+Notice, see separate instructions. $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
|
||
+Cat. No. 11320B $76,033,000,000.00 20,642,000,000 18,936,000,000 18,525,000,000 17,930,000,000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000 Request Date : 07-29-2022 Period Beginning: 37,151
|
||
+Form 1040 (2021) $76,033,000,000.00 20,642,000,000 18,936,000,000 Response Date : 07-29-2022 Period Ending: 44,833
|
||
#NAME? Tracking Number : 102393399156 Pay Date: 44,591
|
||
#NAME? Customer File Number : 132624428 ZACHRY T. WOOD
|
||
+Total Revenue as Reported, Supplemental $257,637,000,000.00 75,325,000,000 65,118,000,000 61,880,000,000 55,314,000,000 56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 46,075,000,000 40,499,000,000 5,323 BRADFORD DR
|
||
+Total Operating Profit/Loss as Reported, Supplemental $78,714,000,000.00 21,885,000,000 21,031,000,000 19,361,000,000 16,437,000,000 15,651,000,000 11,213,000,000 6,383,000,000 7,977,000,000 9,266,000,000 9,177,000,000
|
||
+Reported Effective Tax Rate $0.16 0.179 0.157 0.158 0.158 0.159 0.119 0.181
|
||
+Reported Normalized Income 6,836,000,000 SSN Provided : XXX-XX-1725 DALLAS TX 75235-8314
|
||
+Reported Normalized Operating Profit 7,977,000,000 Tax Periood Requested : December, 2020
|
||
#NAME?
|
||
#NAME?
|
||
#NAME?
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2
|
||
+Basic EPS from Continuing Operations $113.88 31.12 28.44 27.69 26.63 22.46 16.55 10.21 9.96 15.47 10.2
|
||
#NAME?
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Diluted EPS from Continuing Operations $112.20 30.67 27.99 27.26 26.29 22.23 16.4 10.13 9.87 15.33 10.12
|
||
+Basic Weighted Average Shares Outstanding $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted Weighted Average Shares Outstanding $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Reported Normalized Diluted EPS 9.87
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2 1
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Basic WASO $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted WASO $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Fiscal year end September 28th., 2022. | USD
|
||
+Diluted Weighted Average Shares Outstanding $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Reported Normalized Diluted EPS 9.87
|
||
+Basic EPS $113.88 31.15 28.44 27.69 26.63 22.54 16.55 10.21 9.96 15.49 10.2 1
|
||
+Diluted EPS $112.20 30.69 27.99 27.26 26.29 22.3 16.4 10.13 9.87 15.35 10.12
|
||
+Basic WASO $667,650,000.00 662,664,000 665,758,000 668,958,000 673,220,000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
|
||
+Diluted WASO $677,674,000.00 672,493,000 676,519,000 679,612,000 682,071,000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
|
||
+Fiscal year end September 28th., 2022. | USD
|
||
|