7Baggers

Walgreens Boots Alliance Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Goodwill  
 Account Receivables  
 Cash and Cash Eq  
 Long-Term Debt  
 Short-Term Debt  
 Inventory  
20190831 20200831 20210228 20210531 20210831 20211130 20220228 20220531 20220831 20221130 20230228 20230531 20230831 20231130 20240229 20240531 20240831 20241130 20250228 20250531 04.058.1112.1616.2120.2724.3228.37Billion

Walgreens Boots Alliance Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-05-31 2025-02-28 2024-11-30 2024-08-31 2024-05-31 2024-02-29 2023-11-30 2023-08-31 2023-05-31 2023-02-28 2022-11-30 2022-08-31 2022-05-31 2022-02-28 2021-11-30 2021-08-31 2021-05-31 2021-02-28 2020-08-31 2019-08-31 2019-05-31 2019-02-28 2018-11-30 2018-08-31 2018-05-31 2018-02-28 2017-11-30 2017-08-31 2017-05-31 2017-02-28 2016-11-30 2016-05-31 2016-02-29 2015-08-31 
                                    
  assets                                  
  current assets:                                  
  cash and cash equivalents766,000,000 702,000,000 859,000,000 1,319,000,000 703,000,000 668,000,000 784,000,000 728,000,000 871,000,000 1,088,000,000 2,349,000,000 1,358,000,000 2,285,000,000 1,887,000,000 4,135,000,000 1,193,000,000    1,023,000,000 839,000,000 818,000,000 980,000,000 785,000,000 1,818,000,000 1,749,000,000 1,830,000,000 3,301,000,000 12,253,000,000 11,822,000,000   3,586,000,000 3,000,000,000 
  marketable securities64,000,000 430,000,000 332,000,000 1,790,000,000    11,000,000 99,000,000 752,000,000 1,883,000,000 1,114,000,000 2,173,000,000                      
  accounts receivable, net 16,554,000,000                                  
  inventories7,320,000,000 7,845,000,000 9,119,000,000 8,320,000,000 8,578,000,000 8,557,000,000 9,454,000,000 8,257,000,000 8,164,000,000 8,757,000,000 9,322,000,000 8,353,000,000 8,520,000,000 8,947,000,000 9,475,000,000 8,159,000,000    9,333,000,000 9,874,000,000 10,188,000,000 10,976,000,000 9,565,000,000 9,889,000,000 10,316,000,000 10,010,000,000 8,899,000,000 8,681,000,000 9,230,000,000   9,025,000,000 8,678,000,000 
  other current assets998,000,000 1,319,000,000 977,000,000 1,055,000,000 1,107,000,000 1,136,000,000 1,134,000,000 1,127,000,000 1,565,000,000 1,362,000,000 1,115,000,000 1,059,000,000 859,000,000 662,000,000 745,000,000 800,000,000    1,118,000,000 1,070,000,000 1,016,000,000 983,000,000 923,000,000 1,122,000,000 1,012,000,000 983,000,000 1,025,000,000 879,000,000 783,000,000   1,034,000,000 1,130,000,000 
  total current assets15,701,000,000 16,237,000,000 17,478,000,000 18,335,000,000 16,337,000,000 16,561,000,000 17,345,000,000 15,503,000,000 16,542,000,000 17,689,000,000 19,523,000,000 16,902,000,000 18,872,000,000 16,824,000,000 20,314,000,000 15,814,000,000    18,700,000,000 19,021,000,000 19,851,000,000 20,083,000,000 17,846,000,000 19,988,000,000 20,358,000,000 19,681,000,000 19,753,000,000 28,152,000,000 27,509,000,000   20,378,000,000 19,657,000,000 
  non-current assets:                                  
  property, plant and equipment8,965,000,000 9,040,000,000 9,382,000,000 9,772,000,000 9,952,000,000 10,121,000,000 11,176,000,000 11,587,000,000 11,562,000,000 11,576,000,000 11,450,000,000 11,729,000,000 11,789,000,000 12,207,000,000 12,295,000,000 12,247,000,000    13,478,000,000 13,717,000,000 13,828,000,000 13,821,000,000 13,911,000,000 13,938,000,000 14,045,000,000 13,693,000,000 13,642,000,000 13,535,000,000 13,528,000,000     
  operating lease right-of-use assets18,795,000,000 19,181,000,000 19,631,000,000 20,335,000,000 21,020,000,000 21,342,000,000 21,708,000,000 21,667,000,000 22,051,000,000 22,024,000,000 21,240,000,000 21,259,000,000 21,369,000,000 21,730,000,000 21,826,000,000                    
  goodwill11,882,000,000 11,803,000,000 15,453,000,000 15,506,000,000 15,821,000,000 15,814,000,000 28,184,000,000 28,187,000,000 28,371,000,000 28,343,000,000 22,582,000,000 22,280,000,000 21,901,000,000 21,958,000,000 21,520,000,000 12,421,000,000    16,560,000,000 16,717,000,000 17,027,000,000 16,809,000,000 16,914,000,000 17,089,000,000 17,017,000,000 15,931,000,000 15,632,000,000 15,516,000,000 15,214,000,000   15,796,000,000 16,372,000,000 
  intangible assets10,845,000,000 10,717,000,000 12,557,000,000 12,973,000,000 12,836,000,000 12,984,000,000 13,278,000,000 13,635,000,000 13,578,000,000 13,864,000,000 10,612,000,000 10,730,000,000 11,583,000,000 12,352,000,000 12,770,000,000 9,936,000,000    10,876,000,000 11,325,000,000 11,932,000,000 11,584,000,000 11,783,000,000 12,111,000,000 12,220,000,000 10,588,000,000 10,156,000,000 10,208,000,000 9,650,000,000   11,122,000,000 12,351,000,000 
  equity method investments1,259,000,000 1,380,000,000 2,172,000,000 2,269,000,000 2,961,000,000 3,256,000,000 3,400,000,000 3,497,000,000 3,527,000,000 4,069,000,000 4,426,000,000 5,495,000,000 5,777,000,000 6,247,000,000 6,367,000,000 6,987,000,000    6,851,000,000 6,673,000,000 6,683,000,000 6,570,000,000 6,610,000,000 6,272,000,000 6,431,000,000 6,028,000,000 6,320,000,000 6,323,000,000 6,164,000,000     
  other non-current assets1,959,000,000 1,859,000,000 1,863,000,000 1,846,000,000 4,059,000,000 4,128,000,000 2,732,000,000 2,550,000,000 2,973,000,000 2,913,000,000 3,042,000,000 1,730,000,000 1,469,000,000 1,366,000,000 1,413,000,000 1,987,000,000    1,133,000,000 1,133,000,000 1,114,000,000 1,074,000,000 1,060,000,000 754,000,000 745,000,000 697,000,000 506,000,000 439,000,000 440,000,000   4,537,000,000 5,334,000,000 
  total non-current assets53,705,000,000 53,979,000,000 61,058,000,000 62,702,000,000 66,648,000,000 67,646,000,000 80,478,000,000 81,125,000,000 82,063,000,000 82,790,000,000 73,352,000,000 73,222,000,000 73,887,000,000 75,859,000,000 76,192,000,000 65,471,000,000    48,899,000,000 49,565,000,000 50,584,000,000 49,858,000,000 50,278,000,000 50,164,000,000 50,458,000,000 46,937,000,000 46,256,000,000 46,021,000,000 44,996,000,000   46,007,000,000 49,125,000,000 
  total assets69,406,000,000 70,216,000,000 78,536,000,000 81,037,000,000 82,985,000,000 84,207,000,000 97,823,000,000 96,628,000,000 98,605,000,000 100,479,000,000 92,875,000,000 90,124,000,000 92,759,000,000 92,683,000,000 96,507,000,000 81,285,000,000    67,598,000,000 68,586,000,000 70,434,000,000 69,941,000,000 68,124,000,000 70,152,000,000 70,816,000,000 66,618,000,000 66,009,000,000 74,173,000,000 72,505,000,000   66,385,000,000 68,782,000,000 
  liabilities, redeemable non-controlling interests and equity                                  
  current liabilities:                                  
  short-term debt429,000,000 1,406,000,000 446,000,000 1,505,000,000 1,506,000,000 1,937,000,000 1,670,000,000 917,000,000 3,061,000,000 4,222,000,000 3,938,000,000 1,059,000,000 2,787,000,000 2,105,000,000 2,647,000,000 1,305,000,000    5,738,000,000 5,483,000,000 5,356,000,000 4,344,000,000 1,966,000,000 2,587,000,000 3,140,000,000         
  trade accounts payable13,617,000,000 13,354,000,000 14,551,000,000 14,082,000,000 13,100,000,000 12,775,000,000 13,593,000,000 12,635,000,000 12,029,000,000 12,720,000,000 12,184,000,000 11,255,000,000 11,794,000,000 11,178,000,000 12,452,000,000 11,136,000,000    14,341,000,000 14,130,000,000 14,348,000,000 14,660,000,000 13,566,000,000 13,089,000,000 13,301,000,000 13,570,000,000 12,494,000,000 11,528,000,000 11,264,000,000   9,873,000,000 10,088,000,000 
  operating lease obligations2,433,000,000 2,394,000,000 2,389,000,000 2,382,000,000 2,384,000,000 2,339,000,000 2,350,000,000 2,347,000,000 2,356,000,000 2,340,000,000 2,271,000,000 2,286,000,000 2,270,000,000 2,277,000,000 2,266,000,000                    
  accrued expenses and other liabilities9,249,000,000 9,245,000,000 9,675,000,000 8,673,000,000 7,753,000,000 7,522,000,000 8,226,000,000 8,426,000,000 8,578,000,000 8,822,000,000 9,534,000,000 7,899,000,000 7,156,000,000 7,006,000,000 6,973,000,000 7,260,000,000    5,474,000,000 5,185,000,000 5,436,000,000 5,484,000,000 5,862,000,000 5,435,000,000 5,675,000,000 5,183,000,000 5,473,000,000 5,065,000,000 4,935,000,000   5,050,000,000 5,225,000,000 
  income taxes230,000,000 185,000,000 392,000,000 312,000,000 292,000,000 342,000,000 276,000,000 209,000,000 146,000,000 124,000,000 109,000,000 84,000,000 60,000,000 132,000,000 110,000,000 94,000,000    216,000,000 263,000,000 163,000,000 611,000,000 273,000,000 371,000,000 443,000,000 496,000,000 329,000,000 282,000,000 326,000,000   297,000,000 176,000,000 
  total current liabilities25,958,000,000 26,585,000,000 27,453,000,000 26,953,000,000 25,034,000,000 24,915,000,000 26,116,000,000 24,535,000,000 26,170,000,000 28,228,000,000 28,036,000,000 22,583,000,000 24,067,000,000 22,699,000,000 24,447,000,000 22,054,000,000    25,769,000,000 25,060,000,000 25,303,000,000 25,099,000,000 21,667,000,000 21,482,000,000 22,559,000,000 20,517,000,000 18,547,000,000 21,713,000,000 17,678,000,000   16,272,000,000 16,557,000,000 
  non-current liabilities:                                  
  long-term debt 16,937,000,000                                  
  deferred income taxes1,234,000,000 1,114,000,000 1,119,000,000 1,195,000,000 1,221,000,000 1,238,000,000 1,279,000,000 1,318,000,000 1,657,000,000 2,081,000,000 1,319,000,000 1,442,000,000 1,578,000,000 1,892,000,000 1,970,000,000 1,850,000,000    1,785,000,000 1,860,000,000 1,982,000,000 1,793,000,000 1,815,000,000 1,973,000,000 1,946,000,000 2,319,000,000 2,281,000,000 2,403,000,000 2,339,000,000   3,107,000,000 3,538,000,000 
  accrued litigation obligations5,527,000,000 5,757,000,000 5,982,000,000 6,008,000,000 5,890,000,000 6,123,000,000 6,366,000,000 6,261,000,000 6,407,000,000 6,365,000,000 6,427,000,000                        
  other non-current liabilities3,195,000,000 3,170,000,000 4,839,000,000 5,736,000,000 6,624,000,000 7,220,000,000 6,589,000,000 5,757,000,000 3,829,000,000 3,193,000,000 3,052,000,000 3,560,000,000 3,737,000,000 3,259,000,000 3,422,000,000 3,413,000,000    4,795,000,000 4,768,000,000 5,053,000,000 5,140,000,000 5,522,000,000 5,771,000,000 5,601,000,000 4,289,000,000 4,223,000,000 4,201,000,000 4,309,000,000   4,114,000,000 4,072,000,000 
  total non-current liabilities36,129,000,000 36,375,000,000 39,813,000,000 41,905,000,000 42,521,000,000 43,928,000,000 43,951,000,000 43,605,000,000 42,915,000,000 42,654,000,000 40,101,000,000 37,134,000,000 37,535,000,000 38,305,000,000 38,694,000,000 35,091,000,000    17,678,000,000 18,754,000,000 19,719,000,000 18,579,000,000 19,768,000,000 20,200,000,000 20,079,000,000 19,345,000,000 19,188,000,000 20,976,000,000 24,406,000,000   20,195,000,000 20,925,000,000 
  commitments and contingencies                                  
  total liabilities62,087,000,000 62,960,000,000 67,266,000,000 68,858,000,000 67,555,000,000 68,843,000,000 70,066,000,000 68,140,000,000 69,086,000,000 70,882,000,000 68,137,000,000 59,717,000,000 61,602,000,000 61,004,000,000 63,141,000,000 57,145,000,000                   
  redeemable non-controlling interests110,000,000 104,000,000 106,000,000 174,000,000 173,000,000 172,000,000 169,000,000 167,000,000 160,000,000 158,000,000 157,000,000 1,042,000,000                       
  equity:                                  
  preferred stock .01 par value; authorized 32 million shares, none issued                                  
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 shares at may 31, 2025 and 1,172,513,618 shares at august 31, 202412,000,000                                  
  paid-in capital10,578,000,000 10,569,000,000 10,582,000,000 10,645,000,000 10,639,000,000 10,627,000,000 10,617,000,000 10,661,000,000 10,667,000,000 10,629,000,000 10,477,000,000 10,950,000,000 11,029,000,000 10,973,000,000 10,966,000,000 10,988,000,000    10,639,000,000 10,605,000,000 10,571,000,000 10,522,000,000 10,493,000,000 10,444,000,000 10,408,000,000 10,359,000,000 10,339,000,000 10,389,000,000 10,162,000,000   10,041,000,000 9,953,000,000 
  retained earnings19,832,000,000 20,007,000,000 22,861,000,000 23,348,000,000 26,571,000,000 26,448,000,000 32,573,000,000 33,058,000,000 33,654,000,000 33,952,000,000 33,664,000,000 37,801,000,000 38,632,000,000 38,757,000,000 38,286,000,000 35,121,000,000    35,815,000,000 35,547,000,000 34,928,000,000 34,168,000,000 33,551,000,000 32,460,000,000 31,513,000,000 30,560,000,000 30,137,000,000 29,744,000,000 28,987,000,000   26,348,000,000 25,089,000,000 
  accumulated other comprehensive loss-2,778,000,000 -2,980,000,000 -2,971,000,000 -2,897,000,000 -2,894,000,000 -2,897,000,000 -2,995,000,000 -2,993,000,000 -2,539,000,000 -2,654,000,000 -2,815,000,000 -2,805,000,000 -2,724,000,000 -2,328,000,000 -2,301,000,000 -2,109,000,000    -3,897,000,000 -3,393,000,000 -2,705,000,000 -3,231,000,000 -3,002,000,000 -2,792,000,000 -2,163,000,000 -2,543,000,000 -3,051,000,000 -3,303,000,000      
  treasury stock-20,461,000,000 -20,498,000,000 -20,544,000,000 -20,662,000,000 -20,686,000,000 -20,705,000,000 -20,725,000,000 -20,717,000,000 -20,731,000,000 -20,747,000,000 -20,762,000,000 -20,683,000,000 -20,696,000,000 -20,712,000,000 -20,700,000,000 -20,593,000,000    -19,057,000,000 -18,638,000,000 -18,036,000,000 -15,862,000,000 -15,047,000,000 -12,388,000,000 -12,415,000,000 -12,459,000,000 -9,971,000,000 -6,242,000,000 -5,285,000,000   -5,026,000,000 -3,977,000,000 
  total walgreens boots alliance, inc. shareholders’ equity7,183,000,000 7,110,000,000 9,939,000,000 10,445,000,000 13,642,000,000 13,484,000,000 19,481,000,000 20,020,000,000 21,063,000,000 21,192,000,000 20,576,000,000 25,275,000,000 26,253,000,000 26,702,000,000 26,263,000,000 23,419,000,000    23,512,000,000 24,133,000,000 24,770,000,000 25,609,000,000 26,007,000,000 27,736,000,000 27,355,000,000 25,929,000,000 27,466,000,000 30,600,000,000 30,067,000,000   29,506,000,000 30,861,000,000 
  non-controlling interests26,000,000 42,000,000 1,226,000,000 1,561,000,000 1,615,000,000 1,708,000,000 8,107,000,000 8,302,000,000 8,296,000,000 8,247,000,000 4,006,000,000 4,091,000,000 4,129,000,000 4,166,000,000                     
  total equity7,209,000,000 7,153,000,000 11,165,000,000 12,005,000,000 15,257,000,000 15,192,000,000 27,588,000,000 28,322,000,000 29,359,000,000 29,439,000,000 24,582,000,000 29,366,000,000 30,382,000,000 30,867,000,000 30,579,000,000 23,822,000,000    24,152,000,000 24,771,000,000 25,413,000,000 26,263,000,000 26,689,000,000 28,470,000,000 28,178,000,000 26,756,000,000 28,274,000,000 31,484,000,000 30,421,000,000   29,918,000,000 31,300,000,000 
  total liabilities, redeemable non-controlling interests and equity69,406,000,000 70,216,000,000 78,536,000,000 81,037,000,000 82,985,000,000 84,207,000,000 97,823,000,000 96,628,000,000 98,605,000,000 100,479,000,000 92,875,000,000 90,124,000,000                       
  accounts receivable 5,940,000,000 6,191,000,000 5,851,000,000 5,949,000,000 6,200,000,000 5,972,000,000 5,381,000,000 5,843,000,000 5,730,000,000 4,853,000,000 5,017,000,000 5,034,000,000 5,328,000,000 5,960,000,000 5,663,000,000    7,226,000,000 7,239,000,000 7,828,000,000 7,144,000,000 6,573,000,000 7,159,000,000 7,281,000,000 6,858,000,000 6,528,000,000 6,339,000,000 5,674,000,000   6,733,000,000 6,849,000,000 
  long-term debt 6,609,000,000 7,611,000,000 8,044,000,000 7,407,000,000 7,535,000,000 7,585,000,000 8,145,000,000 8,841,000,000 8,820,000,000 7,789,000,000 10,615,000,000 10,670,000,000 11,203,000,000 11,199,000,000 7,675,000,000    11,098,000,000 12,127,000,000 12,685,000,000 11,646,000,000 12,431,000,000 12,456,000,000 12,532,000,000 12,737,000,000 12,684,000,000 14,372,000,000 17,758,000,000   12,974,000,000 13,315,000,000 
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 shares at february 28, 2025 and 1,172,513,618 shares at august 31, 2024 12,000,000                                 
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at november 30, 2024 and 1,172,513,618 at august 31, 2024  12,000,000                                
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2024 and august 31, 2023   12,000,000                               
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at may 31, 2024 and august 31, 2023    12,000,000                              
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at february 29, 2024 and august 31, 2023     12,000,000                             
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at november 30, 2023 and august 31, 2023      12,000,000                            
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2023 and august 31, 2022       12,000,000                           
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at may 31, 2023 and august 31, 2022        12,000,000                          
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at february 28, 2023 and august 31, 2022         12,000,000                         
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at november 30, 2022 and august 31, 2022          12,000,000                        
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2022 and august 31, 2021           12,000,000                       
  liabilities, redeemable non-controlling interest and equity                                  
  redeemable non-controlling interest            775,000,000 812,000,000                     
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at may 31, 2022 and august 31, 2021            12,000,000                      
  total liabilities, redeemable non-controlling interest and equity            92,759,000,000 92,683,000,000                     
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at february 28, 2022 and august 31, 2021             12,000,000                     
  liabilities, redeemable noncontrolling interest and equity                                  
  redeemable noncontrolling interest              2,787,000,000 319,000,000                   
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at november 30, 2021 and august 31, 2021              12,000,000                    
  noncontrolling interests              4,316,000,000 402,000,000    641,000,000 638,000,000 643,000,000 654,000,000 682,000,000 734,000,000 823,000,000 827,000,000 808,000,000 884,000,000 354,000,000   412,000,000 439,000,000 
  total liabilities, redeemable noncontrolling interest and equity              96,507,000,000 81,285,000,000                   
  assets of discontinued operations - current                                  
  operating lease right-of-use asset               21,893,000,000                   
  assets of discontinued operations - non-current                                  
  operating lease obligation               2,259,000,000                   
  liabilities of discontinued operations - current                                  
  liabilities of discontinued operations - non-current                                  
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2021 and august 31, 2020               12,000,000                   
  cash from operating activities - discontinued operations                -132,000,000 -138,000,000                 
  cash from investing activities - discontinued operations                -58,000,000 -31,000,000                 
  property, plant and equipment, net 1                                  
  goodwill and intangibles                                  
  other assets                                  
  assets of discontinued operations - non-current 2                                  
  short term debt                                  
  trade accounts payables                                  
  other liabilities                                  
  liabilities of discontinued operations - non-current 2                                  
  assets of discontinued operations - non-current1                                  
  liabilities of discontinued operations - non-current1                                  
  lease obligations and other real estate costs                  18,000,000                
  employee severance and other exit costs                  12,000,000                
  total costs                  30,000,000                
  liabilities and equity                                  
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2019 and 2018                   12,000,000               
  total liabilities and equity                   67,598,000,000 68,586,000,000 70,434,000,000 69,941,000,000 68,124,000,000 70,152,000,000 70,816,000,000 66,618,000,000 66,009,000,000 74,173,000,000 72,505,000,000   66,385,000,000 68,782,000,000 
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at may 31, 2019 and august 31, 2018                    12,000,000              
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at february 28, 2019 and august 31, 2018                     12,000,000             
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at november 30, 2018 and august 31, 2018                      12,000,000            
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2018 and 2017                       12,000,000           
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at may 31, 2018 and august 31, 2017                        12,000,000          
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at february 28, 2018 and august 31, 2017                         12,000,000         
  short-term borrowings                          1,268,000,000 251,000,000 4,838,000,000 1,153,000,000   1,052,000,000 1,068,000,000 
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at november 30, 2017 and august 31, 2017                          12,000,000        
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2017 and 2016                           12,000,000       
  employee stock loan receivable                                -1,000,000 -2,000,000 
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at may 31, 2017 and august 31, 2016                            12,000,000      
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at february 28, 2017 and august 31, 2016                             12,000,000     
  accumulated other comprehensive income                             -3,809,000,000   -1,868,000,000 -214,000,000 
  assets:                                  
  restricted cash                              174,000,000 174,000,000   
  money market funds                              8,624,000,000 2,363,000,000   
  available-for-sale investments                              28,000,000 35,000,000   
  foreign currency forwards                              11,000,000 17,000,000   
  liabilities:                                  
  basis swaps                              1,000,000 1,000,000   
  interest rate swaps                              3,000,000 4,000,000   
  warrants                               498,000,000   
  property, plant and equipment, at cost, less accumulated depreciation and amortization                                14,552,000,000 15,068,000,000 
  common stock .01 par value; authorized 3.2 billion shares; issued 1,172,513,618 at february 29, 2016 and august 31, 2015                                12,000,000  
  equity investment in alliance boots                                  
  preferred stock .01 par value (.0625 at august 31, 2014); authorized 32 million shares, none issued                                  
  common stock .01 par value (.078125 at august 31, 2014); authorized 3.2 billion shares; issued 1,172,513,618 at august 31, 2015 and 1,028,180,150 at august 31, 2014                                 12,000,000 

We provide you with 20 years of balance sheets for Walgreens Boots Alliance stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as asset and liabilities, payables and receivables, long debts and short debts, cash and inventories, expenses and profits. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Walgreens Boots Alliance. Explore the full financial landscape of Walgreens Boots Alliance stock with our expertly curated balance sheets.

The information provided in this report about Walgreens Boots Alliance stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.