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Take total assets from the balance sheet and divide it by total number of shares

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Chris Hawkins

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Q: How do you calculate assets per share?
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Related questions

How do you calculate Book value per share?

Look in the Company's Balance Sheet. Total Assets -Total Liabilities ______________________ = Book Value per share Outstanding Shares


Formula of net worth per share?

Net Worth Per Share= (Total Assets-Total Liabilities)/No of Shares Outstanding


How calculate net assets per share?

Calculating NAVs - Calculating mutual fund net asset values is easy. Simply take the current market value of the fund's net assets (securities held by the fund minus any liabilities) and divide by the number of shares outstanding. So if a fund had net assets of Rs.50 lakh and there are one lakh shares of the fund, then the price per share (or NAV) is Rs.50.00.


Free reserves per share?

It is cash component (cash, debtors, advances and current assets) per share that is available with the company after excluding its fixed asset and inventory etc..


What is net asset per share?

This is the same thing as book value per share. Net asset value is Total Assets - Total Liabilities. You take this number and divide it by the shares outstanding in the company, and you get net asset per share. Example: AT&T Total Assets: 1000 Total Liabilities: 500 Net asset value: 500 Shares outstanding:100 Net Asset per share: $5


How assets write-down effect earning per share?

Assets = Liabilities + equities therefore equities = Assets - liabilities If Assets go down Equities reduce in value Earnings = Equities / Total No. of shares therefore earnings go down


How do you calculate profit earned per share?

divide the profit total by the number of shares


Will preference share capital be deducted while calculating net assets?

As per Companies Act 1956, Preference share capital is regarded as Capital of the company and not Loan. In view of this, it is not to be deducted to ascertain net assets. This is in turn depend on the purpose for which netassets is being ascertained.


What is NAV?

NAV stand for Net Assets Value. It represents a fund per share market value. NAV is the market value of the assets of the scheme minus its liabilities. Buying and selling of fund is entirely based on NAV priceFor example, if a fund has assets of $50 million and liabilities of $10 million, it would have a NAV of $40 million.Formula to calculate the NAV: Net Assets Value=Market value of investment scheme + Receivables + Accrued Income + Other Assets - Accrued Expences - Payable - Other Liabilities.


How do you calculate return on assets?

Net Income divided by Average Total Assets


How do you calculate net income from assets and liBILITIES?

assets - liabilities = owners equity.


Return on net operating assets calculation?

How do I calculate the return on operating assets?