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[ "[P1|S1] Table of Contents \nOther cash flows from financing activities may include various other items, such as changes in cash overdraft balances, and principal payments for capital\nleases. [P1|S2] In addition, in 2017, this included a payment related to the $96 million in interest expense associated with premiu...
What is the FY2018 capital expenditure amount (in USD millions) for 3M? Give a response to the question by relying on the details shown in the cash flow statement.
$1577.00
[ { "end_sentence_id": 1, "evidence_page_num": 59, "passage_id": 2, "start_sentence_id": 1 } ]
[ "Table of Contents \n3M Company and Subsidiaries\nConsolidated Statement of Cash Flow s\nYears ended December 31\n \n(Millions)\n \n2018\n \n2017\n \n2016\n \nCash Flows from Operating Activities\n \n \n \n \n \n \n \nNet income including noncontrolling interest\n \n$\n5,363 \n$\n4,869 \n$\n5,058 \nAdjustments to r...
[ "[P1|S1] Table of Contents \n3M Company and Subsidiaries\nConsolidated Balance Shee t\nAt December 31\n \n \n \nDecember 31,\n \nDecember 31,\n \n(Dollars in millions, except per share amount)\n \n2018\n \n2017\n \nAssets\n \n \n \n \n \nCurrent assets\n \n \n \n \n \nCash and cash equivalents\n \n$\n2,853 \n$\n3,0...
Assume that you are a public equities analyst. Answer the following question by primarily using information that is shown in the balance sheet: what is the year end FY2018 net PPNE for 3M? Answer in USD billions.
$8.70
[ { "end_sentence_id": 5, "evidence_page_num": 57, "passage_id": 1, "start_sentence_id": 1 } ]
[ "Table of Contents \n3M Company and Subsidiaries\nConsolidated Balance Shee t\nAt December 31\n \n \n \nDecember 31,\n \nDecember 31,\n \n(Dollars in millions, except per share amount)\n \n2018\n \n2017\n \nAssets\n \n \n \n \n \nCurrent assets\n \n \n \n \n \nCash and cash equivalents\n \n$\n2,853 \n$\n3,053 \nMar...
[ "[P1|S1] Table of Contents\n3M Company and Subsidiaries\nConsolidated Statement of Income\nYears ended December 31\n(Millions, except per share amounts)\n2022\n2021\n2020\nNet sales\n$\n34,229 $\n35,355 $\n32,184 \nOperating expenses\nCost of sales\n19,232 \n18,795 \n16,605 \nSelling, general and administrative exp...
Is 3M a capital-intensive business based on FY2022 data?
No, the company is managing its CAPEX and Fixed Assets pretty efficiently, which is evident from below key metrics: CAPEX/Revenue Ratio: 5.1% Fixed assets/Total Assets: 20% Return on Assets= 12.4%
[ { "end_sentence_id": 1, "evidence_page_num": 47, "passage_id": 1, "start_sentence_id": 1 }, { "end_sentence_id": 2, "evidence_page_num": 49, "passage_id": 5, "start_sentence_id": 1 }, { "end_sentence_id": 1, "evidence_page_num": 51, "passage_id": 3, "start_sen...
[ "3M Company and Subsidiaries\nConsolidated Statement of Income\nYears ended December 31\n(Millions, except per share amounts)\n2022\n2021\n2020\nNet sales\n$\n34,229 $\n35,355 $\n32,184", "3M Company and Subsidiaries\nConsolidated Balance Sheet\nAt December 31\n(Dollars in millions, except per share amount)\n2022...
[ "[P1|S1] Table of Contents\nAs of December 31, 2022, there was $7 million of compensation expense that has yet to be recognized related to performance shares. [P1|S2] This expense is expected to be recognized\nover the remaining weighted-average earnings period of 19 months. [P1|S3] The total fair value of performa...
What drove operating margin change as of FY2022 for 3M? If operating margin is not a useful metric for a company like this, then please state that and explain why.
Operating Margin for 3M in FY2022 has decreased by 1.7% primarily due to: -Decrease in gross Margin -mostly one-off charges including Combat Arms Earplugs litigation, impairment related to exiting PFAS manufacturing, costs related to exiting Russia and divestiture-related restructuring charges
[ { "end_sentence_id": 12, "evidence_page_num": 26, "passage_id": 4, "start_sentence_id": 10 } ]
[ "SG&A, measured as a percent of sales, increased in 2022 when compared to the same period last year. SG&A was impacted by increased special item costs for significant\nlitigation primarily related to steps toward resolving Combat Arms Earplugs litigation (discussed in Note 16) resulting in a 2022 second quarter pre...
[ "[P1|S1] Table of Contents\nAs of December 31, 2022, there was $7 million of compensation expense that has yet to be recognized related to performance shares. [P1|S2] This expense is expected to be recognized\nover the remaining weighted-average earnings period of 19 months. [P1|S3] The total fair value of performa...
If we exclude the impact of M&A, which segment has dragged down 3M's overall growth in 2022?
The consumer segment shrunk by 0.9% organically.
[ { "end_sentence_id": 5, "evidence_page_num": 24, "passage_id": 5, "start_sentence_id": 5 } ]
[ "Worldwide Sales Change \nBy Business Segment\nOrganic sales\nAcquisitions\nDivestitures\nTranslation\nTotal sales change\nSafety and Industrial\n1.0 %\n \n %\n %\n(4.2) %\n(3.2) %\nTransportation and Electronics\n1.2 \n \n(0.5)\n(4.6)\n(3.9)\nHealth Care\n3.2 \n \n(1.4)\n(3.8)\n(2.0)\nConsumer\n(0.9)\n \n(0.4)\n(2...
[ "[P1|S1] Table of Contents\nFINANCIAL CONDITION AND LIQUIDITY\nThe strength and stability of 3M’s business model and strong free cash flow capability, together with proven capital markets access, provide financial flexibility to deploy\ncapital in accordance with the Company's stated priorities and meet needs assoc...
Does 3M have a reasonably healthy liquidity profile based on its quick ratio for Q2 of FY2023? If the quick ratio is not relevant to measure liquidity, please state that and explain why.
No. The quick ratio for 3M was 0.96 by Jun'23 close, which needs a bit of an improvement to touch the 1x mark
[ { "end_sentence_id": 2, "evidence_page_num": 4, "passage_id": 3, "start_sentence_id": 1 } ]
[ "3M Company and Subsidiaries\nConsolidated Balance Sheet\n(Unaudited)\n(Dollars in millions, except per share amount)\nJune 30, 2023\nDecember 31, 2022\nAssets\nCurrent assets\nCash and cash equivalents\n$\n4,258 \n$\n3,655 \nMarketable securities current\n56 \n238 \nAccounts receivable net of allowances of $160 an...
[ "[P1|S1] Table of Contents\nNOTE 8. [P1|S2] Income Taxes\nThe effective tax rate for the second quarter of 2023 was 24.2 percent on a pre-tax loss, compared to (38.3) percent on pre-tax income in the prior year. [P1|S3] The primary factor that\nimpacted the comparison of these rates was the second quarter 2022 char...
Which debt securities are registered to trade on a national securities exchange under 3M's name as of Q2 of 2023?
Following debt securities registered under 3M's name are listed to trade on the New York Stock Exchange: -1.500% Notes due 2026 (Trading Symbol: MMM26) -1.750% Notes due 2030 (Trading Symbol: MMM30) -1.500% Notes due 2031 (Trading Symbol: MMM31)
[ { "end_sentence_id": 6, "evidence_page_num": 0, "passage_id": 5, "start_sentence_id": 5 } ]
[ "Title of each class\nTrading Symbol(s)\nName of each exchange on which registered\nCommon Stock, Par Value $.01 Per Share\nMMM\nNew York Stock Exchange\nMMM\nChicago Stock Exchange, Inc.\n1.500% Notes due 2026\nMMM26\nNew York Stock Exchange\n1.750% Notes due 2030\nMMM30\nNew York Stock Exchange\n1.500% Notes due ...
[ "[P1|S1] Table of Contents\nRefer to Note 3 for information on acquisitions and divestitures. [P1|S2] The Company is actively considering additional acquisitions, investments and strategic alliances, and from\ntime to time may also divest certain businesses. [P1|S3] Purchases of marketable securities and investment...
Does 3M maintain a stable trend of dividend distribution?
Yes, not only they distribute the dividends on a routine basis, 3M has also been increasing the per share dividend for consecutive 65 years
[ { "end_sentence_id": 8, "evidence_page_num": 61, "passage_id": 5, "start_sentence_id": 8 } ]
[ "This marked the 65th consecutive\nyear of dividend increases for 3M." ]
[ "[P1|S1] deliver to the Employer, at the Employer’s request, such further documents, including copyright and patent assignments, as the Employer\nfinds appropriate to evidence the Activision Blizzard Group’s rights in such property. [P1|S2] Your agreement to assign to the Activision Blizzard\nGroup any of your righ...
What is the FY2019 fixed asset turnover ratio for Activision Blizzard? Fixed asset turnover ratio is defined as: FY2019 revenue / (average PP&E between FY2018 and FY2019). Round your answer to two decimal places. Base your judgments on the information provided primarily in the statement of income and the statement of f...
24.26
[ { "end_sentence_id": 7, "evidence_page_num": 68, "passage_id": 5, "start_sentence_id": 1 }, { "end_sentence_id": 5, "evidence_page_num": 69, "passage_id": 4, "start_sentence_id": 1 } ]
[ "Table of Contents\nACTIVISION BLIZZARD, INC. AND SUBSIDIARIES\nCONSOLIDATED BALANCE SHEETS\n(Amounts in millions, except share data)\n \nAt December 31, 2019\n \nAt December 31, 2018\nAssets\n \n \nCurrent assets:\n \n \nCash and cash equivalents\n$\n5,794\n $\n4,225\nAccounts receivable, net of allowances of $132...
["[P1|S1] Table of Contents\nACTIVISION BLIZZARD, INC. [P1|S2] AND SUBSIDIARIES\nCONSOLIDATED STATEM(...TRUNCATED)
"What is the FY2017 - FY2019 3 year average of capex as a % of revenue for Activision Blizzard? Answ(...TRUNCATED)
1.9%
[{"end_sentence_id":5,"evidence_page_num":69,"passage_id":5,"start_sentence_id":1},{"end_sentence_id(...TRUNCATED)
["Table of Contents\nACTIVISION BLIZZARD, INC. AND SUBSIDIARIES\nCONSOLIDATED STATEMENTS OF OPERATIO(...TRUNCATED)
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Feature Description

  1. Context: List[str]: of similar pages to the query with passage and sentences markers added. The correct page is mixed in between
  2. Question: str: The Question being asked
  3. Answer: str: The Gold reference answer
  4. Evidence_sentence_spans: The exact passage number and sentence start and end number of the gold context being used for the answer
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