Here is their balance sheet from their annual report last year (numbers in thousands). Based on it their assets are around 54 billion, their debt totals almost 28 billion and they owe around 26 billion to stockholders, leaving around 6 billion in tangible assets.
<table border="0" cellpadding="2" cellspacing="0" height="1332" width="505"> <tbody><tr><td class="yfnc_modtitle1" colspan="2"><small>PERIOD ENDING</small></td><td class="yfnc_modtitle1" align="right">30-Sep-04</td><td class="yfnc_modtitle1" align="right">30-Sep-03</td><td class="yfnc_modtitle1" align="right">30-Sep-02</td></tr><tr><td class="yfnc_d" colspan="5">Assets</td></tr><tr><td colspan="5">Current Assets</td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Cash And Cash Equivalents</td><td align="right">2,042,000 </td><td align="right">1,583,000 </td><td align="right">1,239,000 </td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Short Term Investments</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Net Receivables</td><td align="right">5,330,000 </td><td align="right">4,912,000 </td><td align="right">4,673,000 </td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Inventory</td><td align="right">1,259,000 </td><td align="right">1,271,000 </td><td align="right">697,000 </td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Other Current Assets</td><td align="right">738,000 </td><td align="right">548,000 </td><td align="right">1,240,000 </td></tr><tr><td colspan="5" bgcolor="#333333" height="1"><spacer type="block" height="1" width="5"></td></tr><tr><td colspan="2">Total Current Assets</td><td align="right">9,369,000 </td><td align="right">8,314,000 </td><td align="right">7,849,000 </td></tr><tr><td colspan="2">Long Term Investments</td><td align="right">1,292,000 </td><td align="right">1,849,000 </td><td align="right">1,810,000 </td></tr><tr><td colspan="2">Property Plant and Equipment</td><td align="right">22,420,000 </td><td align="right">18,883,000 </td><td align="right">12,780,000 </td></tr><tr><td colspan="2">Goodwill</td><td align="right">16,966,000 </td><td align="right">16,966,000 </td><td align="right">17,083,000 </td></tr><tr><td colspan="2">Intangible Assets</td><td align="right">2,815,000 </td><td align="right">2,786,000 </td><td align="right">8,735,000 </td></tr><tr><td colspan="2">Accumulated Amortization</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td colspan="2">Other Assets</td><td align="right">1,040,000 </td><td align="right">1,190,000 </td><td align="right">1,788,000 </td></tr><tr><td colspan="2">Deferred Long Term Asset Charges</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td colspan="5" bgcolor="#333333" height="1"><spacer type="block" height="1" width="5"></td></tr><tr><td colspan="2">Total Assets</td><td align="right">53,902,000 </td><td align="right">49,988,000 </td><td align="right">50,045,000 </td></tr><tr><td colspan="5" height="10"><spacer type="block" height="10" width="5"></td></tr><tr><td class="yfnc_d" colspan="5">Liabilities</td></tr><tr><td colspan="5">Current Liabilities</td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Accounts Payable</td><td align="right">5,623,000 </td><td align="right">5,044,000 </td><td align="right">5,173,000 </td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Short/Current Long Term Debt</td><td align="right">4,093,000 </td><td align="right">2,457,000 </td><td align="right">1,663,000 </td></tr><tr><td class="yfnc_tabledata1" width="30"><spacer type="block" height="1" width="30"></td><td>Other Current Liabilities</td><td align="right">1,343,000 </td><td align="right">1,168,000 </td><td align="right">983,000 </td></tr><tr><td colspan="5" bgcolor="#333333" height="1"><spacer type="block" height="1" width="5"></td></tr><tr><td colspan="2">Total Current Liabilities</td><td align="right">11,059,000 </td><td align="right">8,669,000 </td><td align="right">7,819,000 </td></tr><tr><td colspan="2">Long Term Debt</td><td align="right">9,395,000 </td><td align="right">10,643,000 </td><td align="right">12,825,000 </td></tr><tr><td colspan="2">Other Liabilities</td><td align="right">3,619,000 </td><td align="right">3,745,000 </td><td align="right">2,311,000 </td></tr><tr><td colspan="2">Deferred Long Term Liability Charges</td><td align="right">2,950,000 </td><td align="right">2,712,000 </td><td align="right">3,211,000 </td></tr><tr><td colspan="2">Minority Interest</td><td align="right">798,000 </td><td align="right">428,000 </td><td align="right">434,000 </td></tr><tr><td colspan="2">Negative Goodwill</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td colspan="5" bgcolor="#333333" height="1"><spacer type="block" height="1" width="5"></td></tr><tr><td colspan="2">Total Liabilities</td><td align="right">27,821,000 </td><td align="right">26,197,000 </td><td align="right">26,600,000 </td></tr><tr><td colspan="5" height="10"><spacer type="block" height="10" width="5"></td></tr><tr><td class="yfnc_d" colspan="5"> Stockholders' Equity </td></tr><tr><td colspan="2">Misc Stocks Options Warrants</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td colspan="2">Redeemable Preferred Stock</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td colspan="2">Preferred Stock</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td colspan="2">Common Stock</td><td align="right">12,447,000 </td><td align="right">12,154,000 </td><td align="right">12,107,000 </td></tr><tr><td colspan="2">Retained Earnings</td><td align="right">15,732,000 </td><td align="right">13,817,000 </td><td align="right">12,979,000 </td></tr><tr><td colspan="2">Treasury Stock</td><td align="right">(1,862,000)</td><td align="right">(1,527,000)</td><td align="right">(1,395,000)</td></tr><tr><td colspan="2">Capital Surplus</td><td align="right"> - </td><td align="right"> - </td><td align="right"> - </td></tr><tr><td colspan="2">Other Stockholder Equity</td><td align="right">(236,000)</td><td align="right">(653,000)</td><td align="right">(246,000)</td></tr><tr><td colspan="5" bgcolor="#333333" height="1"><spacer type="block" height="1" width="5"></td></tr><tr><td colspan="2">Total Stockholder Equity</td><td align="right">26,081,000 </td><td align="right">23,791,000 </td><td align="right">23,445,000 </td></tr><tr><td colspan="5" bgcolor="#333333" height="2"><spacer type="block" height="1" width="5"></td></tr><tr><td colspan="2">Net Tangible Assets</td><td align="right">$6,300,000 </td><td align="right">$4,039,000 </td><td align="right">($2,373,000)</td></tr></tbody> </table>