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Annual Rates (per share) 10 yrs* 5 yrs* 12 months*
Revenue Growth (%) 6.4  32.4  -6.6 
EBITDA Growth (%)
Free Cash Flow Growth (%) 48.1 
Book Value Growth (%)

*12-month growth rate is calculated with the per share revenue (EBITDA, FCF, earnings) of the last 12 months over the per share revenue (EBITDA, FCF, earnings) over the previous 12 months. 5-year and 10-year growth rates are calculated with least-square regression based on the 5-year and 10-year numbers.
   Trendline:
Export: Download financial data to Excel Download financial data to CSV  Print This Table Print helpSee this page for the explanation of the data and charts * All numbers are in millions except for per share data
Per Share DataAnnualsQuarterly
Fiscal Period
Dec03 Dec04 Dec05 Dec06 Dec07 Dec08 Dec09 Dec10 Dec11 Dec12 TTM Mar12 Jun12 Sep12 Dec12 Mar13
   
Revenue per Share ($)
24.40
26.68
8.22
7.77
8.10
15.84
12.62
11.98
37.28
37.47
36.89
9.58
9.37
9.31
9.20
9.01
EBITDA per Share
13.11
13.56
3.79
3.34
1.96
3.90
2.09
2.01
-2.68
7.49
7.13
1.50
2.14
2.13
1.71
1.15
Free Cashflow per Share
2.38
0.68
1.05
1.39
-0.67
-2.98
1.68
2.14
0.25
1.84
1.54
0.80
0.39
0.11
0.53
0.51
Earnings per Share ($)
-0.46
-2.50
0.91
0.89
0.17
-0.85
-2.70
-3.15
-16.06
-5.90
-5.93
-1.80
-1.43
-1.44
-1.24
-1.82
Book Value per Share
-15.60
-18.27
7.72
6.47
4.63
0.30
-2.45
-6.57
-4.11
-12.23
-13.79
-5.78
-7.10
-8.49
-12.21
-13.79
Month End Stock Price
--
--
--
--
--
--
--
--
4.33
7.95
7.47
3.76
6.15
7.56
7.95
7.47
RatiosAnnualsQuarterly
Fiscal Period
Dec03 Dec04 Dec05 Dec06 Dec07 Dec08 Dec09 Dec10 Dec11 Dec12 Latest Q. Mar12 Jun12 Sep12 Dec12 Mar13
   
Return on Equity %
--
--
11.70
13.80
3.70
-288
--
--
--
--
--
--
--
--
--
--
Return on Assets %
0.20
-2.90
3.20
3.50
0.70
-2.10
-7.60
-9.50
-20.90
-8.80
-11.60
-9.60
-8.00
-8.40
-7.60
-11.60
Return on Capital - Joel Greenblatt %
28.80
30.60
25.10
22.20
6.80
3.00
-4.20
-5.70
-24.10
-12.50
-18.00
-13.60
-9.60
-9.20
-15.20
-18.00
Debt to Equity
-5.58
-4.69
2.46
2.71
3.86
104
--
-0.01
-9.46
-3.02
-2.56
-6.69
-5.41
-4.41
-3.02
-2.56
   
Gross Margin %
52.00
49.00
46.30
42.40
22.90
54.70
54.30
50.90
54.50
54.80
50.50
51.10
57.30
56.40
54.40
50.50
Operating Margin %
31.20
29.10
25.50
22.70
5.70
4.60
-7.90
-10.30
-42.20
-18.70
-26.00
-21.80
-15.70
-14.20
-23.10
-26.00
Net Margin %
0.70
-9.40
11.00
11.50
2.10
-5.40
-21.40
-26.30
-43.10
-15.70
-20.20
-18.80
-15.20
-15.40
-13.40
-20.20
   
Days Sales Outstanding
45.50
45.10
48.60
38.60
37.90
49.70
49.90
42.70
39.50
32.60
34.20
37.40
38.40
38.40
33.00
34.20
Days Inventory
13.60
11.00
11.10
12.00
8.90
24.50
13.40
15.40
0.80
--
--
--
--
--
--
--
Inventory Turnover
26.90
33.30
32.90
30.30
40.90
14.90
27.30
23.70
469
--
--
--
--
--
--
--
   
Debt to Revenue
3.57
3.21
2.31
2.25
2.21
1.95
--
0.01
1.04
0.99
3.92
4.03
4.10
4.02
4.00
3.92
COGS to Revenue
0.48
0.51
0.54
0.58
0.77
0.45
0.46
0.49
0.46
0.45
0.50
0.49
0.43
0.44
0.46
0.50
Inventory to Revenue
0.02
0.02
0.02
0.02
0.02
0.03
0.02
0.02
0.00
--
--
--
--
--
--
--
Interest Exp. to Revenue %
-38.21
-40.37
-16.71
-13.46
-13.65
-12.71
-18.19
-13.16
-6.63
-6.94
-7.65
-6.85
-6.98
-7.02
-6.93
-7.65
   
Asset Turnover
0.28
0.31
0.29
0.31
0.32
0.38
0.36
0.36
0.48
0.56
0.14
0.13
0.13
0.14
0.14
0.14
Buyback Ratio
--
--
-1,494
-0.10
--
--
--
--
--
--
--
--
--
--
--
--
Income StatementAnnuals (USD $) View: Quarterly
Fiscal Period
Dec03 Dec04 Dec05 Dec06 Dec07 Dec08 Dec09 Dec10 Dec11 Dec12 TTM Mar12 Jun12 Sep12 Dec12 Mar13
   
Revenue
231
253
263
270
283
1,275
1,127
1,071
963
974
961
248
243
242
240
235
Cost of Goods Sold
111
129
141
155
219
577
515
526
439
440
435
121
104
106
109
117
Gross Profit
120
124
122
115
64.90
698
612
545
524
533
525
127
139
137
130
119
   
Selling, General, &Admin. Expense
0.02
0.05
2.35
--
--
384
426
365
332
342
342
89.43
86.71
80.92
85.36
88.89
Earnings Before DDA
124
128
121
116
68.59
313
186
180
-69.31
195
186
38.96
55.60
55.46
44.60
30.14
   
Depreciation, Depletion and Amortization
52.22
54.86
54.23
54.80
52.36
255
275
290
337
377
375
93.21
93.78
89.78
99.85
91.43
   
Operating Income
72.14
73.55
67.03
61.37
16.23
58.41
-89.15
-110
-406
-182
-189
-54.24
-38.18
-34.32
-55.24
-61.30
Interest Income/Expense
-88.43
-102
-43.92
-36.35
-38.70
-162
-205
-141
-63.81
-67.61
-68.58
-17.03
-16.98
-16.99
-16.61
-18.00
Net Income
1.67
-23.68
28.93
31.09
6.01
-68.52
-241
-282
-415
-153
-154
-46.71
-37.07
-37.33
-32.18
-47.49
   
Preferred dividends
8.89
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Earnings per Share ($)
-0.46
-2.50
0.91
0.89
0.17
-0.85
-2.70
-3.15
-16.06
-5.90
-5.93
-1.80
-1.43
-1.44
-1.24
-1.82
Total Shares Outstanding
9.48
9.47
31.96
34.75
34.98
80.44
89.27
89.42
25.84
25.99
26.15
25.93
25.98
25.99
26.04
26.15
Balance SheetAnnuals (USD $) View: Quarterly
Fiscal Period
Dec03 Dec04 Dec05 Dec06 Dec07 Dec08 Dec09 Dec10 Dec11 Dec12 Latest Q. Mar12 Jun12 Sep12 Dec12 Mar13
   
Cash and cash equivalents
7.49
3.60
5.08
3.81
2.94
70.33
109
105
17.35
23.20
17.48
35.80
43.77
22.08
23.20
17.48
Accounts Receivable
28.85
31.20
34.99
28.53
29.45
174
154
125
104
87.00
88.59
102
103
102
87.00
88.59
Inventory
4.14
3.87
4.29
5.13
5.35
38.69
18.88
22.19
0.94
--
--
--
--
--
--
--
Other Current Assets
1.62
2.04
34.20
41.70
8.76
68.31
102
58.75
63.08
60.09
41.94
54.44
52.98
47.76
60.09
41.94
Total Current Assets
42.10
40.71
78.55
79.17
46.50
351
385
312
186
170
148
192
199
172
170
148
   
Property, Plant and Equipment
267
252
243
246
269
2,014
1,950
1,860
1,663
1,438
1,381
1,599
1,543
1,494
1,438
1,381
Intangible Assets
469
469
485
512
511
854
807
784
128
117
114
125
123
120
117
114
Other Long Term Assets
65.42
57.66
102
47.42
70.10
116
30.10
18.11
12.77
6.77
12.84
12.55
12.41
12.61
6.77
12.84
Total Assets
843
819
908
885
896
3,334
3,172
2,974
1,990
1,732
1,657
1,929
1,877
1,798
1,732
1,657
   
Accounts Payable
46.49
46.64
33.13
30.91
54.47
238
106
130
143
131
135
143
137
130
131
135
Current Portion of Long-Term Debt
22.39
0.91
1.02
1.03
1.01
47.23
--
1.32
11.25
11.22
7.64
11.24
11.22
11.22
11.22
7.64
Other Current Liabilities
4.68
2.36
16.28
14.39
20.99
83.28
--
--
--
0.41
--
--
--
--
0.41
--
Total Current Liabilities
73.56
49.91
50.43
46.33
76.46
368
106
131
154
143
142
154
148
141
143
142
   
Long-Term Debt
804
810
607
607
624
2,433
--
3.94
993
948
916
990
987
962
948
916
Other Long-Term Liabilities
114
132
4.12
6.90
33.89
510
3,285
3,426
949
959
959
935
927
916
959
959
Total Liabilities
991
992
661
661
735
3,311
3,391
3,561
2,096
2,050
2,017
2,079
2,062
2,019
2,050
2,017
   
Common Stock
0.09
0.09
0.35
0.35
0.35
0.89
0.90
0.89
0.26
0.26
0.26
0.26
0.26
0.26
0.26
0.26
Retained Earnings
-348
-372
-343
-312
-306
-578
-820
-1,101
-415
-568
-616
-462
-499
-536
-568
-616
Additional Paid-In Capital
198
199
590
531
478
736
725
726
502
506
508
503
504
505
506
508
Total Equity
-148
-173
247
225
162
23.79
-218
-587
-106
-318
-361
-150
-184
-221
-318
-361
Cashflow StatementAnnuals (USD $) View: Quarterly
Fiscal Period
Dec03 Dec04 Dec05 Dec06 Dec07 Dec08 Dec09 Dec10 Dec11 Dec12 TTM Mar12 Jun12 Sep12 Dec12 Mar13
   
Net Income
1.67
-23.68
28.93
31.09
6.01
-68.53
-241
-282
-415
-153
-154
-46.71
-37.07
-37.33
-32.18
-47.49
Depreciation, Depletion and Amortization
52.22
54.86
54.23
54.80
52.36
255
275
290
337
377
375
93.21
93.78
89.78
99.85
91.43
Cash Flow from Others
2.30
11.76
-21.48
-5.13
-22.55
-129
116
183
248
-30.55
-31.71
0.58
-14.49
-11.93
-4.71
-0.58
Cash Flow from Operations
56.20
42.94
61.68
80.75
35.82
57.51
150
192
170
193
189
47.08
42.22
40.52
62.96
43.37
   
Investment for Property, Plant & Equipement
-33.60
-36.49
-28.10
-32.32
-59.15
-297
--
--
-164
-145
-149
-26.26
-32.07
-37.67
-49.07
-29.91
Cash Flow from Acquisitions
-33.11
-0.23
-26.26
-49.84
--
11.40
--
--
--
--
30.32
--
--
--
--
30.32
Cash Flow from Investing
-54.01
-20.99
-42.81
-27.36
3.82
-283
-177
-197
-163
-144
-118
-25.92
-31.84
-37.61
-48.95
0.83
   
Net Issuance of Stock
-9.65
-1.00
303
0.02
--
--
--
--
--
--
--
--
--
--
--
--
Net Issuance of Debt
23.27
-15.21
-206
0.55
16.96
1,240
23.98
1.85
-1.12
-44.25
-78.15
-2.83
-2.81
-25.30
-13.31
-36.72
Cash Flow for Dividends
-0.00
-0.01
-35.30
-55.24
-55.71
-1,220
-23.00
--
--
--
--
--
--
--
--
--
Other Financing
-15.59
-7.75
-79.20
-0.00
-1.76
276
65.11
-0.06
0.96
1.64
-11.67
0.11
0.40
0.70
0.43
-13.20
Cash Flow from Financing
-1.98
-23.97
-17.39
-54.67
-40.51
296
66.10
1.78
-0.16
-42.62
-89.82
-2.72
-2.41
-24.61
-12.89
-49.92
   
Net Change in Cash
0.21
-2.01
1.49
-1.28
-0.86
70.33
39.03
-3.86
7.09
5.85
-18.32
18.45
7.98
-21.69
1.12
-5.73
   
Free Cash Flow
22.60
6.45
33.58
48.43
-23.33
-239
150
192
6.45
47.71
40.35
20.82
10.15
2.85
13.89
13.46
Valuation Ratios (Daily)AnnualsQuarterly
Fiscal Period
Dec03 Dec04 Dec05 Dec06 Dec07 Dec08 Dec09 Dec10 Dec11 Dec12 Latest Q. Mar12 Jun12 Sep12 Dec12 Mar13
   
Price-to-Free-Cash-Flow ratio Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only
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Valuation and QualityAnnualsQuarterly
Fiscal Period
Dec03 Dec04 Dec05 Dec06 Dec07 Dec08 Dec09 Dec10 Dec11 Dec12 Latest Q. Mar12 Jun12 Sep12 Dec12 Mar13
   
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