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Customize Items
$2.27B
Revenue
$-29.40M
Net Income
35.09%
Gross Margin
11.61%
Op. Margin
$-373.50M
Free Cash Flow
Financial Statements Annual (10-K)
Showing 3 of 3 annual reports available (2012 - 2014)
Breakdown TTM
(Jan 31, 2015)
FY 2014
(Apr 30, 2014)
FY 2013
(Apr 30, 2013)
FY 2012
(Apr 30, 2012)
+ Total Revenue $2.27B $2.19B $3.82B $3.68B
Revenue Growth % 3.5% -42.7% 3.9% nan%
Cost of Revenue $1.47B $1.41B $2.72B $2.62B
+ Gross Profit $795.30M $781.30M $1.10B $1.05B
Gross Margin % 35.1% 35.7% 28.8% 28.6%
Selling General & Admin $532.10M $526.50M $716.20M $682.40M
+ Operating Income $263.20M $254.80M $384.50M $370.20M
Operating Margin % 11.6% 11.6% 10.1% 10.1%
Interest Expense $148.10M $219.20M $257.90M $251.10M
Other Income/Expense $-17.60M $12.10M $12.50M $-55.50M
Income Before Tax $45.10M $-4.70M $-14.30M $-90.40M
Income Tax Expense $19.00M $3.10M $47.20M $32.30M
+ Net Income $-29.40M $-130.20M $92.20M $32.60M
Net Margin % -1.3% -5.9% 2.4% 0.9%
Breakdown FY 2014
(Apr 30, 2014)
FY 2013
(Apr 30, 2013)
FY 2012
(Apr 30, 2012)
Cash & Cash Equivalents $112.80M $581.40M -
Accounts Receivable $127.20M $96.90M -
Inventory $227.50M $168.80M -
Other Current Assets $164.30M $70.60M -
Total Current Assets $631.80M $1.64B -
Property Plant & Equipment $375.40M $357.20M -
Goodwill $2.11B $1.98B -
Intangible Assets $2.16B $1.92B -
Other Non-current Assets $87.80M $107.10M -
Total Assets $5.36B $7.36B -
Total Current Liabilities $385.10M $619.50M -
Long-term Debt $2.60B $3.90B -
Other Non-current Liabilities $95.30M $150.50M -
Total Liabilities $3.88B $5.77B -
Retained Earnings $-109.90M $20.30M -
Total Stockholders Equity $1.49B $1.59B $1.50B
Total Liabilities & Equity $5.36B $5.77B -
Breakdown TTM
(Jan 31, 2015)
FY 2014
(Apr 30, 2014)
FY 2013
(Apr 30, 2013)
FY 2012
(Apr 30, 2012)
Net Income $11.10M $-130.20M $92.20M $32.60M
Depreciation & Amortization $172.60M $127.50M $154.50M $149.80M
Stock-based Compensation $17.30M $14.50M $7.30M $9.70M
Change in Receivables - $26.60M $1.00M $-6.70M
Change in Inventory - $219.10M $-24.00M $-14.30M
Operating Cash Flow $-277.70M $-409.10M $306.30M $340.70M
Capital Expenditure $95.80M $79.60M $108.00M $81.80M
Acquisitions - $334.60M - -
Investing Cash Flow $1.64B $1.31B $-116.40M $-122.80M
Debt Repayment $1.31B $1.36B $97.80M $20.30M
Financing Cash Flow $-1.33B $-1.38B $-600.00K $-23.70M
Net Change in Cash $32.00M $-481.40M $191.40M $197.60M
SEC Filing Format - Data shown as it appears in the Q3 2015 (10-Q) filing Period ended: Jan 31, 2015
Condensed Consolidated Statements of Operations
Description Jan 31, 2015 Jan 31, 2015
Current Prior Year Current YTD Prior Year YTD
Total Revenue $589.90M $575.70M $1.69B $1.61B
Cost of Revenue $374.40M $368.50M $1.09B $1.03B
Gross Profit $215.50M $207.20M $596.40M $582.40M
Selling General & Admin $111.00M $124.80M $367.60M $362.00M
Operating Income $104.50M $82.40M $228.80M $220.40M
Interest Expense $35.20M $58.40M $105.70M $176.80M
Other Income/Expense $-12.70M $200.00K $-19.90M $9.80M
Income Before Tax $56.60M $24.20M $103.20M $53.40M
Income Tax Expense $23.20M $8.60M $40.90M $25.00M
Net Income $33.00M $34.20M $62.20M $-38.60M
Condensed Consolidated Balance Sheets
Description Jan 31, 2015 Apr 30, 2014
Cash & Cash Equivalents $155.80M $112.80M
Accounts Receivable $146.40M $127.20M
Inventory $213.60M $227.50M
Other Current Assets $118.70M $164.30M
Total Current Assets $634.50M $631.80M
Property Plant & Equipment $363.60M $375.40M
Goodwill $2.11B $2.11B
Intangible Assets $2.12B $2.16B
Other Non-current Assets $89.60M $87.80M
Total Assets $5.32B $5.36B
Total Current Liabilities $309.10M $385.10M
Long-term Debt $2.59B $2.60B
Other Non-current Liabilities $75.10M $95.30M
Total Liabilities $3.77B $3.88B
Common Stock - -
Retained Earnings $-47.70M $-109.90M
Total Stockholders Equity $1.56B $1.49B
Total Liabilities & Equity $5.32B $5.36B
Condensed Consolidated Statements of Cash Flows
Description Jan 31, 2015 Jan 31, 2015
Current Prior Year Current YTD Prior Year YTD
Net Income $33.00M $34.20M $62.20M $-38.60M
Depreciation & Amortization - - $74.50M $102.30M
Stock-based Compensation - - $7.30M $11.80M
Deferred Income Tax - - $-3.90M $-62.30M
Change in Working Capital - - $69.80M $263.40M
Operating Cash Flow - - $93.40M $-76.70M
Capital Expenditure - - $38.60M $64.50M
Acquisitions - - - $334.60M
Investing Cash Flow - - $-37.30M $-413.50M
Debt Repayment - - $13.00M $74.50M
Financing Cash Flow - - $-13.20M $-74.80M
Net Change in Cash - - $43.00M $-565.10M

All values are in USD (United States Dollars). Data is sourced from SEC EDGAR 10-K filings.

Annual data represents full fiscal year results. FY = Fiscal Year ending.

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