Net sales increased from $73.42 million in 2009 to $81.34 million in 2010. While costs of goods sold and expenses increased, operating income improved from a loss of $0.60 million in 2009 to income of $0.008 million in 2010. Ultimately, the company turned a net loss of $2.93 million in 2009 to a net income of $0.65 million in 2010.
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Book 1
Net sales increased from $73.42 million in 2009 to $81.34 million in 2010. While costs of goods sold and expenses increased, operating income improved from a loss of $0.60 million in 2009 to income of $0.008 million in 2010. Ultimately, the company turned a net loss of $2.93 million in 2009 to a net income of $0.65 million in 2010.
Net Income / Starting Line 1.2797 -2.5466 Depreciation, Depletion & 3.0487 2.7980 Amortization Depreciation & Depletion 3.0287 2.7780 Amortization of Intangible Assets 0.0200 0.0200 Deferred Income Taxes & Invst Tax 0.0000 0.0000 Credit Deferred Income Taxes #N/A #N/A Investment Tax Credit 0.0000 0.0000 Other Cash Flow 0.5824 1.8902 Funds From Operations 4.9108 2.1416 Extraordinary Items 0.0000 0.0000 Funds From/For Other Operating 3.1804 -1.1430 Activities Dec(Inc) In Receivables -0.4085 0.1365 Dec/(Inc) In Inventories -0.1314 0.0763 Inc(Dec) In Accounts Payable 1.6846 -0.1320 Inc(Dec) In IncomeTaxes Payable #N/A #N/A Inc(Dec) In Other Accruals #N/A #N/A Dec(Inc) In Other Assets/Liabilities 2.0356 -1.2238
Long Term Borrowings 4.8427 2.8750
Net Proceeds From Sale/Issue of Com 0.0000 0.0000 & Pref Proceeds From Stock Options 0.0000 0.0000 Other Proceeds From Sale/Issuance 0.0000 0.0000 of Stock Disposal of Fixed Assets 0.0053 0.0000 Decrease In Investments 0.0000 0.0000 Inc(Dec) In Short Term Borrowings #N/A #N/A
Other Sources - Financing 0.0000 0.0000
Other Sources - Investing 0.0000 0.0000 Other Sources #N/A #N/A Cash Dividends Paid - Total 0.0000 0.0000 Common Dividends (Cash) 0.0000 0.0000 Preferred Dividends (Cash) 0.0000 0.0000 Increase In Investments 0.6347 0.8552 Reduction In Long Term Debt 2.0343 2.0248 Captll Expenditures Additions to 4.5820 2.9122 Fixed Assets Net Assets From Acquisitions 0.0000 0.0000 Com/Pfd 0.0000 0.0000 Purchased,Retired,Convrted,Redeeme d
Additions To Other Assets 0.0000 0.0000
Other Uses - Investing 0.0000 0.0000 Other Uses - Financing 0.0000 0.0000 Other Uses #N/A #N/A Effect of Exchange Rate On Cash 0.0471 -0.1039 Changes In Cash And/Or Liquid Items #N/A #N/A
Inc(Dec) In Cash & Short Term 5.7353 -2.0225
Investments
FINANCIAL RATIOS ANALYSIS
PROFITABILITY 03/31/10 03/31/09
Return On Total Equity 12.2933 -41.6144
Reinvestment Rate 12.2933 -41.6144 Return On Assets 2.6083 -9.3459
Return On Invested Capital 6.7343 -22.7262
Cash Earnings Return On Equity 92.9389 30.4217 Cash Flow To Sales 6.0372 2.9166 Cost of Goods Sold To Sales 30.8403 30.0585 Gross Profit Margin 65.4118 66.1310 Operating Profit Margin 0.0100 -0.8175 Pretax Margin 1.7405 -0.0900 Net Margin 0.7986 -3.9897 03/31/08 03/31/07 03/31/06 TREND 03/31/10 03/31/09 03/31/08 03/31/07 03/31/06