Hexcel Corporation (HXL)

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David E. Berges , CEO/Chairman of the Board/Director
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Company Information

David E. Berges, CEO/Chairman of the Board/Director

281 Tresser Boulevard

Two Stamford Plaza

Stamford, CT 06901-3238

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Phone: (203) 969-0666

Fax: (203) 358-3993

www.hexcel.com



Overview

The Company develops, manufactures, and markets composites, including carbon fibers, reinforcements, honeycomb, matrix systems, adhesives and composite structures, for use in the commercial aerospace, space and defense and industrial applications.

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Employees

Number of Employees: 4,081
Revenue per Employee: $264,768

Top Executives

Ira J. Krakower, Senior VP/Secretary/General Counsel
Wayne C. Pensky, CFO/Senior VP
Mark I. Clair, Chief Accounting Officer/Controller/Vice President

William Hunt, President
Robert G. Hennemuth, Divisional Senior VP
David R. Tanonis, Divisional President/Divisional Vice President

Board of Directors

David L. Pugh, Director
Lynn Brubaker, Director

Ira J. Krakower, Senior VP/Secretary/General Counsel
David C. Hurley, Director

W. Kim Foster, Director

Financials

Quarterly
Annual

Income Statement 10/2008 07/2008 04/2008 01/2008
Sales 249.1 Mil. 271.6 Mil. 253 Mil. 234.1 Mil.
Gross Operating Profit 82.3 Mil. 87.9 Mil. 91.5 Mil. 83.5 Mil.
Operating Income before D & A (EBITDA) 47.8 Mil. 42.3 Mil. 47.8 Mil. 33.3 Mil.
Total Income Before Interest Expenses (EBIT) 48.9 Mil. 30.6 Mil. 37.8 Mil. 21.7 Mil.
Total Net Income 33 Mil. 26.7 Mil. 23.2 Mil. 11.8 Mil.
Basic EPS, Total 0.34 0.28 0.24 0.12
Diluted EPS, Total 0.34 0.27 0.24 0.12

BALANCE STATEMENT 10/2008 07/2008 04/2008 01/2008
Cash and Equivalents 48.7 Mil. 19.3 Mil. 26.4 Mil. 28.1 Mil.
Total Assets 499.2 Mil. 520.1 Mil. 493.7 Mil. 431.4 Mil.
Total Liabilities 203.9 Mil. 232.6 Mil. 240.6 Mil. 253.7 Mil.
Total Capitalization 903.2 Mil. 895.9 Mil. 839.6 Mil. 743.1 Mil.

Cash Flow 10/2008 07/2008 04/2008 01/2008
Net Cash From Continuing Operations 43.4 Mil. -5.5 Mil. -14.7 Mil. 103.9 Mil.
Net Cash From Investing Activities -103.5 Mil. -86.2 Mil. -43.9 Mil. -37.4 Mil.
Net Cash From Financing Activities 80.5 Mil. 81.2 Mil. 55.3 Mil. 75.5 Mil.
Net Change in Cash & Cash Equivalents 20.6 Mil. -8.8 Mil. -1.7 Mil. 2.4 Mil.

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Income Statement 2008 2007 2006 2005
Sales 846.6 Mil. 883.3 Mil. 857.9 Mil. 790.1 Mil.
Gross Operating Profit 324.5 Mil. 309.8 Mil. 303.5 Mil. 284.4 Mil.
Operating Income before D & A (EBITDA) 163.7 Mil. 166.2 Mil. 171.5 Mil. 150 Mil.
Total Income Before Interest Expenses (EBIT) 118.1 Mil. 126.2 Mil. 66.9 Mil. 87.7 Mil.
Total Net Income 61.3 Mil. 65.9 Mil. 141.3 Mil. 28.8 Mil.
Basic EPS, Total 0.65 0.71 1.84 0.09
Diluted EPS, Total 0.64 0.69 1.51 0.08

BALANCE STATEMENT 2008 2007 2006 2005
Cash and Equivalents 28.1 Mil. 25.7 Mil. 21 Mil. 57.2 Mil.
Total Assets 431.4 Mil. 425.8 Mil. 370.3 Mil. 373.3 Mil.
Total Liabilities 253.7 Mil. 219.3 Mil. 195.8 Mil. 216 Mil.
Total Capitalization 743.1 Mil. 711.4 Mil. 625.9 Mil. 406 Mil.

Cash Flow 2008 2007 2006 2005
Net Cash From Continuing Operations 103.9 Mil. 102.4 Mil. 72.5 Mil. 85.9 Mil.
Net Cash From Investing Activities -37.4 Mil. -98.5 Mil. -69.9 Mil. -28.6 Mil.
Net Cash From Financing Activities 75.5 Mil. 2.6 Mil. -40.7 Mil. -41.6 Mil.
Net Change in Cash & Cash Equivalents 2.4 Mil. 4.7 Mil. -36.2 Mil. 15.5 Mil.

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