BizJournals Portfolio

Hewitt Associates, Inc. (HEW)

OPEN
LAST
$
PREV CLOSE
CHANGE
VOLUME


Overview
News
People
Financials

Financials

Quarterly
Annual

INCOME STATEMENT02/200911/200808/200805/2008
Sales598.46 Mil.56.16 Mil.473.66 Mil.652.3 Mil.
Gross Operating Profit195.52 Mil.768.37 Mil.320.92 Mil.137.25 Mil.
Operating Income before D & A (EBITDA)154.64 Mil.101.63 Mil.125.26 Mil.78.67 Mil.
Total Income Before Interest Expenses (EBIT)117.94 Mil.59.28 Mil.91.03 Mil.73.97 Mil.
Total Net Income64.77 Mil.31.55 Mil.48.15 Mil.44.49 Mil.
Basic EPS, Total.69.33.50.45
Diluted EPS, Total.68.34.48.43

BALANCE STATEMENT02/200911/200808/200805/2008
Cash and Equivalents431.1 Mil.541.49 Mil.275.21 Mil.189.63 Mil.
Total Assets1.45 Bil.1.56 Bil.1.2 Bil.1.08 Bil.
Total Liabilities973.41 Mil.1.14 Bil.983.27 Mil.909.14 Mil.
Total Capitalization651.53 Mil.650.2 Mil.831.71 Mil.1.05 Bil.

CASH FLOW02/200911/200808/200805/2008
Net Cash From Continuing Operations64.44 Mil.327.9 Mil.161.12 Mil.37.35 Mil.
Net Cash From Investing Activities-32.43 Mil.-122.83 Mil.-5.61 Mil.22.66 Mil.
Net Cash From Financing Activities-126.3 Mil.-33.15 Mil.-261.52 Mil.-250.01 Mil.
Net Change in Cash & Cash Equivalents-110.4 Mil.162.75 Mil.-103.54 Mil.-189.12 Mil.

powered by Interactive Data

INCOME STATEMENT11/200811/200711/200612/2005
Sales1.94 Bil.1.79 Bil.560.73 Mil.2.33 Bil.
Gross Operating Profit1.28 Bil.1.21 Bil.2.3 Bil.572.73 Mil.
Operating Income before D & A (EBITDA)456.06 Mil.374.04 Mil.351.52 Mil.385.58 Mil.
Total Income Before Interest Expenses (EBIT)341.23 Mil.-104.7 Mil.-36.3 Mil.243.6 Mil.
Total Net Income188.14 Mil.-175.08 Mil.-115.94 Mil.134.73 Mil.
Basic EPS, Total1.90-1.62-1.081.21
Diluted EPS, Total1.85-1.62-1.081.19

BALANCE STATEMENT11/200811/200711/200612/2005
Cash and Equivalents541.49 Mil.378.74 Mil.138.93 Mil.163.93 Mil.
Total Assets1.56 Bil.1.48 Bil.1.24 Bil.1 Bil.
Total Liabilities1.14 Bil.944.55 Mil.815.71 Mil.679.54 Mil.
Total Capitalization650.2 Mil.1.27 Bil.1.51 Bil.1.53 Bil.

CASH FLOW11/200811/200711/200612/2005
Net Cash From Continuing Operations327.9 Mil.435.23 Mil.381.02 Mil.346.08 Mil.
Net Cash From Investing Activities-122.83 Mil.-32.5 Mil.-387.27 Mil.47.58 Mil.
Net Cash From Financing Activities-33.15 Mil.-174.58 Mil.-16.66 Mil.-358.52 Mil.
Net Change in Cash & Cash Equivalents162.75 Mil.239.82 Mil.-19 Mil.34.45 Mil.

powered by Interactive Data