NASDAQ OMX Group, Incorporated (NDAQ)
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| INCOME STATEMENT | 11/2008 | 08/2008 | 05/2008 | 02/2008 |
|---|---|---|---|---|
| Sales | 619.2 Mil. | 441.33 Mil. | 551.4 Mil. | -443.3 Mil. |
| Gross Operating Profit | 260.1 Mil. | 380.15 Mil. | 262.4 Mil. | 1.11 Bil. |
| Operating Income before D & A (EBITDA) | 121.7 Mil. | 182.72 Mil. | 134.4 Mil. | 1.01 Bil. |
| Total Income Before Interest Expenses (EBIT) | 182.1 Mil. | 171.9 Mil. | 205.3 Mil. | 1.04 Bil. |
| Total Net Income | 60.1 Mil. | 101.64 Mil. | 121.4 Mil. | 79 Mil. |
| Basic EPS, Total | .30 | .51 | .75 | .63 |
| Diluted EPS, Total | .28 | .48 | .69 | .52 |
| BALANCE STATEMENT | 11/2008 | 08/2008 | 05/2008 | 02/2008 |
|---|---|---|---|---|
| Cash and Equivalents | 737.9 Mil. | 740 Mil. | 736 Mil. | 1.33 Bil. |
| Total Assets | 2.32 Bil. | 2.16 Bil. | 1.94 Bil. | 1.68 Bil. |
| Total Liabilities | 1.76 Bil. | 1.6 Bil. | 1.41 Bil. | 411.2 Mil. |
| Total Capitalization | 4.75 Bil. | 6.26 Bil. | 6.19 Bil. | 2.33 Bil. |
| CASH FLOW | 11/2008 | 08/2008 | 05/2008 | 02/2008 |
|---|---|---|---|---|
| Net Cash From Continuing Operations | NA | 272.52 Mil. | NA | NA |
| Net Cash From Investing Activities | NA | -1.99 Bil. | NA | NA |
| Net Cash From Financing Activities | NA | 1.13 Bil. | NA | NA |
| Net Change in Cash & Cash Equivalents | NA | -585.32 Mil. | NA | NA |
| INCOME STATEMENT | 02/2008 | 02/2007 | 01/2006 | 04/2005 |
|---|---|---|---|---|
| Sales | -1.59 Bil. | 970.38 Mil. | 352.55 Mil. | 55.3 Mil. |
| Gross Operating Profit | 4.02 Bil. | 687.4 Mil. | 527.37 Mil. | 485.14 Mil. |
| Operating Income before D & A (EBITDA) | 3.61 Bil. | 285.01 Mil. | 223.79 Mil. | 130.65 Mil. |
| Total Income Before Interest Expenses (EBIT) | 4.12 Bil. | 303.34 Mil. | 126.4 Mil. | 14.04 Mil. |
| Total Net Income | 518.4 Mil. | 127.89 Mil. | 61.69 Mil. | 11.36 Mil. |
| Basic EPS, Total | 4.47 | 1.22 | .68 | -0.02 |
| Diluted EPS, Total | 3.46 | .95 | .57 | -0.02 |
| BALANCE STATEMENT | 02/2008 | 02/2007 | 01/2006 | 04/2005 |
|---|---|---|---|---|
| Cash and Equivalents | 1.33 Bil. | 322 Mil. | 165.24 Mil. | 58.19 Mil. |
| Total Assets | 1.68 Bil. | 2.31 Bil. | 596.96 Mil. | 406.2 Mil. |
| Total Liabilities | 411.2 Mil. | 460.54 Mil. | 325.33 Mil. | 208.32 Mil. |
| Total Capitalization | 2.33 Bil. | 2.95 Bil. | 1.44 Bil. | 421.56 Mil. |
| CASH FLOW | 02/2008 | 02/2007 | 01/2006 | 04/2005 |
|---|---|---|---|---|
| Net Cash From Continuing Operations | NA | 201.08 Mil. | 120.9 Mil. | 107.47 Mil. |
| Net Cash From Investing Activities | NA | -1.27 Bil. | -953.38 Mil. | -201.31 Mil. |
| Net Cash From Financing Activities | NA | 1.23 Bil. | 939.53 Mil. | -6.46 Mil. |
| Net Change in Cash & Cash Equivalents | NA | 156.76 Mil. | 107.05 Mil. | -90.74 Mil. |
