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VeriSign, Incorporated (VRSN)

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Financials

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Annual

INCOME STATEMENT02/200911/200808/200805/2008
Sales44.9 Mil.29.07 Mil.45.77 Mil.89.16 Mil.
Gross Operating Profit202.11 Mil.216.98 Mil.257.47 Mil.265.12 Mil.
Operating Income before D & A (EBITDA)111.71 Mil.103.45 Mil.114.8 Mil.95.87 Mil.
Total Income Before Interest Expenses (EBIT)169.58 Mil.52.61 Mil.-60.92 Mil.28.7 Mil.
Total Net Income38.88 Mil.-156.31 Mil.-67.48 Mil.-18.59 Mil.
Basic EPS, Total.20-1.03-0.35-0.09
Diluted EPS, Total.20-1.02-0.35-0.09

BALANCE STATEMENT02/200911/200808/200805/2008
Cash and Equivalents789.07 Mil.403.53 Mil.621.02 Mil.483.03 Mil.
Total Assets1.73 Bil.1.51 Bil.1.37 Bil.929.42 Mil.
Total Liabilities971.13 Mil.969.15 Mil.943.37 Mil.1.07 Bil.
Total Capitalization383.79 Mil.1.43 Bil.1.71 Bil.1.7 Bil.

CASH FLOW02/200911/200808/200805/2008
Net Cash From Continuing Operations477.65 Mil.359.07 Mil.243.78 Mil.74.3 Mil.
Net Cash From Investing Activities88.54 Mil.-186.62 Mil.53.06 Mil.-15.68 Mil.
Net Cash From Financing Activities-1.17 Bil.-1.15 Bil.-1.06 Bil.-960.59 Mil.
Net Change in Cash & Cash Equivalents1.38 Bil.-973.2 Mil.-755.71 Mil.-893.7 Mil.

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INCOME STATEMENT02/200902/200807/200701/2006
Sales127.22 Mil.712.58 Mil.471.98 Mil.416.6 Mil.
Gross Operating Profit834.52 Mil.783.71 Mil.1.1 Bil.1.19 Bil.
Operating Income before D & A (EBITDA)369.53 Mil.85.76 Mil.339.58 Mil.422.41 Mil.
Total Income Before Interest Expenses (EBIT)269.4 Mil.-69.48 Mil.147.4 Mil.247.94 Mil.
Total Net Income-239.97 Mil.-119.69 Mil.379.02 Mil.406.46 Mil.
Basic EPS, Total-0.45-0.51.551.58
Diluted EPS, Total-0.44-0.51.531.54

BALANCE STATEMENT02/200902/200807/200701/2006
Cash and Equivalents789.07 Mil.1.38 Bil.501.18 Mil.476.83 Mil.
Total Assets1.73 Bil.1.75 Bil.1.33 Bil.1.23 Bil.
Total Liabilities971.13 Mil.934.38 Mil.1.36 Bil.938.13 Mil.
Total Capitalization383.79 Mil.2.81 Bil.2.38 Bil.2.17 Bil.

CASH FLOW02/200902/200807/200701/2006
Net Cash From Continuing Operations477.65 Mil.NA474.78 Mil.510.79 Mil.
Net Cash From Investing Activities88.54 Mil.NA-562.4 Mil.113.93 Mil.
Net Cash From Financing Activities-1.17 Bil.NA110.74 Mil.-469.51 Mil.
Net Change in Cash & Cash Equivalents1.38 Bil.NA23.12 Mil.146.19 Mil.

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