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World Wrestling Entertainment, Incorporated (WWE)

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Financials

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INCOME STATEMENT11/200808/200805/200802/2008
Sales66.28 Mil.75.83 Mil.90.59 Mil.47.77 Mil.
Gross Operating Profit42.5 Mil.53.83 Mil.72.04 Mil.84.87 Mil.
Operating Income before D & A (EBITDA)11.24 Mil.16.24 Mil.39.02 Mil.56.02 Mil.
Total Income Before Interest Expenses (EBIT)7.84 Mil.11.84 Mil.28.19 Mil.28.08 Mil.
Total Net Income5.27 Mil.7.03 Mil.19.53 Mil.21.5 Mil.
Basic EPS, Total.07.10.27.30
Diluted EPS, Total.07.10.27.30

BALANCE STATEMENT11/200808/200805/200802/2008
Cash and Equivalents119.09 Mil.138.15 Mil.180.36 Mil.135.81 Mil.
Total Assets284.16 Mil.296.31 Mil.331.4 Mil.347.72 Mil.
Total Liabilities7.2 Mil.76.57 Mil.88.65 Mil.71.57 Mil.
Total Capitalization372.03 Mil.386.59 Mil.394.59 Mil.388.26 Mil.

CASH FLOW11/200808/200805/200802/2008
Net Cash From Continuing Operations17.7 Mil.3.08 Mil.15.04 Mil.98.16 Mil.
Net Cash From Investing Activities19.1 Mil.34.09 Mil.45.43 Mil.13.01 Mil.
Net Cash From Financing Activities-53.5 Mil.-34.83 Mil.-15.92 Mil.-61.63 Mil.
Net Change in Cash & Cash Equivalents-16.71 Mil.2.34 Mil.44.56 Mil.49.54 Mil.

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INCOME STATEMENT02/200803/200706/200607/2005
Sales270.2 Mil.157.42 Mil.228.87 Mil.213.71 Mil.
Gross Operating Profit215.46 Mil.105.51 Mil.171.18 Mil.152.72 Mil.
Operating Income before D & A (EBITDA)106.32 Mil.44.47 Mil.79.31 Mil.61.74 Mil.
Total Income Before Interest Expenses (EBIT)77.03 Mil.46.57 Mil.78.48 Mil.57 Mil.
Total Net Income52.14 Mil.31.62 Mil.47.05 Mil.39.15 Mil.
Basic EPS, Total.73.45.68.57
Diluted EPS, Total.72.44.67.56

BALANCE STATEMENT02/200803/200706/200607/2005
Cash and Equivalents135.81 Mil.86.27 Mil.175.2 Mil.56.57 Mil.
Total Assets347.72 Mil.317.12 Mil.362.02 Mil.336.75 Mil.
Total Liabilities71.57 Mil.61.77 Mil.76.83 Mil.58.67 Mil.
Total Capitalization388.26 Mil.391.51 Mil.402.56 Mil.382.73 Mil.

CASH FLOW02/200803/200706/200607/2005
Net Cash From Continuing Operations98.16 Mil.22.29 Mil.67.1 Mil.22.32 Mil.
Net Cash From Investing Activities13.01 Mil.-64.41 Mil.84.89 Mil.15.83 Mil.
Net Cash From Financing Activities-61.63 Mil.-46.81 Mil.-33.52 Mil.-24.22 Mil.
Net Change in Cash & Cash Equivalents49.54 Mil.-88.94 Mil.118.64 Mil.8.1 Mil.

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