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NASDAQ / Sector: Healthcare / Sub-Sector: Diagnostics & Research / Stock Type: Slow Growth
# of Employee: 1,577 / Fiscal Year End: 2016-07-31 / Stock Type: Small Core
USD / Exchange Rate: 1 at 2016-11-22 /

Analogic Corp is a technology company that designs and manufactures medical imaging ultrasound and security systems and subsystems sold to original equipment manufacturers, or OEMs, and end users in the healthcare and airport security markets.

Competitors

Competitors List | Key Matrix Details

TMO | Q | A | LH | DGX | IDXX | QGEN | PKI | DXCM | BIO | BIO.B | ICLR | BRKR | ALR | CRL | VWR | PRAH | PRXL |

Finance Highlights

Key Ratio Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2007-07-25Annual6.10%7.00%1.728.234.40%4.50%4.50%5.980.179
2008-07-25Annual7.10%7.40%2.332.236.50%5.70%5.70%5.184.204
2009-07-25Annual1.20%1.20%0.430.731.60%0.90%0.90%5.969.185
2010-07-25Annual4.20%4.10%1.432.335.40%3.70%3.70%5.331.199
2011-07-25Annual2.10%1.90%0.733.736.50%3.50%3.80%4.318.232
2012-07-25Annual9.70%8.30%3.435.537.40%8.30%8.30%3.997.244
2013-07-25Annual3.30%2.90%1.338.739.40%5.70%5.70%4.797.252
2014-07-25Annual5.90%5.90%2.440.542.50%6.70%6.70%5.037.226
2015-07-25Annual5.40%5.30%2.342.242.50%6.20%6.20%5.503.197
2016-07-25Annual3.70%3.90%1.642.144.80%2.40%2.40%5.222.202

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual-18.70%-17.39%-16.53%4.41%4.35%-6.32%-1.82%-6.14%2.95%
2008-07-25Annual16.39%5.71%33.33%14.31%6.10%26.67%26.67%-13.31%13.97%
2009-07-25Annual-83.10%-83.78%-83.70%-4.66%-13.42%-84.21%-84.21%15.14%-9.31%
2010-07-25Annual250.00%241.67%265.42%5.15%12.03%311.11%311.11%-10.69%7.57%
2011-07-25Annual-50.00%-53.66%-47.32%4.21%3.11%-5.41%2.70%-19.00%16.58%
2012-07-25Annual361.90%336.84%377.30%5.36%2.47%137.14%118.42%-7.43%5.17%
2013-07-25Annual-65.98%-65.06%-63.12%9.04%5.35%-31.33%-31.33%20.02%3.28%
2014-07-25Annual78.79%103.45%89.95%4.57%7.87%17.54%17.54%5.00%-10.32%
2015-07-25Annual-8.47%-10.17%-5.00%4.17%0.00%-7.46%-7.46%9.25%-12.83%
2016-07-25Annual-31.48%-26.42%-30.95%-0.11%5.41%-61.29%-61.29%-5.11%2.54%


Income Statement Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2007-07-25Annual340,782k223,567k0.015,380k15,380k13,946,k34.40%4.50%4.50%
2008-07-25Annual413,509k262,411k0.023,486k23,486k13,290,k36.50%5.70%5.70%
2009-07-25Annual396,149k270,953k0.03,705k3,705k12,932,k31.60%0.90%0.90%
2010-07-25Annual423,597k273,516k0.015,555k15,555k12,655,k35.40%3.70%3.70%
2011-07-25Annual473,595k300,632k0.016,620k17,833k12,572,k36.50%3.50%3.80%
2012-07-25Annual516,571k323,387k0.043,071k43,071k12,576,k37.40%8.30%8.30%
2013-07-25Annual550,363k333,684k0.031,121k31,121k12,569,k39.40%5.70%5.70%
2014-07-25Annual517,548k297,845k0.034,480k34,480k12,667,k42.50%6.70%6.70%
2015-07-25Annual540,291k310,804k0.033,481k33,481k12,606,k42.50%6.20%6.20%
2016-07-25Annual508,848k280,783k0.012,127k12,127k12,615,k44.80%2.40%2.40%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual5.59%3.22%0.00%2.52%4.71%-0.56%4.35%-6.32%-1.82%
2008-07-25Annual21.34%17.37%0.00%52.70%52.70%-4.70%6.10%26.67%26.67%
2009-07-25Annual-4.20%3.26%0.00%-84.22%-84.22%-2.69%-13.42%-84.21%-84.21%
2010-07-25Annual6.93%0.95%0.00%319.84%319.84%-2.14%12.03%311.11%311.11%
2011-07-25Annual11.80%9.91%0.00%6.85%14.64%-0.66%3.11%-5.41%2.70%
2012-07-25Annual9.07%7.57%0.00%159.15%141.52%0.03%2.47%137.14%118.42%
2013-07-25Annual6.54%3.18%0.00%-27.74%-27.74%-0.06%5.35%-31.33%-31.33%
2014-07-25Annual-5.96%-10.74%0.00%10.79%10.79%0.78%7.87%17.54%17.54%
2015-07-25Annual4.39%4.35%0.00%-2.90%-2.90%-0.48%0.00%-7.46%-7.46%
2016-07-25Annual-5.82%-9.66%0.00%-63.78%-63.78%0.07%5.41%-61.29%-61.29%


Balance Sheet Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2007-07-25Annual393,357k65,784k365,442k65,328k456k5.980.179
2008-07-25Annual428,506k82,659k360,926k73,666k8,993k5.184.204
2009-07-25Annual397,519k66,595k324,291k60,151k6,444k5.969.185
2010-07-25Annual409,042k76,734k351,796k70,069k6,665k5.331.199
2011-07-25Annual423,472k98,080k383,213k88,826k9,254k4.318.232
2012-07-25Annual446,319k111,677k408,795k99,939k11,738k3.997.244
2013-07-25Annual486,396k101,388k360,413k90,894k10,494k4.797.252
2014-07-25Annual512,580k101,762k373,774k84,513k17,249k5.037.226
2015-07-25Annual531,410k96,560k404,565k79,794k16,766k5.503.197
2016-07-25Annual531,177k101,720k388,804k78,467k23,253k5.222.202

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual3.61%3.13%1.51%-3.41%16.44%-6.14%2.95%
2008-07-25Annual8.94%25.65%-1.24%12.76%1,872.15%-13.31%13.97%
2009-07-25Annual-7.23%-19.43%-10.15%-18.35%-28.34%15.14%-9.31%
2010-07-25Annual2.90%15.22%8.48%16.49%3.43%-10.69%7.57%
2011-07-25Annual3.53%27.82%8.93%26.77%38.84%-19.00%16.58%
2012-07-25Annual5.40%13.86%6.68%12.51%26.84%-7.43%5.17%
2013-07-25Annual8.98%-9.21%-11.84%-9.05%-10.60%20.02%3.28%
2014-07-25Annual5.38%0.37%3.71%-7.02%64.37%5.00%-10.32%
2015-07-25Annual3.67%-5.11%8.24%-5.58%-2.80%9.25%-12.83%
2016-07-25Annual-0.04%5.34%-3.90%-1.66%38.69%-5.11%2.54%


Cash Flow Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2007-07-25Annual34,221k-10,283k23,938k-1,587k-60,001k
2008-07-25Annual47,810k-17,407k30,403k-99,050k-2,376k
2009-07-25Annual16,728k-11,902k4,826k-38,495k-30,185k
2010-07-25Annual27,117k-9,868k17,249k28,899k-4,520k
2011-07-25Annual31,532k-22,502k9,030k-10,967k-20,126k
2012-07-25Annual73,710k-30,606k43,104k-27,899k-26,527k
2013-07-25Annual41,443k-25,551k15,892k-104,678k-12,107k
2014-07-25Annual47,931k-17,517k30,414k-28,533k-18,240k
2015-07-25Annual38,710k-9,954k28,756k-10,995k-12,788k
2016-07-25Annual32,987k-13,121k19,866k-21,439k-16,767k

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual2.13%-4.96%-16.77%-114.08%-31.42%
2008-07-25Annual39.71%-69.28%27.01%-6,141.34%96.04%
2009-07-25Annual-65.01%31.63%-84.13%61.14%-1,170.41%
2010-07-25Annual62.11%17.09%257.42%175.07%85.03%
2011-07-25Annual16.28%-128.03%-47.65%-137.95%-345.27%
2012-07-25Annual133.76%-36.01%377.34%-154.39%-31.80%
2013-07-25Annual-43.78%16.52%-63.13%-275.20%54.36%
2014-07-25Annual15.66%31.44%91.38%72.74%-50.66%
2015-07-25Annual-19.24%43.18%-5.45%61.47%29.89%
2016-07-25Annual-14.78%-31.82%-30.92%-94.99%-31.12%



Finance Detail

Income Statement Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-072008-072009-072010-072011-072012-072013-072014-072015-072016-07
1: Revenue340782k413509k396149k423597k473595k516571k550363k517548k540291k508848k
2: Cost of revenue223567k262411k270953k273516k300632k323387k333684k297845k310804k280783k
3: Gross profit117215k151098k125196k150081k172963k193184k216679k219703k229487k228065k
4: Operating expenses114890k126787k129381k129086k152227k153221k171304k190615k188888k202852k
5: Research and development46955k48947k45276k49150k63125k57230k63990k73828k68462k67119k
6: Sales, General and administrative66855k73824k77486k79246k82036k95991k103795k113304k120780k126092k
7: Restructuring, merger and acquisition1080k4016k6619k690k7066k03519k3483k-354k9641k
8: Other operating expenses0000000000
9: Operating income2325k24311k-4185k20995k20736k39963k45375k29088k40599k25213k
10: Interest Expense0000000000
11: Other income (expense)16350k10734k2975k149k196k4236k-1278k-50k434k-4897k
12: Income before taxes18675k35045k-1210k21144k20932k44199k44097k29038k41033k20316k
13: Provision for income taxes3295k11559k-4915k5589k4312k1128k12976k-5442k7552k8189k
14: Other income0000000000
15: Net income from continuing operations15380k23486k3705k15555k16620k43071k31121k34480k33481k12127k
16: Net income from discontinuing ops00001213k00000
17: Extraordinary items0000000000
18: Cumulative effect of accounting changes0000000000
19: Other0000000000
20: Net income15380k23486k3705k15555k17833k43071k31121k34480k33481k12127k
21: Preferred dividend0000000000
22: Net income available to common shareholders15380k23486k3705k15555k17833k43071k31121k34480k33481k12127k
23: Earnings per share0000000000
24: Basic1.111.780.291.241.433.512.542.782.70.98
25: Diluted1.11.770.291.231.423.422.482.722.660.96
26: Weighted average shares outstanding0000000000
27: Basic13814k13180k12835k12584k12491k12265k12247k12404k12407k12402k
28: Diluted13946k13290k12932k12655k12572k12576k12569k12667k12606k12615k
29: EBITDA16890k39931k13779k38564k38654k57738k62650k51145k63906k48165k
30: Total operating expenses114890k126787k129381k129086k152227k153221k171304k190615k188888k202852k


Balance Sheet Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-072008-072009-072010-072011-072012-072013-072014-072015-072016-07
1: Assets459141k511165k464114k485776k521552k557996k587784k614342k627970k632903k
2: Current assets365442k360926k324291k351796k383213k408795k360413k373774k404565k388804k
3: Cash228545k186442k160293k169254k169656k187011k113033k114540k123800k118697k
4: Cash and cash equivalents226545k173912k119855k169254k169656k187011k113033k114540k123800k118697k
5: Short-term investments2m12530k40438k0000000
6: Receivables58926k66573k64874k74493k88558k96117k113150k106436k119301k112412k
7: Inventories54413k79197k79011k86060k105483k108944k116280k124777k132712k145513k
8: Deferred income taxes12912k17429k11131k8860k9677k9786k7803k18599k20621k0
9: Prepaid expenses0000000009178k
10: Other current assets10646k11285k8982k13129k9839k6937k10147k9422k8131k3004k
11: Non-current assets93699k150239k139823k133980k138339k149201k227371k240568k223405k244099k
12: Property, plant and equipment80482k90405k83688k78613k83157k96769k110983k114165k106299k107790k
13: Gross property, plant and equipment248446k270938k273136k277428k174356k194573k229427k238900k240700k256300k
14: Accumulated Depreciation-167964k-180533k-189448k-198815k-91199k-97804k-118444k-124735k-134401k-148500k
15: Equity and other investments005057k0000000
16: Goodwill03534k2043k1849k1849k1849k50073k56955k57450k73915k
17: Intangible assets2732k48996k40792k42984k38997k34532k55525k57366k49499k45200k
18: Deferred income taxes10441k5908k7935k8904k8219k10749k5439k7475k5308k10671k
19: Prepaid pension benefit0000000000
20: Other long-term assets44k1396k308k1630k6117k5302k5351k4607k4849k6523k
21: Liabilities and stockholders' equity459141k511165k464114k485776k521552k557996k587784k614342k627970k632897k
22: Liabilities65784k82659k66595k76734k98080k111677k101388k101762k96560k101720k
23: Current liabilities65328k73666k60151k70069k88826k99939k90894k84513k79794k78467k
24: Short-term debt0000000000
25: Capital leases0000000000
26: Accounts payable21734k28329k22064k24813k37478k38200k32138k37241k30493k28575k
27: Deferred income taxes0000000000
28: Taxes payable0002917k661k5670k4091k04100k1610k
29: Accrued liabilities32077k34552k30868k33291k41438k41746k31613k25704k29981k29652k
30: Deferred revenues11517k005492k9249k11551k9218k10761k9191k8835k
31: Other current liabilities010785k7219k3556k02772k13834k10807k6029k9795k
32: Non-current liabilities456k8993k6444k6665k9254k11738k10494k17249k16766k23253k
33: Long-term debt0000000000
34: Capital leases0000000000
35: Deferred taxes liabilities456k942k0360k0002657k3391k0
36: Accrued liabilities005541k0000000
37: Deferred revenues0000000000
38: Pensions and other benefits0000000000
39: Minority interest0000000000
40: Other long-term liabilities08051k903k6305k9254k11738k10494k14592k13375k23253k
41: Stockholders' equity393357k428506k397519k409042k423472k446319k486396k512580k531410k531177k
42: Preferred stock0000000000
43: Common stock662k672k640k645k627k608k612k619k621k619k
44: Other Equity0000000000
45: Additional paid-in capital64186k70593k70704k77085k85407k100222k114381k125679k140538k149005k
46: Retained earnings318284k338669k316079k326590k325941k343186k362255k378477k394757k390013k
47: Treasury stock0000000000
48: Accumulated other comprehensive income10225k18572k10096k4722k11497k2303k9148k7805k-4506k-8460k
49: Total assets459141k511165k464114k485776k521552k557996k587784k614342k627970k632903k
50: Total liabilities and stockholders' equity459141k511165k464114k485776k521552k557996k587784k614342k627970k632897k
51: Total cash228545k186442k160293k169254k169656k187011k113033k114540k123800k118697k
52: Total current assets365442k360926k324291k351796k383213k408795k360413k373774k404565k388804k
53: Net property, plant and equipment80482k90405k83688k78613k83157k96769k110983k114165k106299k107790k
54: Total non-current assets93699k150239k139823k133980k138339k149201k227371k240568k223405k244099k
55: Total current liabilities65328k73666k60151k70069k88826k99939k90894k84513k79794k78467k
56: Total non-current liabilities456k8993k6444k6665k9254k11738k10494k17249k16766k23253k
57: Total liabilities65784k82659k66595k76734k98080k111677k101388k101762k96560k101720k
58: Total stockholders' equity393357k428506k397519k409042k423472k446319k486396k512580k531410k531177k


Cash Flow Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-072008-072009-072010-072011-072012-072013-072014-072015-072016-07
1: Cash Flows From Operating Activities34221k47810k16728k27117k31532k73710k41443k47931k38710k32987k
2: Net income15380k23486k3705k15555k17833k43071k034480k33481k12127k
3: Depreciation & amortization14565k15620k17964k17569k17918k17775k17275k22057k23307k22952k
4: Amortization of debt discount/premium and issuance costs000000005037k0
5: Investment/asset impairment charges00270k0000000
6: Investments losses (gains)00-838k00-2500k0484k00
7: Deferred income taxes-2806k5836k-1164k0-1646k-3050k1006k-5412k00
8: (Gain) Loss from discontinued operations0000-1213k00000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation003968k5791k9638k13396k11601k11512k10938k8864k
12: Accounts receivable000000-10523k6633k-16050k0
13: Inventory-1532k-5391k-800k-7435k-17439k-4765k-2127k-12347k-14714k-21624k
14: Prepaid expenses000000000-2275k
15: Accounts payable00-4648k3021k11925k1548k-11991k3222k-7281k3840k
16: Accrued liabilities00-10708k1964k4039k3948k-305k-9100k4755k-1367k
17: Interest payable0000000000
18: Income taxes payable0002387k1298k3850k896k-8769k-1895k0
19: Other working capital672k3535k2244k-10493k-9704k315k367k4890k-2381k6954k
20: Other non-cash items7942k4724k6735k-1242k-1117k122k35244k281k3513k3516k
21: Cash Flows From Investing Activities-1587k-99050k-38495k28899k-10967k-27899k-104678k-28533k-10995k-21439k
22: Investments in property, plant, and equipment-10283k-17407k-10230k-9407k-22502k-30606k-25551k-17517k-9954k-13121k
23: Property, plant, and equipment reductions644k468k829k249k1414k207k146k260k559k106k
24: Acquisitions, net4236k-73682k-350k0-346k0-79273k-10561k-1600k-8424k
25: Purchases of investments0-131223k-220947k0000-715k00
26: Sales/Maturities of investments3816k122777k193875k40438k02500k0000
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles00-1672k0000000
30: Sales of intangibles0000000000
31: Other investing activities017k0-2381k10467k00000
32: Cash Flows From Financing Activities-60001k-2376k-30185k-4520k-20126k-26527k-12107k-18240k-12788k-16767k
33: Debt issued0000002230k000
34: Debt repayment000000-3014k000
35: Preferred stock issued0000000000
36: Preferred stock repaid0000000000
37: Warrant issued0000000000
38: Common stock issued5111k2598k0670k347k1529k4684k5379k7893k4724k
39: Common stock repurchased-60m0-25022k0-15187k-23260k-7945k-14959k-13872k-13698k
40: Excess tax benefit from stock based compensation00-189k-146k-132k184k2053k3982k1134k395k
41: Dividend paid-5589k-5340k-5184k-5044k-5154k-4980k-5114k-4962k-5111k-4964k
42: Dividend payable0000000000
43: Other financing activities477k366k210k000-5001k-7680k-2832k-3224k
44: Effect of exchange rate changes1505k983k-2105k-2097k-37k-1929k1364k349k-5667k116k
45: Net change in cash-25862k-52633k-54057k49399k402k17355k-73978k1507k9260k-5103k
46: Cash at beginning of period252407k226545k173912k119855k169254k169656k187011k113033k114540k123800k
47: Cash at end of period226545k173912k119855k169254k169656k187011k113033k114540k123800k118697k
48: Free Cash Flow0000000000
49: Operating cash flow34221k47810k16728k27117k31532k73710k41443k47931k38710k32987k
50: Capital expenditure-10283k-17407k-11902k-9868k-22502k-30606k-25551k-17517k-9954k-13121k
51: Free cash flow23938k30403k4826k17249k9030k43104k15892k30414k28756k19866k
52: Net cash provided by operating activities34221k47810k16728k27117k31532k73710k41443k47931k38710k32987k
53: Net cash used for investing activities-1587k-99050k-38495k28899k-10967k-27899k-104678k-28533k-10995k-21439k
54: Net cash provided by (used for) financing activities-60001k-2376k-30185k-4520k-20126k-26527k-12107k-18240k-12788k-16767k



Note