CA

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NASDAQ / Sector: Technology / Sub-Sector: Software - Infrastructure / Stock Type: Slow Growth
# of Employee: 11,000 / Fiscal Year End: 2017-03-31 / Stock Type: Mid Value
USD / Exchange Rate: 1 at 2016-11-22 /

CA Inc is a provider of enterprise information technology software and solution. It develops and delivers software and services that help organizations manage and secure their IT infrastructures and deliver more flexible IT services.

Competitors

Competitors List | Key Matrix Details

MSFT | ORCL | VMW | CTXS | FFIV | DOX | SSNC | ULTI | BKFS | GWRE | JCOM | FICO | COTV |

Finance Highlights

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

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2007-03-25Annual16.80%15.70%1.16.591.70%3.10%3.00%.5351.198
2008-03-25Annual22.80%19.80%1.66.985.60%11.70%11.70%.461.957
2009-03-25Annual21.30%21.60%1.78.085.80%16.20%16.20%.629.976
2010-03-25Annual21.90%25.10%2.19.383.90%17.70%17.70%.727.899
2011-03-25Annual19.90%25.30%2.211.186.90%18.60%18.70%.827.898
2012-03-25Annual22.70%25.50%2.511.186.60%19.50%19.80%.818.946
2013-03-25Annual21.90%25.70%2.611.986.30%20.60%20.60%.857.858
2014-03-25Annual16.00%19.80%2.012.485.50%19.90%20.20%.864.860
2015-03-25Annual16.50%21.80%2.112.885.10%19.00%19.80%1.051.737
2016-03-25Annual18.10%24.20%2.312.685.50%19.10%19.50%.923.813

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual-0.00%5.40%7.97%5.07%-0.40%4.98%4.93%3.01%-3.57%
2008-03-25Annual35.71%26.11%43.54%5.72%-6.65%277.42%290.00%-13.83%-20.12%
2009-03-25Annual-6.58%9.09%9.26%17.33%0.23%38.46%38.46%36.44%1.99%
2010-03-25Annual2.82%16.20%19.87%16.22%-2.21%9.26%9.26%15.58%-7.89%
2011-03-25Annual-9.13%0.80%7.61%18.57%3.58%5.08%5.65%13.76%-0.11%
2012-03-25Annual14.07%0.79%14.05%-0.03%-0.35%4.84%5.88%-1.09%5.35%
2013-03-25Annual-3.52%0.78%3.73%7.62%-0.35%5.64%4.04%4.77%-9.30%
2014-03-25Annual-26.94%-22.96%-23.75%4.25%-0.93%-3.40%-1.94%0.82%0.23%
2015-03-25Annual3.13%10.10%5.83%2.59%-0.47%-4.52%-1.98%21.64%-14.30%
2016-03-25Annual9.70%11.01%8.26%-1.25%0.47%0.53%-1.52%-12.18%10.31%


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

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2007-03-25Annual3,943m326m60m121m118m569,000,k91.70%3.10%3.00%
2008-03-25Annual4,277m617m46m500m500m541,000,k85.60%11.70%11.70%
2009-03-25Annual4,271m605m0.0694m694m540,000,k85.80%16.20%16.20%
2010-03-25Annual4,353m699m102m771m771m533,000,k83.90%17.70%17.70%
2011-03-25Annual4,429m581m68m823m827m507,000,k86.90%18.60%18.70%
2012-03-25Annual4,814m643m65m938m951m487,000,k86.60%19.50%19.80%
2013-03-25Annual4,643m638m64m955m955m457,000,k86.30%20.60%20.60%
2014-03-25Annual4,515m656m0.0899m914m448,000,k85.50%19.90%20.20%
2015-03-25Annual4,262m635m0.0810m846m441,000,k85.10%19.00%19.80%
2016-03-25Annual4,025m583m0.0769m783m427,000,k85.50%19.10%19.50%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual-1.30%-1.30%0.00%4.55%4.22%-3.52%-0.40%4.98%4.93%
2008-03-25Annual8.47%89.26%-23.33%313.22%323.73%-4.92%-6.65%277.42%290.00%
2009-03-25Annual-0.14%-1.94%-100.00%38.80%38.80%-0.18%0.23%38.46%38.46%
2010-03-25Annual1.92%15.54%0.00%11.10%11.10%-1.30%-2.21%9.26%9.26%
2011-03-25Annual1.75%-16.88%-33.33%6.74%7.26%-4.88%3.58%5.08%5.65%
2012-03-25Annual8.69%10.67%-4.41%13.97%14.99%-3.94%-0.35%4.84%5.88%
2013-03-25Annual-3.55%-0.78%-1.54%1.81%0.42%-6.16%-0.35%5.64%4.04%
2014-03-25Annual-2.76%2.82%-100.00%-5.86%-4.29%-1.97%-0.93%-3.40%-1.94%
2015-03-25Annual-5.60%-3.20%0.00%-9.90%-7.44%-1.56%-0.47%-4.52%-1.98%
2016-03-25Annual-5.56%-8.19%0.00%-5.06%-7.45%-3.17%0.47%0.53%-1.52%


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

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2007-03-25Annual3,690m6,895m3,101m3,714m3,181m.5351.198
2008-03-25Annual3,709m8,047m4,468m4,278m3,769m.461.957
2009-03-25Annual4,344m6,908m4,180m4,078m2,830m.629.976
2010-03-25Annual4,983m6,855m3,990m3,588m3,267m.727.899
2011-03-25Annual5,620m6,794m4,371m3,924m2,870m.827.898
2012-03-25Annual5,397m6,600m3,965m3,751m2,849m.818.946
2013-03-25Annual5,450m6,361m4,126m3,541m2,820m.857.858
2014-03-25Annual5,570m6,446m4,559m3,922m2,524m.864.860
2015-03-25Annual5,625m5,354m3,987m2,938m2,416m1.051.737
2016-03-25Annual5,378m5,826m3,561m2,894m2,932m.923.813

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual0.99%-1.76%-5.39%-4.53%-2.47%3.01%-3.57%
2008-03-25Annual0.51%16.71%44.08%15.19%18.48%-13.83%-20.12%
2009-03-25Annual17.12%-14.15%-6.45%-4.68%-24.91%36.44%1.99%
2010-03-25Annual14.71%-0.77%-4.55%-12.02%15.44%15.58%-7.89%
2011-03-25Annual12.78%-0.89%9.55%9.36%-12.15%13.76%-0.11%
2012-03-25Annual-3.97%-2.86%-9.29%-4.41%-0.73%-1.09%5.35%
2013-03-25Annual0.98%-3.62%4.06%-5.60%-1.02%4.77%-9.30%
2014-03-25Annual2.20%1.34%10.49%10.76%-10.50%0.82%0.23%
2015-03-25Annual0.99%-16.94%-12.55%-25.09%-4.28%21.64%-14.30%
2016-03-25Annual-4.39%8.82%-10.68%-1.50%21.36%-12.18%10.31%


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

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2007-03-25Annual1,068m-447m621m-202m-515m
2008-03-25Annual1,103m-256m847m-219m-572m
2009-03-25Annual1,212m-288m924m-284m-759m
2010-03-25Annual1,360m-267m1,093m-888m-705m
2011-03-25Annual1,381m-262m1,119m-684m-320m
2012-03-25Annual1,478m-252m1,226m-451m-1,330m
2013-03-25Annual1,408m-215m1,193m-473m-938m
2014-03-25Annual997m-105m892m5m-421m
2015-03-25Annual982m-53m929m79m-977m
2016-03-25Annual1,022m-48m974m-595m-443m

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual2.51%8.48%4.53%-6.45%-0.97%
2008-03-25Annual3.28%42.73%36.39%-8.42%-11.07%
2009-03-25Annual9.88%-12.50%9.09%-29.68%-32.69%
2010-03-25Annual12.21%7.29%18.29%-212.68%7.11%
2011-03-25Annual1.54%1.87%2.38%22.97%54.61%
2012-03-25Annual7.02%3.82%9.56%34.06%-315.62%
2013-03-25Annual-4.74%14.68%-2.69%-4.88%29.47%
2014-03-25Annual-29.19%51.16%-25.23%101.06%55.12%
2015-03-25Annual-1.50%49.52%4.15%1,480.00%-132.07%
2016-03-25Annual4.07%9.43%4.84%-853.16%54.66%



Finance Detail

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

0: years2007-032008-032009-032010-032011-032012-032013-032014-032015-032016-03
1: Revenue3943m4277m4271m4353m4429m4814m4643m4515m4262m4025m
2: Cost of revenue326m617m605m699m581m643m638m656m635m583m
3: Gross profit3617m3660m3666m3654m3848m4171m4005m3859m3627m3442m
4: Operating expenses3416m2800m2539m2407m2594m2782m2643m2558m2465m2295m
5: Research and development712m516m486m476m471m510m490m587m603m560m
6: Sales, General and administrative1991m1890m1678m1704m1737m1856m1681m1545m1437m1373m
7: Restructuring, merger and acquisition201m121m102m52m-9m00000
8: Other operating expenses512m273m273m175m395m416m472m426m425m362m
9: Operating income201m860m1127m1247m1254m1389m1362m1301m1162m1147m
10: Interest Expense60m46m0102m68m65m64m000
11: Other income (expense)13m-6m-25m26m23m30m20m-262m-47m-63m
12: Income before taxes154m808m1102m1171m1209m1354m1318m1039m1115m1084m
13: Provision for income taxes33m308m408m400m386m416m363m140m305m315m
14: Other income0000000000
15: Net income from continuing operations121m500m694m771m823m938m955m899m810m769m
16: Net income from discontinuing ops-3m0004m13m015m36m14m
17: Extraordinary items0000000000
18: Cumulative effect of accounting changes0000000000
19: Other0000000000
20: Net income118m500m694m771m827m951m955m914m846m783m
21: Preferred dividend0000000000
22: Net income available to common shareholders118m500m694m771m827m951m955m914m846m783m
23: Earnings per share0000000000
24: Basic0.220.971.351.481.611.942.072.031.911.82
25: Diluted0.220.931.291.471.611.932.072.021.91.81
26: Weighted average shares outstanding0000000000
27: Basic544m514m513m515m506m486m456m446m439m426m
28: Diluted569m541m540m533m507m487m457m448m441m427m
29: EBITDA716m1127m1401m1603m1656m1820m1859m1727m1564m1509m
30: Total operating expenses3416m2800m2539m2407m2594m2782m2643m2558m2465m2295m


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

0: years2007-032008-032009-032010-032011-032012-032013-032014-032015-032016-03
1: Assets10585m11756m11252m11838m12414m11997m11811m12016m10979m11204m
2: Current assets3101m4468m4180m3990m4371m3965m4126m4559m3987m3561m
3: Cash2280m2796m02583m3124m2679m2776m3252m2804m2812m
4: Cash and cash equivalents2275m2796m02583m3049m2679m2593m3252m2804m2812m
5: Short-term investments5m00075m0183m000
6: Receivables390m970m839m931m822m902m835m781m591m566m
7: Inventories0000000000
8: Deferred income taxes360m623m524m360m246m231m346m315m318m0
9: Prepaid expenses0000000000
10: Other current assets71m79m2817m116m179m153m169m211m274m183m
11: Non-current assets7484m7288m7072m7848m8043m8032m7685m7457m6992m7643m
12: Property, plant and equipment469m496m442m452m437m386m311m295m252m242m
13: Gross property, plant and equipment1391m1492m1457m1082m1069m1093m1097m1123m1064m1074m
14: Accumulated Depreciation-922m-996m-1015m-630m-632m-707m-786m-828m-812m-832m
15: Equity and other investments0000104m00000
16: Goodwill5345m5351m5364m5667m5688m5856m5871m5922m5806m6086m
17: Intangible assets203m171m155m1150m1284m1389m1231m1063m731m795m
18: Deferred income taxes328m293m268m355m284m151m77m59m92m407m
19: Prepaid pension benefit0000000000
20: Other long-term assets1139m977m843m224m246m250m195m118m111m113m
21: Liabilities and stockholders' equity10585m11756m11252m11838m12414m11997m11811m12016m10979m11204m
22: Liabilities6895m8047m6908m6855m6794m6600m6361m6446m5354m5826m
23: Current liabilities3714m4278m4078m3588m3924m3751m3541m3922m2938m2894m
24: Short-term debt11m361m650m15m269m14m16m514m10m6m
25: Capital leases0000000000
26: Accounts payable227m152m120m81m100m95m93m129m105m77m
27: Deferred income taxes81m106m40m82m68m14m12m9m7m0
28: Taxes payable00169m82m199m176m228m66m55m57m
29: Accrued liabilities559m839m668m773m688m794m710m745m647m557m
30: Deferred revenues1986m2664m2431m2555m2600m2658m2482m2459m2114m2197m
31: Other current liabilities850m156m00000000
32: Non-current liabilities3181m3769m2830m3267m2870m2849m2820m2524m2416m2932m
33: Long-term debt2572m2221m1287m1530m1282m1287m1274m1252m1253m1947m
34: Capital leases0000000000
35: Deferred taxes liabilities20m200m136m534m64m44m120m67m45m3m
36: Accrued liabilities0000000000
37: Deferred revenues001000m1068m969m972m975m890m863m737m
38: Pensions and other benefits0000000000
39: Minority interest0000000000
40: Other long-term liabilities589m1348m407m135m555m546m451m315m255m245m
41: Stockholders' equity3690m3709m4344m4983m5620m5397m5450m5570m5625m5378m
42: Preferred stock0000000000
43: Common stock000059m59m59m59m59m59m
44: Other Equity0000000000
45: Additional paid-in capital3550m3566m3557m3657m3615m3491m3593m3610m3631m3664m
46: Retained earnings1780m2173m2784m3361m4106m4865m5357m5818m6221m6575m
47: Treasury stock-1600m-1988m-1873m-1964m-2095m-2910m-3404m-3746m-3868m-4504m
48: Accumulated other comprehensive income-40m-42m-124m-71m-65m-108m-155m-171m-418m-416m
49: Total assets10585m11756m11252m11838m12414m11997m11811m12016m10979m11204m
50: Total liabilities and stockholders' equity10585m11756m11252m11838m12414m11997m11811m12016m10979m11204m
51: Total cash2280m2796m02583m3124m2679m2776m3252m2804m2812m
52: Total current assets3101m4468m4180m3990m4371m3965m4126m4559m3987m3561m
53: Net property, plant and equipment469m496m442m452m437m386m311m295m252m242m
54: Total non-current assets7484m7288m7072m7848m8043m8032m7685m7457m6992m7643m
55: Total current liabilities3714m4278m4078m3588m3924m3751m3541m3922m2938m2894m
56: Total non-current liabilities3181m3769m2830m3267m2870m2849m2820m2524m2416m2932m
57: Total liabilities6895m8047m6908m6855m6794m6600m6361m6446m5354m5826m
58: Total stockholders' equity3690m3709m4344m4983m5620m5397m5450m5570m5625m5378m


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

0: years2007-032008-032009-032010-032011-032012-032013-032014-032015-032016-03
1: Cash Flows From Operating Activities1068m1103m1212m1360m1381m1478m1408m997m982m1022m
2: Net income118m500m694m771m00955m914m846m783m
3: Depreciation & amortization502m273m274m330m379m401m477m426m402m362m
4: Amortization of debt discount/premium and issuance costs0000000000
5: Investment/asset impairment charges005m13m2m20m12m10m5m0
6: Investments losses (gains)0000000000
7: Deferred income taxes-249m-4m000-16m0-69m-72m-115m
8: (Gain) Loss from discontinued operations0000-4m-13m0-15m-36m-14m
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation00116m102m80m89m78m82m87m97m
12: Accounts receivable00199m9m140m-45m35m42m79m54m
13: Inventory0000000000
14: Prepaid expenses0000000000
15: Accounts payable000-21m000000
16: Accrued liabilities00-29m25m-16m58m-42m-28m-40m-18m
17: Interest payable0000000000
18: Income taxes payable0035m-16m-8m-46m-56m-331m-98m28m
19: Other working capital570m199m-119m83m-173m99m-87m-51m-144m-147m
20: Other non-cash items127m135m37m64m981m931m36m17m-47m-8m
21: Cash Flows From Investing Activities-202m-219m-284m-888m-684m-451m-473m5m79m-595m
22: Investments in property, plant, and equipment-447m-256m-83m-79m-92m-72m-50m-65m-53m-48m
23: Property, plant, and equipment reductions21m19m0013m7m0000
24: Acquisitions, net000-617m-252m-387m-76m-133m-38m-648m
25: Purchases of investments0-4m00-209m-108m-346m-9m00
26: Sales/Maturities of investments44m1m0028m287m163m191m048m
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles00-205m-188m-170m-180m0000
30: Sales of intangibles0000000000
31: Other investing activities180m21m4m-4m-2m2m-164m21m170m53m
32: Cash Flows From Financing Activities-515m-572m-759m-705m-320m-1330m-938m-421m-977m-443m
33: Debt issued001m744m260m476m1143m4200m5371m4999m
34: Debt repayment00-680m-1205m-273m-599m-1152m-3749m-5715m-4286m
35: Preferred stock issued0000000000
36: Preferred stock repaid0000000000
37: Warrant issued0000000000
38: Common stock issued43m22m00000000
39: Common stock repurchased-1216m-500m-4m-233m-235m-1053m-493m-507m-215m-707m
40: Excess tax benefit from stock based compensation0000000000
41: Dividend paid-88m-82m-83m-83m-82m-192m-463m-453m-444m-429m
42: Dividend payable0000000000
43: Other financing activities746m-12m7m72m10m38m27m88m26m-20m
44: Effect of exchange rate changes93m208m-252m104m89m-67m-83m62m-532m24m
45: Net change in cash444m520m-83m-129m466m-370m-86m643m-448m8m
46: Cash at beginning of period1833m2275m2795m2712m2583m3049m2679m2593m3252m2804m
47: Cash at end of period2277m2795m2712m2583m3049m2679m2593m3236m2804m2812m
48: Free Cash Flow0000000000
49: Operating cash flow1068m1103m1212m1360m1381m1478m1408m997m982m1022m
50: Capital expenditure-447m-256m-288m-267m-262m-252m-215m-105m-53m-48m
51: Free cash flow621m847m924m1093m1119m1226m1193m892m929m974m
52: Net cash provided by operating activities1068m1103m1212m1360m1381m1478m1408m997m982m1022m
53: Net cash used for investing activities-202m-219m-284m-888m-684m-451m-473m5m79m-595m
54: Net cash provided by (used for) financing activities-515m-572m-759m-705m-320m-1330m-938m-421m-977m-443m



Note