HAR

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Symbol:
NYSE / Sector: Technology / Sub-Sector: Consumer Electronics / Stock Type: Cyclical
# of Employee: 26,000 / Fiscal Year End: 2017-06-30 / Stock Type: Mid Core
USD / Exchange Rate: 1 at 2016-11-22 /

Harman International Industries Inc is engaged in the development, manufacturing and marketing of audio products, lighting solutions and electronic systems and digitally integrated audio and infotainment systems for the automotive industry.

Competitors

Competitors List | Key Matrix Details

AAPL | SNE | KYO | LPL |

Finance Highlights

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

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2007-06-25Annual2.70%1.10%0.622.534.10%8.80%8.80%1.472.662
2008-06-25Annual13.30%4.30%2.921.527.00%2.60%2.60%.901.630
2009-06-25Annual-0.10%-0.00%-0.016.623.30%-14.60%-14.60%.641.492
2010-06-25Annual15.90%5.40%2.616.126.30%1.20%4.70%.798.516
2011-06-25Annual15.70%5.90%3.119.926.20%3.60%3.60%.871.497
2012-06-25Annual10.20%3.60%2.221.227.10%7.60%7.60%.933.653
2013-06-25Annual-3.60%-1.40%-0.923.625.70%3.30%3.30%1.034.516
2014-06-25Annual24.30%8.10%6.225.627.20%4.40%4.40%.768.604
2015-06-25Annual15.20%5.90%5.133.529.50%5.60%5.60%.668.719
2016-06-25Annual10.10%3.60%3.433.830.30%5.20%5.20%.681.628

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual-34.21%0.00%-23.80%4.17%1.34%11.98%-14.37%-4.71%-4.19%
2008-06-25Annual392.59%290.91%369.02%-4.17%-20.82%-70.45%-70.45%-38.79%-4.83%
2009-06-25Annual-100.75%-100.00%-100.70%-23.09%-13.70%-661.54%-661.54%-28.86%-21.90%
2010-06-25Annual16k0.00%12,880.00%-2.99%12.88%108.22%132.19%24.49%4.88%
2011-06-25Annual-1.26%9.26%21.99%23.63%-0.38%200.00%-23.40%9.15%-3.68%
2012-06-25Annual-35.03%-38.98%-30.60%6.77%3.44%111.11%111.11%7.12%31.39%
2013-06-25Annual-135.29%-138.89%-139.46%11.15%-5.17%-56.58%-56.58%10.83%-20.98%
2014-06-25Annual775.00%678.57%828.81%8.74%5.84%33.33%33.33%-25.73%17.05%
2015-06-25Annual-37.45%-27.16%-18.36%30.64%8.46%27.27%27.27%-13.02%19.04%
2016-06-25Annual-33.55%-38.98%-32.69%0.91%2.71%-7.14%-7.14%1.95%-12.66%


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

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2007-06-25Annual3,551,144k2,339,938k1,500k313,963k313,963k66,449,k34.10%8.80%8.80%
2008-06-25Annual4,112,503k3,003,097k8,648k107,786k107,786k62,182,k27.00%2.60%2.60%
2009-06-25Annual2,891,022k2,216,406k6,939k-421,799k-422,551k58,766,k23.30%-14.60%-14.60%
2010-06-25Annual3,364,428k2,479,270k30,215k40,467k158,769k70,595,k26.30%1.20%4.70%
2011-06-25Annual3,772,345k2,784,995k0.0135,916k135,916k71,635,k26.20%3.60%3.60%
2012-06-25Annual4,364,078k3,179,932k0.0329,541k329,541k72,083,k27.10%7.60%7.60%
2013-06-25Annual4,297,842k3,193,722k15,300k142,407k142,407k69,736,k25.70%3.30%3.30%
2014-06-25Annual5,348,483k3,891,816k0.0234,579k234,692k69,889,k27.20%4.40%4.40%
2015-06-25Annual6,155,297k4,338,193k0.0342,989k342,680k70,870,k29.50%5.60%5.60%
2016-06-25Annual6,911,676k4,818,585k0.0362,451k361,734k72,532,k30.30%5.20%5.20%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual13.84%11.69%0.00%28.20%-3.31%0.44%1.34%11.98%-14.37%
2008-06-25Annual15.81%28.34%476.53%-65.67%-65.67%-6.42%-20.82%-70.45%-70.45%
2009-06-25Annual-29.70%-26.20%-19.76%-491.33%-492.03%-5.49%-13.70%-661.54%-661.54%
2010-06-25Annual16.38%11.86%335.44%109.59%137.57%20.13%12.88%108.22%132.19%
2011-06-25Annual12.12%12.33%-100.00%235.87%-14.39%1.47%-0.38%200.00%-23.40%
2012-06-25Annual15.69%14.18%0.00%142.46%142.46%0.63%3.44%111.11%111.11%
2013-06-25Annual-1.52%0.43%0.00%-56.79%-56.79%-3.26%-5.17%-56.58%-56.58%
2014-06-25Annual24.45%21.86%-100.00%64.72%64.80%0.22%5.84%33.33%33.33%
2015-06-25Annual15.08%11.47%0.00%46.21%46.01%1.40%8.46%27.27%27.27%
2016-06-25Annual12.29%11.07%0.00%5.67%5.56%2.35%2.71%-7.14%-7.14%


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

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2007-06-25Annual1,494,041k1,014,827k1,233,153k815,981k198,846k1.472.662
2008-06-25Annual1,339,846k1,487,079k1,439,081k906,952k580,127k.901.630
2009-06-25Annual973,825k1,518,528k1,510,531k743,530k774,998k.641.492
2010-06-25Annual1,134,892k1,421,323k1,673,979k863,451k557,872k.798.516
2011-06-25Annual1,423,658k1,634,837k2,108,155k1,047,581k587,256k.871.497
2012-06-25Annual1,529,611k1,639,853k2,116,245k1,381,900k257,953k.933.653
2013-06-25Annual1,644,871k1,590,814k2,089,052k1,077,514k513,300k1.034.516
2014-06-25Annual1,792,578k2,333,012k2,458,871k1,485,652k847,360k.768.604
2015-06-25Annual2,374,613k3,555,139k2,948,770k2,120,368k1,434,771k.668.719
2016-06-25Annual2,452,473k3,601,569k2,918,455k1,831,806k1,769,763k.681.628

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual7.49%1.76%8.22%13.92%29.04%-4.71%-4.19%
2008-06-25Annual-10.32%46.54%16.70%11.15%191.75%-38.79%-4.83%
2009-06-25Annual-27.32%2.11%4.96%-18.02%33.59%-28.86%-21.90%
2010-06-25Annual16.54%-6.40%10.82%16.13%-28.02%24.49%4.88%
2011-06-25Annual25.44%15.02%25.94%21.32%5.27%9.15%-3.68%
2012-06-25Annual7.44%0.31%0.38%31.91%-56.07%7.12%31.39%
2013-06-25Annual7.54%-2.99%-1.28%-22.03%98.99%10.83%-20.98%
2014-06-25Annual8.98%46.66%17.70%37.88%65.08%-25.73%17.05%
2015-06-25Annual32.47%52.38%19.92%42.72%69.32%-13.02%19.04%
2016-06-25Annual3.28%1.31%-1.03%-13.61%23.35%1.95%-12.66%


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

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2007-06-25Annual215,313k-174,794k40,519k-180,015k-222,749k
2008-06-25Annual316,809k-138,934k177,875k-142,485k-64,842k
2009-06-25Annual78,660k-79,850k-1,190k-67,012k375,986k
2010-06-25Annual240,439k-60,033k180,406k66,701k-222,260k
2011-06-25Annual331,750k-108,357k223,393k-434,500k-8,378k
2012-06-25Annual268,507k-112,536k155,971k-64,651k-147,646k
2013-06-25Annual42,136k-101,682k-59,546k-10,691k-203,411k
2014-06-25Annual592,140k-157,141k434,999k-612,052k136,604k
2015-06-25Annual552,603k-192,498k360,105k-738,466k305,186k
2016-06-25Annual446,528k-198,455k248,073k-425,876k-57,635k

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual-12.18%-3.43%-22.98%32.78%22.60%
2008-06-25Annual47.14%20.52%338.99%20.85%70.89%
2009-06-25Annual-75.17%42.53%-100.67%52.97%679.85%
2010-06-25Annual205.67%24.82%15,260.17%199.54%-159.11%
2011-06-25Annual37.98%-80.50%23.83%-751.41%96.23%
2012-06-25Annual-19.06%-3.86%-30.18%85.12%-1,662.31%
2013-06-25Annual-84.31%9.64%-138.18%83.46%-37.77%
2014-06-25Annual1,305.31%-54.54%830.53%-5,624.93%167.16%
2015-06-25Annual-6.68%-22.50%-17.22%-20.65%123.41%
2016-06-25Annual-19.20%-3.09%-31.11%42.33%-118.89%



Finance Detail

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

0: years2007-062008-062009-062010-062011-062012-062013-062014-062015-062016-06
1: Revenue3551144k4112503k2891022k3364428k3772345k4364078k4297842k5348483k6155297k6911676k
2: Cost of revenue2339938k3003097k2216406k2479270k2784995k3179932k3193722k3891816k4338193k4818585k
3: Gross profit1211206k1109406k674616k885158k987350k1184146k1104120k1456667k1817104k2093091k
4: Operating expenses824819k970905k1183890k799603k797299k883900k902869k1126940k1347510k1513064k
5: Research and development0000000000
6: Sales, General and administrative824819k970905k853327k774189k813809k884200k902869k1126940k1347510k1513064k
7: Restructuring, merger and acquisition0000000000
8: Other operating expenses00330563k25414k-16510k-300k0000
9: Operating income386387k138501k-509274k85555k190051k300246k201251k329727k469594k580027k
10: Interest Expense1500k8648k6939k30215k0015300k000
11: Other income (expense)-2682k-5369k-3483k-6263k-29831k-39093k-11681k-22332k-23313k-49519k
12: Income before taxes382205k124484k-519696k49077k160220k261153k174270k307395k446281k530508k
13: Provision for income taxes70186k17119k-97897k8610k24304k-68388k31729k72610k103269k168057k
14: Other income1944k421k0000-134k-206k-23k0
15: Net income from continuing operations313963k107786k-421799k40467k135916k329541k142407k234579k342989k362451k
16: Net income from discontinuing ops000123591k000000
17: Extraordinary items0000000000
18: Cumulative effect of accounting changes0000000000
19: Other00-752k-5289k000113k-309k-717k
20: Net income313963k107786k-422551k158769k135916k329541k142407k234692k342680k361734k
21: Preferred dividend0000000000
22: Net income available to common shareholders313963k107786k-422551k158769k135916k329541k142407k234692k342680k361734k
23: Earnings per share0000000000
24: Basic4.811.75-7.192.261.914.622.063.44.895.03
25: Diluted4.721.73-7.192.251.94.572.043.364.844.99
26: Weighted average shares outstanding0000000000
27: Basic65310k61472k58766k70350k70992k71297k68990k69073k70147k71866k
28: Diluted66449k62182k58766k70595k71635k72083k69736k69889k70870k72532k
29: EBITDA510867k285474k-365300k206946k313315k422471k317738k462055k638825k804037k
30: Total operating expenses824819k970905k1183890k799603k797299k883900k902869k1126940k1347510k1513064k


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

0: years2007-062008-062009-062010-062011-062012-062013-062014-062015-062016-06
1: Assets2508868k2826925k2492353k2556215k3058495k3169464k3235685k4125590k5929752k6054042k
2: Current assets1233153k1439081k1510531k1673979k2108155k2116245k2089052k2458871k2948770k2918455k
3: Cash106141k223109k590568k645570k921214k820370k464266k581312k649513k602300k
4: Cash and cash equivalents106141k223109k590568k645570k603892k617356k454258k581312k649513k602300k
5: Short-term investments0000317322k203014k10008k000
6: Receivables486557k574195k415837k517092k579272k582835k722711k894579k1024139k1122920k
7: Inventories453156k390638k333704k353123k423137k427597k549831k662128k693574k706084k
8: Deferred income taxes0000000000
9: Prepaid expenses0000000000
10: Other current assets187299k251139k170422k158194k184532k285443k352244k320852k581544k487151k
11: Non-current assets1275715k1387844k981822k882236k950340k1053219k1146633k1666719k2980982k3135587k
12: Property, plant and equipment591976k640042k518596k421949k470300k430234k425182k509856k552421k593290k
13: Gross property, plant and equipment1231385k1455103k1293529k1174311k1373688k1294571k1401020k1581642k1570958k1649190k
14: Accumulated Depreciation-639409k-815061k-774933k-752362k-903388k-864337k-975838k-1071786k-1018537k-1055900k
15: Equity and other investments0000000000
16: Goodwill403749k436447k81877k105922k119357k180811k234342k540952k1287180k1510279k
17: Intangible assets0000000182030k669667k476284k
18: Deferred income taxes00292568k247602k229941k308768k260749k170558k43706k140181k
19: Prepaid pension benefit0000000000
20: Other long-term assets279990k311355k88781k106763k130742k133406k226360k263323k428008k415553k
21: Liabilities and stockholders' equity2508868k2826925k2492353k2556215k3058495k3169464k3235685k4125590k5929752k6054042k
22: Liabilities1014827k1487079k1518528k1421323k1634837k1639853k1590814k2333012k3555139k3601569k
23: Current liabilities815981k906952k743530k863451k1047581k1381900k1077514k1485652k2120368k1831806k
24: Short-term debt18867k639k605k13935k2171k395636k34930k39361k5571k86641k
25: Capital leases0000000000
26: Accounts payable356763k343780k241420k382985k473486k505694k498055k697553k918910k867279k
27: Deferred income taxes0000000000
28: Taxes payable0022051k3941k12991k15279k13414k26544k76131k28773k
29: Accrued liabilities350164k540622k479454k462590k558933k465291k531115k722194k1119756k849113k
30: Deferred revenues0000000000
31: Other current liabilities90187k21911k00000000
32: Non-current liabilities198846k580127k774998k557872k587256k257953k513300k847360k1434771k1769763k
33: Long-term debt57661k427313k628854k363902k378401k0255043k519407k1080667k1316506k
34: Capital leases0000000000
35: Deferred taxes liabilities0000000000
36: Accrued liabilities0000000000
37: Deferred revenues0000000000
38: Pensions and other benefits00000168099k167687k186352k186662k216016k
39: Minority interest878k34k786k0000443k18213k0
40: Other long-term liabilities140307k152780k145358k193970k208855k89854k90570k141158k149229k237241k
41: Stockholders' equity1494041k1339846k973825k1134892k1423658k1529611k1644871k1792578k2374613k2452473k
42: Preferred stock0000000000
43: Common stock834k839k949k952k956k961k970k984k1007k1012k
44: Other Equity0000000000
45: Additional paid-in capital595853k620651k821286k892129k915433k943971k971748k1040254k1365257k1410765k
46: Retained earnings1454771k1566720k1141962k1285715k1418106k1726486k1827267k1979234k2229517k2490570k
47: Treasury stock-639608k-1039895k-1047570k-1047570k-1047570k-1171516k-1176914k-1267693k-1232602k-1372633k
48: Accumulated other comprehensive income82191k191531k57198k3666k136733k29709k21800k39799k11434k-77241k
49: Total assets2508868k2826925k2492353k2556215k3058495k3169464k3235685k4125590k5929752k6054042k
50: Total liabilities and stockholders' equity2508868k2826925k2492353k2556215k3058495k3169464k3235685k4125590k5929752k6054042k
51: Total cash106141k223109k590568k645570k921214k820370k464266k581312k649513k602300k
52: Total current assets1233153k1439081k1510531k1673979k2108155k2116245k2089052k2458871k2948770k2918455k
53: Net property, plant and equipment591976k640042k518596k421949k470300k430234k425182k509856k552421k593290k
54: Total non-current assets1275715k1387844k981822k882236k950340k1053219k1146633k1666719k2980982k3135587k
55: Total current liabilities815981k906952k743530k863451k1047581k1381900k1077514k1485652k2120368k1831806k
56: Total non-current liabilities198846k580127k774998k557872k587256k257953k513300k847360k1434771k1769763k
57: Total liabilities1014827k1487079k1518528k1421323k1634837k1639853k1590814k2333012k3555139k3601569k
58: Total stockholders' equity1494041k1339846k973825k1134892k1423658k1529611k1644871k1792578k2374613k2452473k


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

0: years2007-062008-062009-062010-062011-062012-062013-062014-062015-062016-06
1: Cash Flows From Operating Activities215313k316809k78660k240439k331750k268507k42136k592140k552603k446528k
2: Net income313963k107786k-422551k158769k135916k329541k142407k234579k342989k362451k
3: Depreciation & amortization127162k152342k147457k127654k123264k122225k128168k132328k169231k224010k
4: Amortization of debt discount/premium and issuance costs0000000000
5: Investment/asset impairment charges00330563k12292k000000
6: Investments losses (gains)0000000000
7: Deferred income taxes-45563k-10441k-102871k3954k-8926k-99306k16083k31040k32074k16466k
8: (Gain) Loss from discontinued operations0000000000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation009770k21320k17973k17370k17593k28588k34693k44461k
12: Accounts receivable0000000000
13: Inventory-92024k102451k27756k-40055k-25534k-36725k-72810k-67400k-89184k-15229k
14: Prepaid expenses0000000000
15: Accounts payable00-81444k180064k49707k62046k-23394k147994k273627k-44657k
16: Accrued liabilities002752k3242k10532k-7434k41281k149011k80822k43689k
17: Interest payable0000000000
18: Income taxes payable001503k-5410k5378k3596k-3026k12609k52579k5482k
19: Other working capital-94146k-53391k179604k-178067k2910k-143332k-180935k-77617k-344364k-186311k
20: Other non-cash items5921k18062k-13879k-43324k20530k20526k-23231k1008k136k-3834k
21: Cash Flows From Investing Activities-180015k-142485k-67012k66701k-434500k-64651k-10691k-612052k-738466k-425876k
22: Investments in property, plant, and equipment-174794k-138934k-79850k-60033k-108357k-112536k-101682k-157141k-192498k-198455k
23: Property, plant, and equipment reductions3038k1476k22882k2531k000000
24: Acquisitions, net-9229k-12724k0124370k-14800k-70535k-104735k-422953k-556475k-227231k
25: Purchases of investments0000-599495k-559283k-73761k-42400k5005k0
26: Sales/Maturities of investments0000282173k673591k267278k10008k00
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles0000000000
30: Sales of intangibles0000000000
31: Other investing activities970k7697k-10044k-167k5979k4112k2209k434k5502k-190k
32: Cash Flows From Financing Activities-222749k-64842k375986k-222260k-8378k-147646k-203411k136604k305186k-57635k
33: Debt issued00235935k5073k5066k0300m300m1068892k275m
34: Debt repayment00-38m-228890k-12461k0-460669k-31162k-676065k-42116k
35: Preferred stock issued0000000000
36: Preferred stock repaid0000000000
37: Warrant issued0000000000
38: Common stock issued25115k0189723k2584k000000
39: Common stock repurchased-128780k-400287k000-123946k-5398k-90779k0-140031k
40: Excess tax benefit from stock based compensation00126k-00002309k4031k4473k
41: Dividend paid-3262k-3056k-2065k-1027k-3525k-21161k-41449k-83053k-92600k-100651k
42: Dividend payable0000000000
43: Other financing activities-115822k338501k-9733k02542k-2539k4105k39289k928k-54310k
44: Effect of exchange rate changes1834k7486k-20174k-25669k69450k-42746k8868k10362k-51122k-10230k
45: Net change in cash-185617k116968k367460k59211k-41678k13464k-163098k127054k68201k-47213k
46: Cash at beginning of period291758k106141k223109k586359k645570k603892k617356k454258k581312k649513k
47: Cash at end of period106141k223109k590569k645570k603892k617356k454258k581312k649513k602300k
48: Free Cash Flow0000000000
49: Operating cash flow215313k316809k78660k240439k331750k268507k42136k592140k552603k446528k
50: Capital expenditure-174794k-138934k-79850k-60033k-108357k-112536k-101682k-157141k-192498k-198455k
51: Free cash flow40519k177875k-1190k180406k223393k155971k-59546k434999k360105k248073k
52: Net cash provided by operating activities215313k316809k78660k240439k331750k268507k42136k592140k552603k446528k
53: Net cash used for investing activities-180015k-142485k-67012k66701k-434500k-64651k-10691k-612052k-738466k-425876k
54: Net cash provided by (used for) financing activities-222749k-64842k375986k-222260k-8378k-147646k-203411k136604k305186k-57635k



Note