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NYSE / Sector: Healthcare / Sub-Sector: Diagnostics & Research / Stock Type: Classic Growth
# of Employee: 50,000 / Fiscal Year End: 2016-12-31 / Stock Type: Mid Growth
USD / Exchange Rate: 1 at 2016-11-22 /

Quintiles IMS Holdings Inc is an information and technology company. The Company offers professional services, information technology and partnering solutions to the pharmaceutical services, biotechnology and healthcare industries.

Competitors

Competitors List | Key Matrix Details

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

Finance Highlights

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

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2011-12-25Annual-8.80%2.00%0.7-8.226.40%5.60%5.60%-.295.873
2012-12-25Annual-19.40%5.40%2.2-11.525.30%3.60%3.60%-.352.873
2013-12-25Annual-45.70%6.00%2.4-5.226.20%4.40%4.40%-.179.762
2014-12-25Annual-49.60%6.40%2.7-5.427.10%6.50%6.50%-.176.686
2015-12-25Annual-70.40%6.90%3.2-4.527.90%6.80%6.70%-.126.661

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual-120.45%7.81%11.61%-2.89%2.95%4.62%3.08%1.68%-9.97%
2012-12-25Annual-120.45%170.00%210.37%-40.26%-4.17%-35.71%-35.71%-19.32%0.00%
2013-12-25Annual-135.57%11.11%6.33%54.77%3.56%22.22%22.22%49.15%-12.71%
2014-12-25Annual-8.53%6.67%11.61%-2.89%3.44%47.73%47.73%1.68%-9.97%
2015-12-25Annual-41.94%7.81%18.74%16.38%2.95%4.62%3.08%28.41%-3.64%


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

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2011-12-25Annual4,327,748k3,185,787k109,065k240,327k241,772k117,936,k26.40%5.60%5.60%
2012-12-25Annual4,865,513k3,632,582k134,371k176,631k177,546k117,796,k25.30%3.60%3.60%
2013-12-25Annual5,099,545k3,762,631k123,508k226,027k226,591k127,862,k26.20%4.40%4.40%
2014-12-25Annual5,459,998k3,978,282k100,589k356,501k356,383k131,083,k27.10%6.50%6.50%
2015-12-25Annual5,737,619k4,136,786k101,792k388,304k387,205k125,630,k27.90%6.80%6.70%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual5.08%3.98%-8.08%8.92%8.65%-0.12%2.95%4.62%3.08%
2012-12-25Annual12.43%14.02%23.20%-26.50%-26.56%-0.12%-4.17%-35.71%-35.71%
2013-12-25Annual4.81%3.58%-8.08%27.97%27.62%8.55%3.56%22.22%22.22%
2014-12-25Annual7.07%5.73%-18.56%57.72%57.28%2.52%3.44%47.73%47.73%
2015-12-25Annual5.08%3.98%1.20%8.92%8.65%-4.16%2.95%4.62%3.08%


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

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2011-12-25Annual-970,384k3,293,301k1,365,478k1,192,133k2,101,168k-.295.873
2012-12-25Annual-1,359,523k3,858,676k1,509,994k1,317,964k2,540,712k-.352.873
2013-12-25Annual-667,413k3,734,210k1,945,688k1,482,247k2,251,963k-.179.762
2014-12-25Annual-704,061k4,009,893k2,146,083k1,471,900k2,537,993k-.176.686
2015-12-25Annual-564,217k4,490,533k2,411,985k1,594,176k2,896,357k-.126.661

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual-5.49%7.38%10.58%8.31%12.70%1.68%-9.97%
2012-12-25Annual-40.10%17.17%10.58%10.56%20.92%-19.32%0.00%
2013-12-25Annual50.91%-3.23%28.85%12.46%-11.36%49.15%-12.71%
2014-12-25Annual-5.49%7.38%10.30%-0.70%12.70%1.68%-9.97%
2015-12-25Annual19.86%11.99%12.39%8.31%14.12%28.41%-3.64%


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

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2011-12-25Annual160,953k-75,679k85,274k-224,838k-59,309k
2012-12-25Annual335,701k-71,336k264,365k-132,233k-146,873k
2013-12-25Annual397,370k-92,346k305,024k-240,175k70,957k
2014-12-25Annual431,754k-82,650k349,104k-173,114k-130,344k
2015-12-25Annual475,691k-78,391k397,300k-66,955k-249,246k

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual10.18%5.15%14.45%27.92%-147.64%
2012-12-25Annual108.57%5.74%210.02%41.19%-147.64%
2013-12-25Annual18.37%-29.45%15.38%-81.63%148.31%
2014-12-25Annual8.65%10.50%14.45%27.92%-283.69%
2015-12-25Annual10.18%5.15%13.81%61.32%-91.22%



Finance Detail

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

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Revenue00003924020k4327748k4865513k5099545k5459998k5737619k
2: Cost of revenue00002804837k3185787k3632582k3762631k3978282k4136786k
3: Gross profit00001119183k1141961k1232931k1336914k1481716k1600833k
4: Operating expenses0000724178k796710k836496k874581k891326k954221k
5: Research and development00000548784k0604663k00
6: Sales, General and administrative0000698406k213515k817755k255847k882338k920985k
7: Restructuring, merger and acquisition000022928k22116k18741k14071k8988k30752k
8: Other operating expenses00002844k12295k0002484k
9: Operating income0000395005k345251k396435k462333k590390k646612k
10: Interest Expense0000141430k109065k134371k123508k100589k101792k
11: Other income (expense)0000-11848k-51511k5364k-15709k12388k-5825k
12: Income before taxes0000241727k184675k267428k323116k502189k538995k
13: Provision for income taxes000077582k15105k93364k95965k150056k158989k
14: Other income00001110k70757k2567k-1124k4368k8298k
15: Net income from continuing operations0000165255k240327k176631k226027k356501k388304k
16: Net income from discontinuing ops0000000000
17: Extraordinary items0000000000
18: Cumulative effect of accounting changes0000000000
19: Other0000-4659k1445k915k564k-118k-1099k
20: Net income0000160596k241772k177546k226591k356383k387205k
21: Preferred dividend0000000000
22: Net income available to common shareholders0000160596k241772k177546k226591k356383k387205k
23: Earnings per share0000000000
24: Basic00001.382.081.531.832.783.15
25: Diluted00001.362.051.511.772.723.08
26: Weighted average shares outstanding0000000000
27: Basic0000116418k116232k115710k124147k127994k123038k
28: Diluted0000118m117936k117796k127862k131083k125630k
29: EBITDA0000476351k385744k500087k554128k723791k768529k
30: Total operating expenses0000724178k796710k836496k874581k891326k954221k


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

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Assets000002322917k2499153k3066797k3305832k3926316k
2: Current assets000001365478k1509994k1945688k2146083k2411985k
3: Cash00000516299k567728k778143k867358k977151k
4: Cash and cash equivalents00000516299k567728k778143k867358k977151k
5: Short-term investments0000000000
6: Receivables00000297920k346732k407263k444941k553652k
7: Inventories0000000000
8: Deferred income taxes0000046708k69038k92115k118515k100978k
9: Prepaid expenses0000031328k33354k42801k44628k50624k
10: Other current assets00000473223k493142k625366k670641k729580k
11: Non-current assets00000957439k989159k1121109k1159749k1514331k
12: Property, plant and equipment00000185772k193999k199578k190297k188393k
13: Gross property, plant and equipment00000408376k451465k481126k496225k510712k
14: Accumulated Depreciation00000-222604k-257466k-281548k-305928k-322319k
15: Equity and other investments0000033888k55099k63276k66011k85293k
16: Goodwill00000278041k302429k409626k464434k719740k
17: Intangible assets00000269413k272813k298054k280243k368106k
18: Deferred income taxes0000078177k37313k32864k35972k42684k
19: Prepaid pension benefit0000000000
20: Other long-term assets00000112148k127506k117711k122792k110115k
21: Liabilities and stockholders' equity000002322917k2499153k3066797k3305832k3926316k
22: Liabilities000003293301k3858676k3734210k4009893k4490533k
23: Current liabilities000001192133k1317964k1482247k1471900k1594176k
24: Short-term debt0000000000
25: Capital leases0000020147k55710k10433k826k48513k
26: Accounts payable0000070028k84712k100616k108743k145484k
27: Deferred income taxes0000000000
28: Taxes payable0000047039k9639k35778k55694k35173k
29: Accrued liabilities00000616890k667086k761189k733644k760757k
30: Deferred revenues00000398471k456587k538585k543305k584646k
31: Other current liabilities0000039558k44230k35646k29688k19603k
32: Non-current liabilities000002101168k2540712k2251963k2537993k2896357k
33: Long-term debt0000000000
34: Capital leases0000000000
35: Deferred taxes liabilities000000037541k61797k65702k
36: Accrued liabilities0000000000
37: Deferred revenues0000000000
38: Pensions and other benefits0000000000
39: Minority interest00000788k479k-72k49k228536k
40: Other long-term liabilities000002100380k2540233k2214494k2476147k2602119k
41: Stockholders' equity00000-970384k-1359523k-667413k-704061k-564217k
42: Preferred stock0000000000
43: Common stock000001160k4554k478144k143828k8784k
44: Other Equity0000000000
45: Additional paid-in capital0000000000
46: Retained earnings00000-994415k-1371772k-1145181k-788798k-461635k
47: Treasury stock0000000000
48: Accumulated other comprehensive income0000022871k7695k-376k-59091k-111366k
49: Total assets000002322917k2499153k3066797k3305832k3926316k
50: Total liabilities and stockholders' equity000002322917k2499153k3066797k3305832k3926316k
51: Total cash00000516299k567728k778143k867358k977151k
52: Total current assets000001365478k1509994k1945688k2146083k2411985k
53: Net property, plant and equipment00000185772k193999k199578k190297k188393k
54: Total non-current assets00000957439k989159k1121109k1159749k1514331k
55: Total current liabilities000001192133k1317964k1482247k1471900k1594176k
56: Total non-current liabilities000002101168k2540712k2251963k2537993k2896357k
57: Total liabilities000003293301k3858676k3734210k4009893k4490533k
58: Total stockholders' equity00000-970384k-1359523k-667413k-704061k-564217k


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

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Cash Flows From Operating Activities0000378160k160953k335701k397370k431754k475691k
2: Net income0000165255k240327k176631k226027k356501k388304k
3: Depreciation & amortization000093194k92004k98288k107504k121013k127742k
4: Amortization of debt discount/premium and issuance costs00009589k30016k9237k21825k6688k17051k
5: Investment/asset impairment charges0000012150k0002484k
6: Investments losses (gains)0000589k070k001012k
7: Deferred income taxes0000000000
8: (Gain) Loss from discontinued operations0000000000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation000017329k14130k25926k22826k30001k37758k
12: Accounts receivable0000000000
13: Inventory0000000000
14: Prepaid expenses0000-11541k-21918k-27013k-18759k-40832k14436k
15: Accounts payable0000000000
16: Accrued liabilities0000000000
17: Interest payable0000000000
18: Income taxes payable0000-9158k40162k-13120k51318k7855k4430k
19: Other working capital0000123999k-100791k52592k27218k-12883k-87831k
20: Other non-cash items0000-11096k-145127k13090k-40589k-36589k-29695k
21: Cash Flows From Investing Activities0000-141434k-224838k-132233k-240175k-173114k-66955k
22: Investments in property, plant, and equipment0000-80236k-75679k-71336k-92346k-82650k-78391k
23: Property, plant, and equipment reductions00002554k2976k2729k2021k1611k2491k
24: Acquisitions, net00000-117975k-43197k-142635k-92201k31725k
25: Purchases of investments0000-8410k-21054k-17011k0-4472k-12350k
26: Sales/Maturities of investments000021695k070k05861k0
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles0000000000
30: Sales of intangibles0000000000
31: Other investing activities0000-77037k-13106k-3488k-7215k-1263k-10430k
32: Cash Flows From Financing Activities0000-153081k-59309k-146873k70957k-130344k-249246k
33: Debt issued000018847k1980m2441017k2060755k275m2248500k
34: Debt repayment0000-97247k-1719879k-2000879k-2448412k-32769k-2061076k
35: Preferred stock issued0000000000
36: Preferred stock repaid0000000000
37: Warrant issued0000000000
38: Common stock issued000067k03466k525m00
39: Common stock repurchased0000-9336k-14324k-13363k-57083k-415131k-515010k
40: Excess tax benefit from stock based compensation0000283k41k465k16204k20303k39071k
41: Dividend paid0000-67493k-288322k-567851k000
42: Dividend payable0000000000
43: Other financing activities00001798k-16825k-9728k-25507k22253k39269k
44: Effect of exchange rate changes0000-2804k-7122k-5166k-17737k-39081k-49697k
45: Net change in cash000080841k-130316k51429k210415k89215k109793k
46: Cash at beginning of period0000565774k646615k516299k567728k778143k867358k
47: Cash at end of period0000646615k516299k567728k778143k867358k977151k
48: Free Cash Flow0000000000
49: Operating cash flow0000378160k160953k335701k397370k431754k475691k
50: Capital expenditure0000-80236k-75679k-71336k-92346k-82650k-78391k
51: Free cash flow0000297924k85274k264365k305024k349104k397300k
52: Net cash provided by operating activities0000378160k160953k335701k397370k431754k475691k
53: Net cash used for investing activities0000-141434k-224838k-132233k-240175k-173114k-66955k
54: Net cash provided by (used for) financing activities0000-153081k-59309k-146873k70957k-130344k-249246k



Note