Company Quick10K Filing
CommScope
10-Q 2010-09-30 Filed 2010-10-27
10-Q 2010-06-30 Filed 2010-07-28
10-Q 2010-03-31 Filed 2010-04-29
10-K 2009-12-31 Filed 2010-02-22

CommScope Financials

CTV Metrics, Comps, Filings

Quarterly | Annual

Valuation ($)

Market Cap, Enterprise Value

Balance Sheet ($)

Assets, Equity

Income Statement ($ Quarterly)

Revenue, G Profit, Net Income

Cash Flow ($ Quarterly)

Ops, Inv, Fin

Comps ($ TTM) Market Cap Gross Margin EV/EBITDA Ret on Assets Assets Liabilities Revenue G Profit Net Income EBITDA EV
024 Pharma (EEIG)
Banner Energy Services Corp. (BANM)
AVIENT CORP (AVNT)
11 Good Energy (ELVN)
COWEN INC. (COWNL)
1347 Capital Corp (TFSC)
CAI International, Inc. (CAI-PA)
Avianca Holdings S.A. (AVHOQ)
Gamco Investors (GBL) 505,640,520,000 0% 4.3 45% 179,495,000,000 146,777,000,000 307,065,000,000 0 80,872,000,000 102,868,000,000 443,647,520,000
BANK BRADESCO (BBDO)
BIO-RAD LABORATORIES, INC. (BIO-B)
Fortress Transportation & Infrastructure Investors LLC (FTAI-PC)
1PM Industries (OPMZ)
1st Century Bancshares (FCTY)
1st Financial Services Corp (FFIS)
Intevac (IVAC) 106,629,300,000 33% -678.8 -3% 124,284,000,000 35,098,000,000 73,440,000,000 24,374,000,000 -4,054,000,000 -133,000,000 90,277,299,000
1st United Bancorp (FUBC)
CIT GROUP INC (CIT-PB)
2-Track Global (TTG)
ALABAMA POWER CO (APRCP)

Balance Sheet ($)2010-06-302010-09-30
Cash577,331,000,000671,292,000,000
Accounts Receivable672,115,000,000651,345,000,000
Inventory356,906,000,000378,081,000,000
PP&E364,518,000,000355,232,000,000
Assets3,851,036,000,0003,909,359,000,000
Accounts Payable246,228,000,000234,821,000,000
Long-Term Debt1,351,247,000,0001,344,675,000,000
Liabilities2,288,218,000,0002,237,627,000,000
Stockholders' Equity1,562,818,000,0001,671,732,000,000
Income Statement ($)2010-06-302010-09-30
Revenue838,134,000,000821,867,000,000
Cost of Revenue585,937,000,000572,878,000,000
Gross Profit252,197,000,000248,989,000,000
R&D30,046,000,00029,572,000,000
SG&A116,454,000,000102,827,000,000
Tax14,763,000,00019,676,000,000
Net Income44,243,000,00050,554,000,000
Cash Flow ($)2010-06-302010-09-30
Cash Operating91,936,000,000
Cash Investing-31,821,000,000
Cash Financing-7,345,000,000