OPERATING ACTIVITIES

Related by string. Operating Activities * operating : CASH FLOWS FROM OPERATING / activi ties : Unlawful Activities Prevention * OPERATING ACTIVITIES Net . FROM OPERATING ACTIVITIES Net . USED IN OPERATING ACTIVITIES . PROVIDED BY OPERATING ACTIVITIES . FROM OPERATING ACTIVITIES . IN OPERATING ACTIVITIES . - OPERATING ACTIVITIES Net [001] . - OPERATING ACTIVITIES Net [002] *

Related by context. All words. (Click for frequent words.) 84 CASH PROVIDED BY 84 NET CASH PROVIDED BY 83 -Bernsteins 83 PROVIDED BY OPERATING ACTIVITIES 82 BY USED IN 82 FROM OPERATIONS 82 USED IN OPERATING ACTIVITIES 82 PROVIDED BY USED IN 81 - CASH FLOWS [009] 80 PROVIDED BY FINANCING ACTIVITIES 80 - CASH FLOWS FROM [002] 80 CONTINUING OPERATIONS 80 END OF PERIOD 80 FROM OPERATING ACTIVITIES Net 79 USED IN INVESTING ACTIVITIES 79 LOSS FROM CONTINUING OPERATIONS 79 - CASH FLOWS FROM [003] 79 INCOME LOSS 79 - CASH FLOWS [007] 79 CASH BEGINNING OF PERIOD 79 FLOWS PROVIDED BY 79 LOSS FROM OPERATIONS 78 TO NET CASH 78 FROM USED IN 78 EFFECT OF EXCHANGE RATE 78 DECREASE IN CASH AND 78 -INSERM U# 78 - CASH FLOWS FROM [001] 78 RETAINED EARNINGS 78 OPERATIONS BEFORE 78 OF CONTINUING OPERATIONS 78 IN INVESTING ACTIVITIES 78 - CASH FLOWS [012] 78 INVESTMENT ACTIVITIES 78 INVESTING ACTIVITIES Acquisition 78 INCOME TAX PROVISION BENEFIT 77 AMORTIZATION 77 - CASH FLOWS [014] 77 INCOME LOSS FROM OPERATIONS 77 ACCUMULATED OTHER COMPREHENSIVE LOSS 77 FROM CONTINUING OPERATIONS 77 NET INCOME TO ADJUSTED 77 INTANGIBLE ASSETS 77 INTEREST AND 77 INCOME TAX BENEFIT 77 NET CASH USED IN 77 CAPITAL EXPENDITURES 77 - CASH FLOWS FROM [004] 77 FREE CASH FLOW 77 INVESTING ACTIVITIES Purchase 77 NET LOSS INCOME 77 LOSS FROM DISCONTINUED OPERATIONS 77 - TOTAL [019] 77 FROM FINANCING ACTIVITIES 77 INCOME FROM OPERATIONS 77 - - [016] 77 INCOME LOSS FROM DISCONTINUED 77 OTHER INCOME AND 77 -homing instinct 77 AND INCOME TAXES 77 #,#,# #,#,# -By Innocent Anaba 77 INVESTING ACTIVITIES 77 OPERATING LOSS 77 EARNINGS BEFORE INTEREST TAXES 77 STATEMENTS OF 76 SUBSIDIARIES RESULTS 76 CASH AND EQUIVALENTS 76 DEPRECIATION AND AMORTIZATION 76 -DD2 76 DISCONTINUED OPERATIONS 76 #,#,# #,#,# - [013] 76 ALON HOLDINGS BLUE SQUARE 76 FINANCING ACTIVITIES 76 OF OPERATIONS IN THOUSANDS 76 INCOME TAX PROVISION 76 INCOME TAX EXPENSE 76 - CASH FLOWS [008] 76 IN THOUSANDS OF 76 SUBSIDIARIES RECONCILIATION OF 76 NET ASSETS RESULTING 76 -Jheri 76 NET SALES AND 76 CASH FLOW FROM OPERATING 76 FROM FINANCING ACTIVITIES Net 76 CASH EQUIVALENTS AT 76 OTHER INCOME 76 -ranolazine extended release 76 RECONCILIATION OF NET CASH 76 From Investing Activities 76 SEVERANCE PAY FUND 76 SUBSIDIARIES CONDENSED CONSOLIDATED BALANCE 76 AND CASH EQUIVALENTS AT 76 INCREASE DECREASE IN 76 NET LOSS TO 76 AND SUBSIDIARY CONDENSED CONSOLIDATED 76 CONTINUING OPERATIONS BEFORE INCOME 76 PROVISION BENEFIT FOR 76 FROM OPERATING ACTIVITIES 76 OF PERIOD 76 INCOME FOR 76 USED IN FINANCING ACTIVITIES 76 BY OPERATING ACTIVITIES 76 BEFORE INCOME TAXES 76 MINORITY INTEREST IN 76 BUSINESS SEGMENT 76 SUPPLEMENTAL INFORMATION 76 EFFECT OF FOREIGN CURRENCY 76 OF COMMON SHARES 76 EARNINGS FROM OPERATIONS 76 INCOME BEFORE 76 BALANCE OF CASH 76 PROFIT LOSS 76 BEGINNING OF PERIOD 75 CASH FLOWS USED IN 75 CASH FLOW TO 75 EFFECT OF EXCHANGE RATES 75 CAPITAL ASSETS 75 AND RECONCILIATION OF 75 OTHER INCOME EXPENSE NET 75 CASH FLOWS FROM OPERATING 75 OF CHANGES IN 75 ACTIVITIES Purchases 75 COMMON SHAREHOLDERS 75 - TOTAL [013] 75 - Cash flows [003] 75 ACTIVITIES Net 75 ON CASH AND 75 SHARES OUTSTANDING DILUTED 75 LOSS BEFORE 75 OF INCOME FOR 75 THE PERIOD 75 IN THOUSANDS 75 AND MINORITY INTEREST 75 OF NET INCOME 75 LOSS INCOME 75 INTEREST EXPENSE 75 TO ADJUSTED EBITDA 75 CHANGES ON CASH AND 75 CHANGES ON CASH 75 OPERATING ACTIVITIES TO 75 RECONCILIATION OF 75 EXCHANGE RATE CHANGES ON 75 DECREASE IN CASH 75 GAAP NET LOSS 75 INCOME NET 75 FROM INVESTING ACTIVITIES Purchases 75 EQUIVALENTS END OF PERIOD 75 -€ #.#bn 75 - CASH FLOWS [006] 75 NET INCOME LOSS PER 75 UNITHOLDERS EQUITY 75 INCOME TAXES #,#,# 75 OTHER CURRENT ASSETS 75 #,# -ANDREW J. FERRARO 75 ENDED MARCH 75 TO NET INCOME 75 - TOTAL ASSETS [003] 75 OTHER EXPENSE 75 ITS SUBSIDIARIES RECONCILIATION OF 75 NET ASSETS 75 INVESTING ACTIVITIES Purchases 75 -stubbornly adhering 75 ADJUSTED EBITDA 75 - NET INCOME [024] 75 - CASH AND CASH [002] 75 - CASH FLOWS [013] 75 FROM FINANCING ACTIVITIES Proceeds 75 IN OPERATING ACTIVITIES 75 OF NON GAAP 75 FROM INVESTING ACTIVITIES 75 NET EARNINGS 75 EQUIVALENTS 75 NET INCREASE DECREASE IN 75 #,#,# #,#,# - [017] 75 LOSS ON 75 OTHER EXPENSE NET 75 RECONCILIATION Unaudited 74 NET EARNINGS LOSS 74 COMPREHENSIVE INCOME 74 - NetTransy 74 FINANCING ACTIVITIES Repayment 74 COMPREHENSIVE LOSS 74 From Financing Activities 74 - Net [014] 74 ENDED ENDED 74 OTHER INCOME NET 74 OPERATING RESULTS BY 74 CONSOLIDATED AND 74 TOTAL NET 74 CONDENSED CONSOLIDATED 74 FROM INVESTING ACTIVITIES Purchase 74 DEFERRED TAXES 74 FROM CONTINUING OPERATIONS BEFORE 74 -Mike DeArmond Posted 74 INCOME FROM DISCONTINUED OPERATIONS 74 Cash Flows From 74 - CASH AND CASH [004] 74 NET DEBT 74 EQUITY IN 74 BALANCE SHEETS AS 74 PRO FORMA NET INCOME 74 #,#,#,#,# [007] 74 - INCOME LOEducation HMIe 74 - - [104] 74 INTANGIBLE ASSETS NET 74 GAAP NET INCOME 74 TO ADJUSTED 74 INCOME BEFORE PROVISION FOR 74 -Ajkai Timfoldgyar plant 74 SUPPLEMENTAL DATA 74 -Robin Preiss Glasser 74 GREIF INC. AND SUBSIDIARY 74 FINANCIAL MEASURES AND RECONCILIATIONS 74 - TOTAL [014] 74 INCOME TAX BENEFIT PROVISION 74 NET CASH FLOW FROM 74 GAIN ON SALE 74 PRELIMINARY AND 74 - - Net [043] 74 - Cash Flows [002] 74 PRO FORMA 74 LOSS TO ADJUSTED 74 RECONCILIATIONS Unaudited 74 LIABILITIES AND EQUITY 74 EARNINGS LOSS 74 -ABGL 74 -Jeffrey Sonn 74 DISCONTINUED OPERATION 74 INCOME BEFORE TAXES 74 CONSOLIDATED SUBSIDIARIES -Phil Barera 74 - TOTAL [007] 74 CUMULATIVE EFFECT OF 74 CASH AND CASH 74 RESTRICTED CASH 74 #,#,# - [001] 74 INC. RECONCILIATION OF 74 BALANCE SHEETS unaudited 74 ACCOUNTS RECEIVABLE NET 74 OF COMMON SHARES OUTSTANDING 74 AND EQUIPMENT NET 74 EXPENSE NET 74 ISRAEL LTD 74 AND SUBSIDIARIES RECONCILIATION OF 74 AMORTIZATION AND 74 CASH FLOWS PROVIDED BY 74 OF OPERATIONS FOR 74 INCOME TAX EXPENSE BENEFIT 74 -Radiation Effects Research 74 SPX CORPORATION AND 74 AND EQUITY 74 SUPPLEMENTAL DISCLOSURE OF CASH 74 INCOME LOSS FROM CONTINUING 74 IN CASH AND 74 - CASH AND CASH [001] 74 IN SHAREHOLDERS EQUITY 74 COMPREHENSIVE INCOME LOSS 74 OPERATIONS BEFORE INCOME TAXES 74 OPERATING ACTIVITIES Net 74 OPERATING LOSS INCOME 74 STEWART ENTERPRISES INC. AND 74 OPERATING INFORMATION 74 SUBSIDIARIES Condensed Consolidated Statements 74 NET INCOME FROM CONTINUING 73 CONDENSED 73 MINORITY INTERESTS 73 PREPAID EXPENSES AND OTHER 73 Financing Activities Payments 73 DEFERRED TAX ASSET 73 NET DECREASE INCREASE IN 73 NET INCOME PER COMMON 73 SUBSIDIARY Consolidated Statements 73 - Cash [018] 73 INC. AND SUBSIDIARIES Reconciliation 73 IN THOUSANDS EXCEPT PER 73 LIABILITIES #,#,# #,#,# [002] 73 NET PROPERTY PLANT 73 - - [080] 73 USED IN 73 CONTROLLING INTEREST 73 SELLING GENERAL AND ADMINISTRATIVE 73 = Liabilities [013] 73 SUBSIDIARIES Consolidated Statements 73 NET INCOME TO 73 INTEREST AND OTHER 73 - Net [028] 73 OTHER ASSETS NET 73 LOSS BEFORE INCOME TAXES 73 TO ADJUSTED NET INCOME 73 - TOTAL SHAREHOLDERS EQUITYJudge Kenneth Hurewitz 73 TOTAL CURRENT ASSETS 73 INDUSTRY SEGMENTED INFORMATION 73 -Shu Qi 73 NET INCOME ATTRIBUTABLE TO 73 AS REPORTED TO 73 DATA UNAUDITED 73 PREFERRED STOCK DIVIDENDS 73 FINANCING ACTIVITIES Net 73 ENDED DECEMBER 73 OF INCOME AND OTHER 73 NCI BUILDING SYSTEMS INC. 73 PINNACLE FINANCIAL PARTNERS INC. 73 OTHER EXPENSE INCOME 73 - unaudTotalBlock 73 IMPAIRMENT OF 73 BASIC AND DILUTED LOSS 73 AND ADJUSTED 73 AND DILUTED 73 TOTAL INTEREST EXPENSE 73 MARKETABLE SECURITIES 73 - TOTALCornel Chin Sue 73 CASH AND EQUIVALENTS AT 73 SHEETS UNAUDITED 73 NET INCREASE IN 73 AND MARKETABLE SECURITIES 73 unaudited audited 73 NON GAAP NET INCOME 73 NON CURRENT 73 REVENUES AND 73 NET INCOME LOSS 73 - Net [004] 73 COMMON SHARES OUTSTANDING 73 COST OF GOODS SOLD 73 - Net [013] 73 BEFORE TAXES 73 - Net [021] 73 OTHER COMPREHENSIVE INCOME LOSS 73 - - Net [031] 73 - OPERATING [003] 73 - Cash [014] 73 BALANCE SHEETS UNAUDITED 73 TELETECH HOLDINGS INC. AND 73 FEDERAL FUNDS SOLD 73 SUBSIDIARIES Reconciliation 73 - Total Assets [014] 73 FROM DISCONTINUED OPERATIONS 73 EBITDA RECONCILIATION 73 OPERATING EXPENSE 73 - Net [029] 73 DISCONTINUED OPERATIONS NET 73 -#,# -#,# [010] 73 GAAP MEASURES 73 NONINTEREST EXPENSE 73 RECONCILIATION OF EBITDA 73 STATEMENT OF CHANGES IN 73 ACCUMULATED OTHER COMPREHENSIVE INCOME 73 AT BEGINNING OF PERIOD 73 -WisdomTree ETFs 73 REPORTED GAAP 73 FUTURE INCOME TAXES 73 INTEREST INCOME 73 OF FINANCIAL CONDITION 73 - NET LOSS [001] 73 INCOME AFTER PROVISION FOR 73 EXCEPT PER SHARE AMOUNTS 73 AVERAGE NUMBER OF 73 AVERAGE BALANCE SHEET 73 FOR QUARTER 73 - Cash Flows [012] 73 AND SUPPLEMENTAL INFORMATION 73 SUPPLEMENTAL NON GAAP 73 REPORTED NET INCOME 73 AMOUNTS IN THOUSANDS 73 - CASH AND [004] 73 - - Net [037] 73 OF CONSOLIDATED 73 SUBSIDIARIES 73 THREE MONTHS ENDED MARCH 73 - NET INCOME [027] 73 COMMON STOCKHOLDERS 73 SUPPLEMENTAL INFORMATION RECONCILIATION OF 73 AND THREE MONTH 73 EXCLUDING SPECIAL ITEMS 73 CV AND SUBSIDIARIES 73 UNITED STATES STEEL CORPORATION 73 AND CASH FLOW 73 CASH FLOW FROM INVESTING 73 AND DISCONTINUED OPERATIONS 73 DILUTED #,#,# #,#,# [001] 73 COMPANIES CONSOLIDATED STATEMENTS OF 73 SUBSIDIARIES SEGMENT 73 SPECIAL ITEMS 73 AND SUBSIDIARIES SELECTED FINANCIAL 73 Unaudited Audited 73 - Net [026] 73 - Cash flows [009] 73 #,# -SPIN BOLDAK Afghanistan 73 CASH FLOWS FROM USED 73 - - Net [051] 73 GAIN LOSS 73 REVENUE AND 73 - Total Assets [009] 73 CONSOLIDATED SUBSIDIARIES CONDENSED CONSOLIDATED 73 INCREASE IN CASH 73 INCOME PER SHARE 73 SUBSIDIARIES UNAUDITED CONDENSED CONSOLIDATED 72 FLOWS FOR 72 CONSOLIDATED STATEMENT OF 72 - NeDEFENDERS 72 - Income [007] 72 #,#,#,#,# [010] 72 CURRENT PORTION OF 72 - Net [011] 72 INC. CONDENSED 72 - Cash [009] 72 #,#,# #,#,# - [004] 72 BERKSHIRE HILLS BANCORP INC. 72 DANIER LEATHER INC. CONSOLIDATED 72 -Sector Index HGX 72 - CASH FLOWS [010] 72 ASSETS NET 72 NET LOSS PER SHARE 72 GROSS PROFIT #,#,# #,#,# [001] 72 ESCO TECHNOLOGIES INC. AND 72 - Total assets [005] 72 MONTHS ENDED 72 CHANGE IN CASH AND 72 RECONCILIATION OF OPERATING INCOME 72 - OPERATING [007] 72 SUBSIDIARY CONSOLIDATED STATEMENTS OF 72 SUBSIDIARIES STATEMENTS OF 72 AND NON GAAP 72 INFORMATION Unaudited 72 ACCRUED 72 AND SUBSIDIARIES CONDENSED STATEMENTS 72 - Net [002] 72 REVENUE FROM 72 - Total Assets [005] 72 PERIODS ENDED SEPTEMBER 72 GSI COMMERCE INC. AND 72 BALANCE SHEETS IN THOUSANDS 72 THE THREE MONTHS 72 NET INTEREST 72 RESEARCH AND DEVELOPMENT 72 BALANCE SHEETS ASSETS 72 GENERAL AND ADMINISTRATIVE 72 TO COMMON SHAREHOLDERS 72 #,# -Abdullah Hamoud 72 LOSS INCOME FROM DISCONTINUED 72 SUBSIDIARIES SUPPLEMENTAL 72 SHEETS Dollars 72 - - Net [038] 72 CHANGES IN EQUITY 72 - Cash [015] 72 SHARE BASIC AND DILUTED 72 LOSS ATTRIBUTABLE TO 72 OF FINANCIAL POSITION 72 ON CASH 72 CASH EQUIVALENTS 72 TO NET LOSS 72 DEPRECIATION AMORTIZATION AND 72 DILUTED INCOME 72 ACCRUED EXPENSES AND OTHER 72 PARK OHIO HOLDINGS 72 CORNING INCORPORATED AND SUBSIDIARY 72 SELECTED FINANCIAL AND 72 AND SUBSIDIARIES 72 SHARE DILUTED 72 CASH FLOW 72 Audited Audited 72 THE THREE MONTH 72 -Gunnlaugsson 72 OPERATING RESULTS 72 - - Net [058] 72 - - [086] 72 INCOME TAXES #,#,# #,#,# [001] 72 OPERATING PROFIT 72 OTHER ASSETS 72 -raindrops pelted 72 THREE MONTH AND 72 - NET INCOME [007] 72 - Cash [008] 72 INVESTMENT SECURITIES 72 - - [093] 72 INVESTING ACTIVITIES Capital 72 -Ocula 72 NET LOSS 72 = LIABILITIES AND STOCKHOLWikiPedia 72 WEIGHTED AVERAGE SHARES 72 EQUIPMENT net 72 COFFEE HOLDING CO. INC. 72 #,#,# #,#,# -Yacht Collection IYC 72 NET INCOME LOSS FROM 72 TO COMMON STOCKHOLDERS 72 CASH FLOWS FROM INVESTING 72 - TOTAL LIABILITIES AND [013] 72 PROVISION FOR INCOME TAXES 72 STATEMENT OF OPERATIONS Unaudited 72 - - Total [007] 72 BY SEGMENT UNAUDITED 72 SALES AND 72 - Cash [005] 72 DOLLARS IN THOUSANDS 72 OTHER INTANGIBLE ASSETS 72 FROM CONTINUING 72 INTANGIBLE ASSETS net 72 PER SHARE AMOUNTS 72 CENTURY CASINOS INC. AND 72 DURING THE PERIOD 72 BASIC AND DILUTED NET 72 Prepaid Expenses 72 EXPENSE Interest income 72 CHANGE IN ACCOUNTING PRINCIPLE 72 - NET INCOME [022] 72 PROPERTY PLANT AND EQUIPMENT 72 EQUIPMENT NET 72 ACTIVITIES Payments 72 #,#,# #,#,# - [003] 72 INC. UNAUDITED 72 -TJX TJX 72 FINANCIAL RATIOS 72 FINANCIAL RESULTS SUPPLEMENTAL GEOGRAPHIC 72 CONTINUED Unaudited 72 SUBSIDIARIES BUSINESS SEGMENT 72 - - Net [041] 72 CNH GLOBAL NV 72 DATA unaudited 72 - CASH FLOWS [002] 72 NET CASH FLOW 72 - TOTAL ASSETS [004] 72 SHARE FROM CONTINUING OPERATIONS 72 - - Net [040] 72 WALTER INDUSTRIES INC. AND 72 FINANCIAL AND OPERATIONAL 72 EARNINGS PER SHARE BASIC 72 CHANGES IN SHAREHOLDERS EQUITY 72 #,# - TOTAL [001] 72 #,#,# #,#,# - [001] 72 SEARS CANADA 72 - Cash [019] 72 AND YIELDS UNAUDITED 72 ASSETS Property 72 DEPRECIATION 72 #,#,#,# [018] 72 BORROWINGS 72 -deniable 72 #,# -Outasight 72 SUMMARY OF OPERATIONS 72 EARNINGS BEFORE 72 - - [012] 72 ENDED SEPTEMBER 72 CASH FLOW INFORMATION 72 CONDENSED STATEMENTS OF CASH 72 - - [025] 72 - Unaudited [016] 72 SUN HEALTHCARE GROUP INC. 72 - -Page 1C 72 SHARE ATTRIBUTABLE TO 72 -Prudentia 72 END OF YEAR 72 - OpBPMs 72 INCOME TAX BENEFIT EXPENSE 72 FINANCING ACTIVITIES Proceeds 72 audited audited 72 SUBSIDIARIES RECONCILIATION OF NON 72 - Cash [022] 72 - - [030] 72 EQUITY - CurrenPARTNER PROGRAM 72 RECEIVABLE 72 NON GAAP 72 -RiverRats 72 #,#,# = LIABILITIES [001] 72 CONSOLIDATED SUBSIDIARIES 72 FINANCIAL INFORMATION SUPPLEMENT TO 72 FINANCING ACTIVITIES Issuance 72 OPERATIONS #,#,# #,#,# 72 - - Net [049] 72 CONSOLIDATED CONDENSED BALANCE SHEET 72 AIR PRODUCTS AND 72 CALCULATION OF 71 - - [089] 71 ACCOUNTING CHANGE 71 NET CASH 71 #,#,# - [003] 71 BEGINNING OF YEAR 71 SUBSIDIARIES Consolidated Balance Sheets 71 FINANCIAL RESULTS RECONCILIATION OF 71 OF INCOME AND COMPREHENSIVE 71 OPERATIONS FOR 71 - Net [038] 71 CURRENT ASSETS 71 FINANCING AND 71 #,#,#,#,#,# [001] 71 TOLL BROTHERS INC. AND 71 -#,# -#,# -#,# [002] 71 ADJUSTED 71 REDDY ICE HOLDINGS INC. 71 AND SHAREHOLDERS EQUITY 71 FROM BANKS 71 OF DECEMBER 71 OPERATIONS AND COMPREHENSIVE 71 MINORITY INTEREST 71 - - Net [047] 71 AVERAGE SHARES OUTSTANDING BASIC 71 CONSOLIDATED AVERAGE BALANCE SHEETS 71 -Grant McQuoid 71 - - [041] 71 - Total Assets [018] 71 CORPORATION SELECTED 71 LIONS GATE ENTERTAINMENT CORP. 71 AMORTIZATION OF 71 AND ADMINISTRATIVE 71 ACTIVITIES Additions 71 COMMON SHARES OUTSTANDING BASIC 71 INCOME FROM CONTINUING OPERATIONS 71 CASH INVESTING AND 71 ADJUSTED FOR 71 - NET Iarmys 71 THREE MONTHS ENDED SIX 71 RYDER SYSTEM INC. AND 71 CORPORATION RECONCILIATION OF 71 NINE MONTHS ENDED 71 INC. SUPPLEMENTAL FINANCIAL INFORMATION 71 Sheet Data 71 -FORWARD LOOKING STATEMENTS CONTAINED 71 - TOTAL ASSETS [008] 71 -RED LETTER 71 INC. AND SUBSIDIARIES RECONCILIATION 71 TOTAL COSTS AND EXPENSES 71 CASH USED IN 71 -Gacy 71 NET CHANGE IN 71 BUSINESS SEGMENT DATA 71 ENDED SIX MONTHS ENDED 71 - TOTAL [028] 71 #,#,# #,#,# -IBS C 71 #,#,# #,#,# PROVISION FOR [001] 71 - TOTAL ASSETS [010] 71 # -GT2 RS 71 INCOME LOSS BEFORE INCOME 71 -ASSAULT ON 71 -Aljazeera.net 71 AND PER SHARE 71 THE NINE MONTHS 71 BY BUSINESS SEGMENT 71 -Justus Gage 71 - -Bredbury 71 AND SUBSIDIARIES Consolidated Statements 71 - Cash [002] 71 TAX EXPENSE 71 Restated Restated 71 Millions Quarter Ended 71 NET LOSS ATTRIBUTABLE TO 71 SHARE BASIC 71 AND TAXES 71 - Cash flows [011] 71 BANK OWNED LIFE INSURANCE 71 SUBSIDIARIES SEGMENT INFORMATION 71 TO INCOME FROM 71 EQUITY ACCOUNTED INVESTMENTS 71 BASIC AND DILUTED EARNINGS 71 EARNINGS FROM CONTINUING OPERATIONS 71 SHEET DATA 71 - Net [003] 71 AND SUBSIDIARIES CONSOLIDATED STATEMENT 71 SEGMENT AND 71 - - [053] 71 BALANCE SHEETS Dollars 71 JACKSON HEWITT TAX SERVICE 71 Non Current Assets 71 COMMON SHARE 71 MILLIONS EXCEPT PER SHARE 71 - Assets [003] 71 - Net [033] 71 SHEETS IN THOUSANDS 71 OUTSTANDING BASIC #,#,# #,#,# 71 Current Assets #,#,# #,#,# 71 - Cash [011] 71 #,#,# #,#,# CASH FLOWS [001] 71 TO COMMONLY USED GENERALLY 71 = LIABILITIES AND SHAREHOPinkNews 71 FINANCIAL AND 71 APPLIED INDUSTRIAL TECHNOLOGIES INC. 71 - Cash [007] 71 IMPACT OF NON 71 NON INTEREST EXPENSE 71 -nosecone 71 - TOTAL LIABILITIES [007] 71 #,#,# #,#,# CASH AND [002] 71 LIMITED AND SUBSIDIARIES 71 NOTES RECEIVABLE 71 Ended - [024] 71 OTHER REAL ESTATE 71 = Liabilities [014] 71 -sky scrapers 71 - Cash [017] 71 VARIAN INC. AND SUBSIDIARY 71 OTHER COMPREHENSIVE INCOME 71 - Aijaz Hussain 71 - Operating [016] 71 ãEUR EUR 71 GAAP TO NON 71 ASSETS NON CURRENT 71 NON CURRENT ASSETS 71 #,# - TOTAL [002] 71 BY QUARTER 71 OPERATIONS IN THOUSANDS 71 KULICKE & 71 - - Total [050] 71 INCOME BEFORE INCOME TAXES 71 AND FINANCIAL DATA 71 ENDED JUNE 71 -Hattar 71 ACTIVITIES Net income 71 #,#,#,# [010] 71 - TOTAL [022] 71 - LONG TERM [006] 71 CONSOLIDATED STATEMENT OF CASH 71 INCOME AVAILABLE TO 71 SALES #,#,# #,#,# [002] 71 OPERATING INCOME 71 FLOWS UNAUDITED 71 SHARE AMOUNTS 71 AND DEVELOPMENT EXPENSES 71 #,#,# #,#,# - [008] 71 INCOME AND 71 SOLERA HOLDINGS INC. AND 71 THREE MONTHS ENDED DECEMBER 71 -David# 71 INCOME BEFORE CUMULATIVE EFFECT 71 -Forbis 71 #,#,# OTHER INCOME 71 OPERATING REVENUE 71 LOSS INCOME FROM CONTINUING 71 LOAN LOSSES 71 - - [049] 71 TWELVE MONTHS 71 ACTIVITIES OF 71 Ended Ended Ended 71 = LIABILITIES AND SHAREHOLDERS [001] 71 OPERATIONS TO ADJUSTED 71 -#,# -#,# [007] 71 NET DECREASE IN 71 PER DILUTED SHARE 71 - - [088] 71 - - [126] 71 = LIABILITIES AND STOCKHOLDERSRM#.# Tenaga 71 IN MILLIONS 71 OPERATIONS NET 71 SUBSIDIARIES FINANCIAL INFORMATION 71 #,#,# #,#,# -Geigers 71 -CTC MEDIA 71 QUARTER ENDED YEAR ENDED 71 ATTRIBUTABLE TO CEPHALON INC. 71 -Raghavendra Rathore 71 #,#,# #,#,# MINORITY INTEREST 71 EXCEPT FOR SHARE 71 - Net [006] 71 - OperAyscough 71 STATEMENTS OF OPERATIONS UNAUDITED 71 - Net [022] 71 R'# R'# 71 GAAP FINANCIAL INFORMATION 71 Reimbursable revenues 71 - -blatant politicization 71 EFFECTS OF EXCHANGE RATE 71 AND LIABILITIES 71 THE COMPANY AND ITS 71 OF OPERATIONS AND COMPREHENSIVE 71 - - Net [055] 71 - CASH AND CASH [003] 71 CONDENSED BALANCE SHEETS 71 LOSS PER SHARE 71 OF CASH FLOWS Unaudited 71 YEAR ENDED DECEMBER 71 - NET INCOME [019] 71 EQUITY LIABILITIES Accounts payable 71 #,# -Radhika Menon Theodore 71 SUBSIDIARIES NON GAAP 71 - Total assets [004] 71 COMPANY AND SUBSIDIARIES 71 TAX BENEFIT 71 -MediaSyndicate.com 71 BENEFIT PROVISION FOR 71 COMPANY SUPPLEMENTAL REVENUE INFORMATION 71 Cash Flows Used 71 #,#,# #,#,# -HAROLD MEYERSON 71 SHORT TERM INVESTMENTS 71 PROVISION FOR LOAN 71 OTHER OPERATING INCOME 71 #,#,# = [009] 71 AVERAGE SHARES OUTSTANDING 71 - Net [030] 71 REVENUES BY 71 -Detective Joseph Colanduono 71 RECONCILIA TION OF 71 CORE EARNINGS 71 Unaudited Unaudited Unaudited Audited 71 -#,# -#,# [003] 71 FINANCIAL RESULTS SUPPLEMENTAL 71 OF TAX 71 ACTIVITIES Net Income 71 - TOTAL ASSETS [015] 71 - Operating [028] 71 - - Total [041] 71 THREE MONTHS ENDED JUNE 70 BEFORE PROVISION FOR 70 SUMMARY Unaudited 70 - NET INCOMSolomon Stables 70 - - Total [060] 70 -Hyndman Pa. 70 TOTAL OTHER INCOME 70 CASH END OF 70 IN MILLIONS EXCEPT PER 70 GAAP BASIS 70 CONSOLIDATED INCOME STATEMENTS 70 NET LOSS PER COMMON 70 AND COMPREHENSIVE INCOME LOSS 70 INC. STATEMENTS OF 70 AND SUBSIDIARIES Condensed Consolidated 70 -NIDC 70 ASSIST THE READER 70 ASSUMING DILUTION 70 #,#,# Total [003] 70 USA MOBILITY INC. 70 ACTIVITIES Purchase 70 OF DISCONTINUED OPERATIONS 70 TOTAL LIABILITIES AND 70 LOSS UNAUDITED 70 Months Months Ended 70 2nd Qtr 3rd Qtr 70 - - Total [037] 70 NUMBER OF SHARES 70 INC. CONSOLIDATED BALANCE SHEET 70 SEGMENT RESULTS 70 OPERATIONS Three Months 70 #,#,# =blueberries strawberries 70 - - Net [035] 70 - OPERATING [001] 70 - NET INCOME [023] 70 PERIODS ENDED JUNE 70 #,#,# Total [002] 70 - Net [040] 70 COST OF REVENUES 70 SUBSIDIARIES Condensed Consolidated Balance 70 OTHER OPERATING 70 INTERNATIONAL CORPORATION CONDENSED CONSOLIDATED 70 AND OTHER LIABILITIES 70 INVESTING ACTIVITIES Additions 70 # -Ludivine Kreutz 70 Unaudited -CMVs 70 Liabilities #,#.# #,#.# 70 Thousands Unaudited 70 INFORMATION UNAUDITED 70 SUPPLEMENTAL FINANCIAL INFORMATION 70 WORKING CAPITAL 70 FROM FINANCING ACTIVITIES Issuance 70 INTERNATIONAL INC. CONDENSED CONSOLIDATED 70 - NET INCOME [011] 70 AND COMBINED STATEMENTS 70 CIT GROUP INC. 70 - CASH [001] 70 OF INCOME LOSS 70 AND SUBSIDIARY CONSOLIDATED BALANCE 70 PER COMMON SHARE Basic 70 TOTAL SHAREHOLDERS EQUITY 70 Pretax Profit #,#,# #,#,# [001] 70 IN FINANCING ACTIVITIES 70 LOSS AND COMPREHENSIVE 70 OPERATING INCOME BEFORE DEPRECIATION 70 PACKETEER INC. CONDENSED CONSOLIDATED 70 - INCOME LOSS [003] 70 - NET INCOME [026] 70 ABINGTON BANCORP INC. UNAUDITED 70 - Cash [004] 70 - - [108] 70 OTHER NON CURRENT ASSETS 70 - Cash [001] 70 #,#,#,#,# [014] 70 - Cash Flows [008] 70 = LIABILITIES [006] 70 - Income [028] 70 - - [096] 70 OPERATING DATA 70 FINANCIAL DATA UNAUDITED 70 EXCEPT PER SHARE DATA 70 EARNINGS BEFORE INCOME TAXES 70 Equivalent Interest Rates 70 Interest Differential FIRSTMERIT 70 OF CASH FLOWS 70 Six Months Six Months 70 #,# =Chavist 70 INC. CONSOLIDATED STATEMENT OF 70 AMOUNTS 70 TAX PROVISION 70 CORP. CONSOLIDATED STATEMENTS OF 70 #,#,# #,#,# - Totalholder Paul Tergat 70 - Cash Flows [009] 70 CSP INC. AND 70 LESS NET INCOME 70 BEFORE CUMULATIVE EFFECT OF 70 RECONCILIATION TO 70 THOUSANDS EXCEPT PER SHARE 70 COMPANY CONSOLIDATED BALANCE SHEETS 70 #,#,# = [024] 70 AND SUBSIDIARIES SUMMARY OF 70 DILUTED 70 -Chris Bocklet 70 OF CURRENT PORTION 70 IN THOUSANDS EXCEPT SHARE 70 LOSS FROM 70 #,#,# [017] 70 QUARTERS ENDED 70 DEFERRED RENT 70 = Net [005] 70 Long Term Obligations 70 - Total assets [001] 70 - CASH FLOWS FROM [006] 70 #,#,# = [006] 70 #,#,# #,#,# =jerk seasoning 70 - TOTAL ASSETS [014] 70 - - [064] 70 - Net [007] 70 - Total Assets [001] 70 RESTRUCTURING AND 70 OF INCOME Unaudited 70 - u1g 7a 70 OF SUBSIDIARIES 70 NET REVENUE 70 LICENSING REVENUES 70 BASIC #,#,# #,#,# 70 HERCULES OFFSHORE INC. AND 70 CONSOLIDATED RESULTS 70 FIXED ASSETS NET 70 CORP. AND SUBSIDIARIES 70 BASIC WEIGHTED AVERAGE SHARES 70 BEFORE TAX 70 BALANCE SHEET INFORMATION 70 - Total Liabilities [025] 70 FLOWS unaudited 70 OUTSTANDING #,#,# #,#,# [001] 70 - Cash flows [010] 70 BECTON DICKINSON AND 70 - -Kondhwa 70 SHEET UNAUDITED 70 OPERATING INCOME LOSS 70 EARNINGS LOSS PER SHARE 70 - LossSanta Margarita Ranch 70 CASH FLOW STATEMENTS 70 AND COMPREHENSIVE 70 NET LOSS APPLICABLE TO 70 Nine Months Ended Nine 70 ASSETS HELD FOR SALE 70 FINANCIAL EXPENSES 70 THE GOLDMAN SACHS 70 - NET CASH [001] 70 - Unaudited UnaPeter Wayner 70 Rm Rm 70 Benefit Provision 70 -Reynaldo Funez 70 PROVISION FOR 70 AVERAGE COMMON SHARES OUTSTANDING 70 OF CASH FLOWS UNAUDITED 70 Income Loss Before 70 - - [059] 70 Deprec iation 70 Financing Activities Borrowings 70 STATEMENT OF CASH FLOWS 70 - Total Assets [013] 70 - - Net [034] 70 UNAUDITED AUDITED 70 NET INCOME LOSS AVAILABLE 70 CONDENSED STATEMENTS OF INCOME 70 -outer boroughs 70 OPERATING SEGMENTS 70 OUTSTANDING BASIC 70 SUBSIDIARY COMPANIES 70 - TOTAL ASSETS [011] 70 Months Ended Ended Ended 70 - - Net [002] 70 - NET CASH [003] 70 ADJUSTMENTS TO 70 - Total Assets [012] 70 - - [066] 70 RATIOS 70 SHEETS Unaudited 70 =dried ramen noodles 70 BLUE SQUARE ISRAEL LTD 70 AND ADMINISTRATIVE EXPENSES 70 AND RATIOS 70 - TOTAL ASSETS [005] 70 - ASSETS [012] 70 Other Current Assets 70 INC. SUMMARY OF 70 DECREASE INCREASE IN 70 - TOTAL [008] 70 - - Net [004] 70 CTC MEDIA 70 EXPENSE Interest expense 70 SUBSIDIARIES SELECTED 70 LOSS AVAILABLE TO 70 #,#,# #,#,# -bashings 70 #,#,# [026] 70 #,# -Veen 70 TECHNOLOGIES INC. CONSOLIDATED STATEMENTS 70 Deferred Debits 70 OF HARRAH 'S 70 - -watt amp 70 NESS TECHNOLOGIES INC. AND 70 SUBSIDIARIES CONSOLIDATED CONDENSED BALANCE

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