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Perot Systems Corporation
12377 Merit Drive, Suite 1100, Dallas, TX 75251 * (972) 383-5600
Business Description The company is a worldwide provider of information technology services and business solutions, serving a broad range of clients. The company serves clients by delivering services & solutions focused on client needs, and helping clients service customers.
Offering
Information

Company has
gone public

Trading As  PER (NYSE) Industry  High-Tech (SIC 7374)
Type of Stock Offered  Class A Common Shares Filing Date  08/06/1998
Domestic Shares Offered  6,500,000 Offer Date  02/01/1999
Foreign Shares Offered  0 Filing Range  $15.00 - $16.00
Company Shares  6,500,000 Offer Price  $16.00
Selling Shrhldrs Shares  0 Gross Spread  $1.120
Gross Proceeds  $104,000,000 Selling  $0.680
Expenses  - - Reallowance  $0.100
Post-IPO Shares  - - Employees  - -
Primary
Underwriting
Group
Underwriter NameParticipationUnderwriter Phone
Morgan Stanley Dean Witter Discover & Co. Lead Manager (212) 761-5900
Bear, Stearns & Co. Inc. Co-manager (212) 272-4850
Hambrecht & Quist Incorporated Co-manager (415) 439-3626
Merrill Lynch & Co. Co-manager (212) 449-4600
Warburg Dillon Read LLC Co-manager (203) 719-4290
Income
Statement
and
Cash Flow
Summary
  Prior
Audited
Income
Latest
Unaudited
Income
  Full Year Audited Figures 6 Months Ending
Figures in U.S. millions except per share data     12/31/1995 12/31/1996 12/31/1997 06/30/1997 06/30/1998
Revenues   - - 342.300 599.400 781.600 354.100 452.700
Income from Oper.   - - 20.900 41.300 17.600 11.800 26.700
Net Income   - - 10.800 20.500 11.200 8.100 19.100
E.P.S   - - 0.330 0.540 0.290 0.200 0.500
Revenue Growth (%)      - - 75.11 30.397   27.85
Net Income Growth (%)      - - 89.81 -45.37   135.80
Oper. Profit Margin (%)    - - 6.11 6.89 2.25 5.90 3.33
Net Profit Margin (%)    - - 3.16 3.42 1.43 4.22 2.29
Cash Flow - Oper.     70.97 5.73 32.43
Cash Flow - Inv.     -65.92 39.64 -0.28
Cash Flow - Fin.     4.35 25.09 1.01
Balance Sheet
Summary
and
Financial
Ratios
Balance sheet as of: 06/30/1998 Financial Ratios
Total Assets    331.60 Current Assets    254.46 Current Ratio    1.19
Total Liab.    216.10 Current Liab.    213.01 Debt Ratio    65.17%
Total Equity    115.50 Working Cap.    41.45 Debt to Equity Ratio    1.87
Cash    68.30    Return on Assets   5.76%
Use Of
Proceeds
The proceeds from the proposed offering will be used for general corporate purposes, working capital, business expansion.
Legal Counsel
Registrar
Auditor
Issuer's Law Firm  Hughes & Luce
Bank's Law Firm  Davis, Polk & Wardwell
Registrar/Transfer Agent  ChaseMellon Shareholder Services, L.L.C.
Auditor  Price Waterhouse
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Last updated: 09/29/1999 3:52:09 AM
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