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Symyx Technologies, Inc.
3100 Central Expressway, Santa Clara, CA 95051 * (408) 764-2000
Business Description The company is a pioneer of high speed technologies for the discovery of new materials. Examples include the catalysts used in the manufacture of major chemicals, plastics and rubbers, the plastics in many of our household and office goods, the phosphors in computer and television screens, the pigments and additives in paint and the polymers on the bottom of sneakers.
Offering
Information

Company has
gone public

Trading As  SMMX (NASNTL) Industry  Service (SIC 8731)
Type of Stock Offered  Common Shares Filing Date  09/21/1999
Domestic Shares Offered  5,538,000 Offer Date  11/17/1999
Foreign Shares Offered  0 Filing Range  $12.00 - $14.00
Company Shares  5,538,000 Offer Price  $14.00
Selling Shrhldrs Shares  0 Gross Spread  $0.980
Gross Proceeds  $77,532,000 Selling  $0.590
Expenses  - - Reallowance  $0.100
Post-IPO Shares  27,761,000 Employees  - -
Primary
Underwriting
Group
Underwriter NameParticipationUnderwriter Phone
CS First Boston Lead Manager (212) 325-2000
Donaldson, Lufkin & Jenrette Securities Corp. Co-manager (212) 371-0641
Invemed Associates Inc. Co-manager (212) 421-2500
Schroder Wertheim & Company, Incorporated Co-manager (212) 492-6900
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     12/31/1996 12/31/1997 12/31/1998 06/30/1998 06/30/1999
Revenues   - - 0.000 4.806 13.787 6.383 14.672
Income from Oper.   - - -3.050 -6.087 -8.471 -3.828 -0.647
Net Income   - - -2.681 -5.596 -8.085 -3.670 -0.234
E.P.S   - - - - -0.460 - -0.010
Revenue Growth (%)      - - - 186.871   129.86
Net Income Growth (%)      - - - -   -
Oper. Profit Margin (%)    - - - - - - -
Net Profit Margin (%)    - - - - - - -
Cash Flow - Oper.     -2.87 -3.85 8.53
Cash Flow - Inv.     -10.24 1.03 -12.97
Cash Flow - Fin.     23.31 5.10 1.09
Balance Sheet
Summary
and
Financial
Ratios
Balance sheet as of: 06/30/1999 Financial Ratios
Total Assets    60.84 Current Assets    19.39 Current Ratio    1.28
Total Liab.    23.00 Current Liab.    15.18 Debt Ratio    37.80%
Total Equity    37.84 Working Cap.    4.21 Debt to Equity Ratio    0.61
Cash    10.70    Return on Assets   -
Use Of
Proceeds
The proceeds from the proposed offering will be used for general corporate purposes, including working capital.
Legal Counsel
Registrar
Auditor
Issuer's Law Firm  Wilson, Sonsini, Goodrich & Rosati
Bank's Law Firm  Pillsbury Madison & Sutro
Auditor  Ernst & Young
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Last updated: 11/28/1999 9:06:08 PM
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