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KPMG Consulting, Inc.
1676 International Drive, McLean, VA 22102 * (703) 747-3000
Business Description The company is one of the world's largest consulting firms with over 7,300 consultants. The company focuses on the Internet and systems integration and assist clients in defining and implementing their e-business strategies.
Offering
Information

Company has
gone public

Trading As  KCIN (NASNTL) Industry  Service (SIC 7389)
Type of Stock Offered  Common Shares Filing Date  5/5/2000
Domestic Shares Offered  112,035,000 Offer Date  2/7/2001
Foreign Shares Offered  0 Filing Range  $16.00 - $18.00
Company Shares  112,035,000 Offer Price  $18.00
Selling Shrhldrs Shares  0 Gross Spread  $0.720
Gross Proceeds  $2,016,630,000 Selling  $0.470
Expenses  - - Reallowance  $0.110
Post-IPO Shares  152,100,000 Employees  - -
Primary
Underwriting
Group
Underwriter NameParticipationUnderwriter Phone
Morgan Stanley Dean Witter Lead Manager (212) 761-5900
Goldman, Sachs & Co. Co-manager (212) 902-5959
J.P. Morgan & Co. Co-manager (212) 648-0517
Merrill Lynch & Co. Co-manager (212) 449-4600
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 6/30/1995 6/30/1996 6/30/1997 6/30/1998 6/30/1999 12/31/1998 12/31/1999
Revenues   569.655 705.362 920.925 1,396.505 1,942.113 911.350 1,069.022
Income from Oper.   - - - - - - -
Net Income   20.428 16.112 50.449 92.589 218.244 124.849 84.519
E.P.S   - - - - - - -
Revenue Growth (%)      23.82 30.56 51.64 39.070   17.30
Net Income Growth (%)      -21.13 213.11 83.53 135.71   -32.30
Oper. Profit Margin (%)    - - - - - - -
Net Profit Margin (%)    3.59 2.28 5.48 6.63 11.24 7.91 13.70
Cash Flow - Oper.     236.28 -17.27 -86.88
Cash Flow - Inv.     -73.04 -18.04 -36.70
Cash Flow - Fin.     -158.68 33.46 130.00
Balance Sheet
Summary
and
Financial
Ratios
Balance sheet as of: 12/31/1999 Financial Ratios
Total Assets    650.39 Current Assets    471.00 Current Ratio    2.08
Total Liab.    255.86 Current Liab.    226.65 Debt Ratio    39.34%
Total Equity    394.53 Working Cap.    244.36 Debt to Equity Ratio    0.65
Cash    20.74    Return on Assets   13.00%
Use Of
Proceeds
The proceeds from the proposed offering will be used to provide additional funds for working capital; to repurchase shares of Series A preferred stock; to repay outstanding indebtedness; to fund the cash component of possible acquisitions of consulting practices outside of the United States; and for general corporate purposes.
Legal Counsel
Registrar
Auditor
Issuer's Law Firm  Sidley & Austin
Bank's Law Firm  Davis, Polk & Wardwell
Registrar/Transfer Agent  EquiServe
Auditor  Grant Thornton
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Last updated: 3/31/2002 6:43:29 AM
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