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Parthus Technologies Public Limited Company
32-34 Harcourt Street, Dublin, Ireland
Business Description The company develops semiconductor intellectual property targeting the emerging commerce or m-commerce market, and licenses this technology to semiconductor and electronic product manufacturers
Offering
Information

Company has
gone public

Trading As  PRTH (NASNTL) Industry  High-Tech (SIC 3674)
Type of Stock Offered  American Depositary Receipts Filing Date  5/3/00
Domestic Shares Offered  13,000,000 Offer Date  5/18/00
Foreign Shares Offered  0 Filing Range  $10.91 - $13.25
Company Shares  11,130,933 Offer Price  $12.60
Selling Shrhldrs Shares  1,869,067 Gross Spread  $0.693
Gross Proceeds  $163,800,005 Selling  $0.416
Expenses  - - Reallowance  $0.100
Post-IPO Shares  51,386,522 Employees  - -
Primary
Underwriting
Group
Underwriter NameParticipationUnderwriter Phone
Goldman, Sachs & Co. Lead Manager (212) 902-5959
Chase H&Q; Co-manager (415) 439-3626
Donaldson, Lufkin & Jenrette Securities Corp. Co-manager (212) 371-0641
Lehman Brothers Incorporated Co-manager (212) 526-8100
Income
Statement
and
Cash Flow
Summary
  Prior
Audited
Income
Latest
Unaudited
Income
  Full Year Audited Figures - - Months Ending
Figures in U.S. millions except per share data 12/31/95 12/31/96 12/31/97 12/31/98 12/31/99    
Revenues   5.306 9.075 12.820 15.569 19.040 - -
Income from Oper.   0.604 1.127 2.432 1.007 -2.869 - -
Net Income   0.497 0.761 1.993 0.717 -2.558 - -
E.P.S   0.020 0.020 0.060 0.020 -0.070 - -
Revenue Growth (%)      71.03 41.27 21.44 22.294   -
Net Income Growth (%)      53.12 161.89 -64.02 -   -
Oper. Profit Margin (%)    11.38 12.42 18.97 6.47 - - -
Net Profit Margin (%)    9.37 8.39 15.55 4.61 - - -
Cash Flow - Oper.     -0.39 - -
Cash Flow - Inv.     -1.28 - -
Cash Flow - Fin.     -0.63 - -
Balance Sheet
Summary
and
Financial
Ratios
Balance sheet as of: 12/31/99 Financial Ratios
Total Assets    16.90 Current Assets    14.53 Current Ratio    2.24
Total Liab.    9.02 Current Liab.    6.48 Debt Ratio    53.37%
Total Equity    7.88 Working Cap.    8.06 Debt to Equity Ratio    1.14
Cash    10.31    Return on Assets   -
Use Of
Proceeds
The proceeds from the proposed offering will be used to expand research and development capabilities; to expand sales and marketing force; to acquire complementary businesses; to further upgrade and expand corporate information and financial systems; and to meet general working capital needs.
Legal Counsel
Registrar
Auditor
Issuer's Law Firm  Hale and Dorr
Bank's Law Firm  Davis, Polk & Wardwell
Registrar/Transfer Agent  Morgan Guaranty Trust Company of New York
Auditor  KPMG Accountants N.V.
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Principal
Shareholders
Name of Shareholder% Owned
Before
% Owned
After
Goldman Sachs Group 24.07  
Enterprise Ireland 10.26  
Kelburn Ltd. 9.28  
Note: represents ownership of 5% or more prior to the offering.

Last updated: 5/29/00 12:57:00 AM
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