| PERIOD ENDING | 31-Jul-08 | 30-Apr-08 | 31-Jan-08 | 31-Oct-07 | | | Assets | | Current Assets | | Cash And Cash Equivalents | 454,065 | 396,837 | 410,265 | 407,777 | | Short Term Investments |
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| | Net Receivables | 678,571 | 590,374 | 576,204 | 538,058 | | Inventory | 492,977 | 524,867 | 506,365 | 522,494 | | Other Current Assets | 34,026 | 126,161 | 133,943 | 125,707 | | | Total Current Assets | 1,659,639 | 1,638,239 | 1,626,777 | 1,594,036 | | Long Term Investments | 56,544 |
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| | Property Plant and Equipment | 662,985 | 637,986 | 628,071 | 620,746 | | Goodwill | 265,893 | 265,923 | 263,653 | 263,288 | | Intangible Assets | 46,204 | 47,366 | 48,750 | 49,561 | | Accumulated Amortization |
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| | Other Assets | 172,825 | 314,124 | 311,445 | 315,829 | | Deferred Long Term Asset Charges | 92,656 |
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| | | Total Assets | 2,956,746 | 2,903,638 | 2,878,696 | 2,843,460 | | | Liabilities | | Current Liabilities | | Accounts Payable | 482,621 | 578,869 | 584,337 | 565,882 | | Short/Current Long Term Debt | 3,252 | 1,771 | 1,783 | 1,775 | | Other Current Liabilities | 88,090 |
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| | | Total Current Liabilities | 573,963 | 580,640 | 586,120 | 567,657 | | Long Term Debt | 747,051 | 948,893 | 692,430 | 711,406 | | Other Liabilities | 471,697 |
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| 220,221 | 216,484 | | Deferred Long Term Liability Charges | 24,800 | 228,202 | 229,835 | 235,522 | | Minority Interest |
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| | Negative Goodwill |
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| | | Total Liabilities | 1,817,511 | 1,757,735 | 1,728,606 | 1,731,069 | | |
Stockholders' Equity
| | Misc Stocks Options Warrants |
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| | Redeemable Preferred Stock |
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| | Preferred Stock |
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| | Common Stock | 12,796 | 12,796 | 12,796 | 12,796 | | Retained Earnings | 1,120,682 | 1,066,608 | 1,022,696 | 990,319 | | Treasury Stock | (290,508) | (224,895) | (154,850) | (156,039) | | Capital Surplus | 178,608 | 172,718 | 168,540 | 164,524 | | Other Stockholder Equity | 117,657 | 118,676 | 100,908 | 100,791 | | | Total Stockholder Equity | 1,139,235 | 1,145,903 | 1,150,090 | 1,112,391 | | | Net Tangible Assets | $827,138 | $832,614 | $837,687 | $799,542 |
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