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EPS Guidance. FedEx Freight Combination Costs. GAAP Measure. First Quarter Fiscal In millions, except earnings per share and FTEs.
Three Months Ended. August FedEx Express segment. FedEx Ground segment. FedEx Freight segment.
FedEx Services segment. Total Revenue. Operating Expenses:. Salaries and employee benefits.
Purchased transportation. Rentals and landing fees. Depreciation and amortization. Maintenance and repairs. Total Operating Expenses. Operating Income Loss :.
Total Operating Income. Other Income Expense :. Interest, net. Other, net. Total Other Income Expense.
Income Before Income Taxes. Provision for Income Taxes. Net Income. Diluted Earnings Per Share.
Capital Expenditures. Average Full-Time Equivalents in thousands. In millions. August 31, May 31, Current Assets.
Cash and cash equivalents. Receivables, less allowances. Spare parts, supplies and fuel, less allowances. Deferred income taxes.
Prepaid expenses and other. Total current assets. Property and Equipment, at Cost. Less accumulated depreciation and amortization. Net property and equipment.
Other Long-Term Assets. Other assets. Total other long-term assets. Current Liabilities. Current portion of long-term debt.
Accrued salaries and employee benefits. Accounts payable. Accrued expenses. Total current liabilities. Other Long-Term Liabilities. Pension, postretirement healthcare and other benefit obligations.
Self-insurance accruals. Deferred lease obligations. Deferred gains, principally related to aircraft transactions. Other liabilities. Total other long-term liabilities.
Commitments and Contingencies. Common Stockholders' Investment. Additional paid-in capital. Retained earnings.
Accumulated other comprehensive loss. Treasury stock, at cost. Total common stockholders' investment. Operating Activities:. Net income. Noncash charges:.
Changes in operating assets and liabilities, net. Net cash provided by operating activities. Investing Activities:.
Capital expenditures. Proceeds from asset dispositions and other. Net cash used in investing activities. Financing Activities:. Principal payments on debt.
Dividends paid. Net cash used in financing activities. Effect of exchange rate changes on cash. Net decrease in cash and cash equivalents.
Cash and cash equivalents at beginning of period. Cash and cash equivalents at end of period. Dollars in millions.
Intercompany charges. Operating Income. The new outlook, at constant scope, for the three-year CAGR is for revenue to increase by approximately 4.
When excluding analogue revenue from the basis, the growth rates for both revenue and EBITDA improve to approximately 7. The strong growth is driven primarily from emerging markets, the steady recontracting of capacity formerly serving analogue transmissions, and continued growth in services.
These positive developments build on the foundation of SES' investment programme and the greater efficiencies arising from the reorganisation implemented during Revenue was flat year-on-year, essentially due to the adverse development of the USD against the euro, which offset the underlying growth of the business.
On a recurring basis, revenue growth of 2. Infrastructure revenue growth was complemented by the full year impact of the Ciel full consolidation.
The increase in operating expenses resulted primarily from several non-recurring items, the most significant being the EUR Excluding these items, and despite the slight change in the product mix towards services, the cost base of the company only marginally increased.
The recurring margin increased to The decrease in depreciation for the year mainly resulted from the relatively weaker dollar in average conversion rate in was 1.
Additionally, in the depreciation charge included adjustments totalling EUR Operating profit of EUR Net financing charges for the year were significantly reduced, reflecting both a lower net interest expense, and a favourable impact for net foreign exchange gains.
After the charge taken in , SES reported a gain on net foreign exchange in Based on the higher operating profit and significantly reduced financing charges, SES profit on continuing operations before tax rose by 8.
SES recorded a significant decrease in the group's income tax expense in , driven by two factors. Second, in the computation of deferred tax liabilities there have been certain changes of accounting estimates which reflect the impact of the SES reorganisation on the group's business processes.
This has resulted in the release from the deferred tax provisions. Together, the investment tax credits and the adjustments to the deferred tax provisions drive the lower tax charge in The increase in the share of associates' result reflects both the increasing activities of, and shareholding in, O3b Networks as well as the presentation, from 1 March , of the group's remaining After the EUR The transaction to dispose of Profit attributable to equity holders of SES rose The profit of EUR Net operating cash flow of EUR 1, Investing activities in connection with the seven satellites currently under construction continue to absorb more than three quarters of operational cash flows.
Closing net debt of EUR 3, Fully diluted earnings per share are insignificantly different from basic earnings per share.
Such outflows were previously allocated between operating activities, investing activities and financing activities, depending on the nature of the funded activity.
Management takes the view that it is more appropriate to adopt the presentation of such outflows in one place as part of financing activities, which is an approach commonly used by other significant listed companies in the company's business sector.
A press call will be hosted at Journalists are invited to call the following numbers five minutes prior to this time.
A call for investors and analysts will be hosted at Participants are invited to call the following numbers five minutes prior to this time.
A presentation, which will be referred to during the call, will be available for download from the Investor Relations section of our website www.
This presentation does not, in any jurisdiction, and in particular not in the U. No representation or warranty, express or implied, is or will be made by SES, its directors, officers or advisors or any other person as to the accuracy, completeness or fairness of the information or opinions contained in this presentation, and any reliance you place on them will be at your sole risk.
Without prejudice to the foregoing, none of SES or its directors, officers or advisors accept any liability whatsoever for any loss however arising, directly or indirectly, from use of this presentation or its contents or otherwise arising in connection therewith.
This presentation includes "forward-looking statements". All statements other than statements of historical fact included in this presentation, including, without limitation, those regarding SES' financial position, business strategy, plans and objectives of management for future operations including development plans and objectives relating to SES products and services are forward-looking statements.
Such forward-looking statements involve known and unknown risks, uncertainties and other important factors that could cause the actual results, performance or achievements of SES to be materially different from future results, performance or achievements expressed or implied by such forward-looking statements.
Such forward-looking statements are based on numerous assumptions regarding SES and its subsidiaries and affiliates, present and future business strategies and the environment in which SES will operate in the future and such assumptions may or may not prove to be correct.
These forward-looking statements speak only as at the date of this presentation. Forward-looking statements contained in this presentation regarding past trends or activities should not be taken as a representation that such trends or activities will continue in the future.
SES and its directors, officers and advisors do not undertake any obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.
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Samstag, Ad hoc-Mitteilungen :. FN als Startseite. Business Wire Artikel bewerten:. Profit of the Group up Operations Review SES' satellite fleet continued to operate at high utilisation levels throughout the year, with 1, of 1, commercially available transponders utilised at year end, a utilisation rate of Europe The ASTRA satellite system maintained its momentum in European DTH 'Direct-To-Home' broadcasting by extending its technical reach beyond the million European households recorded at end and by growing its market reach relative to other distribution technologies.
The Americas In the relatively mature North American market, demand and utilisation remained essentially stable. Forthcoming launches in Two more satellites have been scheduled for launch during the year.
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FY Profit attributable to equity holders of the parent. Profit on continuing operations before tax. Loss after tax from discontinued operations.
Earnings per share in euro 2. Earnings per share on continuing operations in euro. In millions of euro. Assets of disposal group classified as held for sale.
Attributable to equity holders of the parent. Total non-current liabilities. Liabilities directly associated with the assets classified as held for sale.
Profit from continuing operations before tax. Loss from discontinued operations before tax. Impairment loss recognised on the remeasurement to fair value less cost to sell.
Other non-cash items in consolidated income statement. Consolidated operating profit before working capital changes.
Changes in operating assets and liabilities. Cash flow from investing activities. Disposal of controlling interests in ND Satcom, net of cash disposed.TalkWithCustomer can reliably turn your website into a serious, lead generating machine. Message body. And Bye. Our goal is to provide medications at discount rates to everyone who is affected by expensive local prices. With the help of your https://capitalfest.co/online-casino-echtgeld/dmax-live-stream-ipad.php we have been making good progress on designing and launching our new website! Confirm and Submit. Select or Create Conf. The upcoming edition of the SLE meeting will also host a round table of experts to KryptowГ¤hrungen Investieren topics of special linguistic. Need an easy way to process and review them?