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LL&E Royalty Trust · Austin, TX United States (Pink Sheets: LRTR)

Key LL&E Royalty Trust Financials

Company TypePublic -(Pink Sheets: LRTR)
Fiscal Year-EndDecember
2001 Sales (mil.)$12.4
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LL&E Royalty Trust Stock Quote (Pink Sheets: LRTR)

Latest
02/15/12 15:46:38 EST
Change ($)Change (%)HighLow
$1.23 0.000 0.000$0.00$0.00
Quotes delayed 15 minutes for NASDAQ, 20 minues for NYSE and AMEX. Market Data provided by Interactive Data. Powered and Implemented by Interactive Data Managed Solutions.

LL&E Royalty Trust Income Statement

Dec 01Dec 00Dec 99
Revenue 12.4 11.8 2.3
Cost of Goods Sold------
Gross Profit 12.4 11.8 2.3
Gross Profit Margin------
SG&A Expense------
Depreciation & Amortization------
Operating Income------
Operating Margin--%--%--%
Nonoperating Income------
Nonoperating Expenses(0.5)(0.5)(0.5)
Income Before Taxes------
Income Taxes------
Net Income After Taxes0.00.00.0
Continuing Operations 11.9 11.3 1.8
Discontinued Operations------
Total Operations 11.9 11.3 1.8
Total Net Income 11.9 11.3 1.8
Net Profit Margin95.7%95.7%76.2%
Diluted EPS from Total Net Income 0.62 0.59 0.09
Dividends per Share 0.58 0.63 0.11
All amounts in millions of US Dollars except per share amounts.

LL&E Royalty Trust Balance Sheet

AssetsDec 01Dec 00Dec 99
Current Assets
Cash------
Net Receivables------
Inventories------
Other Current Assets------
Total Current Assets------
Net Fixed Assets 2.1 2.3 2.5
Other Noncurrent Assets 0.0 0.0 0.0
Total Assets 2.1 2.4 2.5
LiabilitiesDec 01Dec 00Dec 99
Current Liabilities
Accounts Payable------
Short-Term Debt------
Other Current Liabilities------
Total Current Liabilities------
Long-Term Debt------
Other Noncurrent Liabilities0.00.00.0
Total Liabilities0.00.00.0
Shareholder's Equity
Preferred Stock Equity------
Common Stock Equity 2.1 2.4 2.5
Total Equity 2.1 2.4 2.5
Shares Outstanding (thou.)18,991.318,991.318,991.3
All amounts in millions of US Dollars except per share amounts.

LL&E Royalty Trust Cash Flow Statement

Dec 01Dec 00Dec 99
Net Operating Cash Flow 12 11 2
Net Investing Cash Flow------
Net Financing Cash Flow(11.9)(11.3)(1.8)
Net Change in Cash(0.0) 0.0(0.0)
Depreciation & Amortization
Capital Expenditures
Cash Dividends Paid(11.9)(11.3)(1.8)
All amounts in millions of US Dollars except per share amounts.