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The PMI Group, Inc. · Walnut Creek, CA United States

Key The PMI Group, Inc. Financials

Company TypePublic -
Headquarters
Fiscal Year-EndDecember
Sales (mil.)$670.1
2010 Employees712
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The PMI Group, Inc. Stock Quote (Pink Sheets: PPMIQ)

Latest
02/15/12 15:47:19 EST
Change ($)Change (%)HighLow
$0.03company data - arrow - down -0.001company data - arrow - down -2.900$0.04$0.03
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.

The PMI Group, Inc. Income Statement

Dec 99Dec 93Dec 92
Revenue 670.1 315.5 214.6
Cost of Goods Sold------
Gross Profit 670.1 315.5 214.6
Gross Profit Margin------
SG&A Expense------
Depreciation & Amortization 13.2----
Operating Income 298.6----
Operating Margin44.6%--%--%
Nonoperating Income(8.6)----
Nonoperating Expenses(371.5)----
Income Before Taxes 290.1----
Income Taxes 85.6----
Net Income After Taxes 204.50.00.0
Continuing Operations 204.5----
Discontinued Operations------
Total Operations 204.5----
Total Net Income 204.5 88.7 105.6
Net Profit Margin30.5%28.1%49.2%
Diluted EPS from Total Net Income 2.26----
Dividends per Share 0.07----
All amounts in millions of US Dollars except per share amounts.

The PMI Group, Inc. Balance Sheet

AssetsDec 99Dec 93Dec 92
Current Assets
Cash 28.1----
Net Receivables 33.7----
Inventories------
Other Current Assets------
Total Current Assets------
Net Fixed Assets 40.5----
Other Noncurrent Assets2,060.3----
Total Assets2,100.8----
LiabilitiesDec 99Dec 93Dec 92
Current Liabilities
Accounts Payable------
Short-Term Debt------
Other Current Liabilities------
Total Current Liabilities------
Long-Term Debt 145.4----
Other Noncurrent Liabilities 738.1----
Total Liabilities 883.5----
Shareholder's Equity
Preferred Stock Equity0.0----
Common Stock Equity1,217.3----
Total Equity1,217.3----
Shares Outstanding (thou.)82,577.2----
All amounts in millions of US Dollars except per share amounts.

The PMI Group, Inc. Cash Flow Statement

Dec 99Dec 93Dec 92
Net Operating Cash Flow 315----
Net Investing Cash Flow(313.2)----
Net Financing Cash Flow 16.8
Net Change in Cash 18.3
Depreciation & Amortization 13.2
Capital Expenditures(12.5)
Cash Dividends Paid(5.2)
All amounts in millions of US Dollars except per share amounts.