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PruTech Expedites and Scales Cloud Migration with Progress, Saving Customers Months of Development Time

News Product / Services Announcement

Progress announced that PruTech leveraged Progress® DataDirect® connectors to speed and scale cloud migration in data-sensitive environments.

GlobeNewswire Inc. • 07/05/2024 à 15:00:00
Progress Software Corp (DE)
Address: 15 WAYSIDE ROAD, SUITE 400
Postal Code: 01803
City: BURLINGTON
State: MA
Phone Number: 781-280-4473
Website: https://www.progress.com
Status: Active
Company Info

Progress Software Corporation is a provider of cloud-based security solutions to large-and mid-sized organizations in a wide range of industries. Its product includes OpenEdge; Chef; Developer Tools; Kemp LoadMaster; MOVEit; DataDirect; WhatsUp Gold; Sitefinity; Flowmon and Corticon. The company derives revenue from perpetual licenses to its products, but some products also use term licensing models. Its cloud-based offerings use a subscription-based model. A majority of the firm's revenue is generated in the United States and it also has presence in Canada, the Middle East, and Africa (EMEA), Latin America, and Asia Pacific.

List Date1991-06-14
MarketStocks
LocalUS
Primary ExchangeXNAS
TypeCS
Currency NameUSD
CIK0000876167
Composite figiBBG000C4QP94
Share Class figiBBG001S6MCY5
Market Cap2,222,273,982 USD
SIC Code7372
SIC DescriptionSERVICES-PREPACKAGED SOFTWARE
Total Employees2284
Share Class Shares Outstanding43220000
Weighted Shares Outstanding43218086
Round Lot100
Updated date2024-05-19
Stats
Last 5 days
17-05
16-05
15-05
14-05
13-05
Last
51.405
51.685
51.849
51.175
50.645
Variance
-0.59%
-0.32%
1.26%
1.05%
-0.6%
Open
51.71
51.85
51.206
50.645
50.95
Highest
51.71
51.88
51.849
51.915
51.529
Lowest
51.705
51.855
51.594
51.846
51.515
History
PeriodVarhighestlowest
1 week
0.89%
51.529
51.515
1 month
1.89%
51.279
50.18
3 month
-12.96%
59.057
50.18
6 month
-2.95%
53.75
50.18
1 year
-11.37%
58
49.02
3 year
19.55%
43.81
40.3262
5 year
20.19%
43.15
28.09
10 year
141.11%
21.97
20.92
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-04-07 2023-07-07 2023-10-10 UNPUB
Assets 1,643,607,000 1,601,885,000 1,597,468,000 UNPUB
Current Assets 292,701,000 281,082,000 302,840,000 UNPUB
Current Liabilities 337,157,000 323,494,000 324,703,000 UNPUB
Equity 413,443,000 418,815,000 445,046,000 UNPUB
Equity Attributable To Noncontrolling Interest 0 0 0 UNPUB
Equity Attributable To Parent 413,443,000 418,815,000 445,046,000 UNPUB
Liabilities -413,443,000 1,183,070,000 1,152,422,000 UNPUB
Liabilities And Equity 1,643,607,000 1,601,885,000 1,597,468,000 UNPUB
Noncurrent Assets 1,350,906,000 1,320,803,000 1,294,628,000 UNPUB
Noncurrent Liabilities 0 859,576,000 827,719,000 UNPUB
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-04-07 2023-07-07 2023-10-10 UNPUB
Exchange Gains/Losses 1,207,000 2,000,000 2,303,000 UNPUB
Net Cash Flow -148,296,000 17,550,000 12,468,000 UNPUB
Net Cash Flow, Continuing -149,503,000 15,550,000 10,165,000 UNPUB
Net Cash Flow From Financing Activities 174,798,000 -45,842,000 -35,510,000 UNPUB
Net Cash Flow From Financing Activities, Continuing 174,798,000 -45,842,000 -35,510,000 UNPUB
Net Cash Flow From Investing Activities -371,068,000 13,441,000 -366,000 UNPUB
Net Cash Flow From Investing Activities, Continuing -371,068,000 13,441,000 -366,000 UNPUB
Net Cash Flow From Operating Activities 46,767,000 47,951,000 46,041,000 UNPUB
Net Cash Flow From Operating Activities, Continuing 46,767,000 47,951,000 46,041,000 UNPUB
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-04-07 2023-07-07 2023-10-10 UNPUB
Comprehensive Income/Loss 25,263,000 13,019,000 20,228,000 UNPUB
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 UNPUB
Comprehensive Income/Loss Attributable To Parent 25,263,000 13,019,000 20,228,000 UNPUB
Other Comprehensive Income/Loss 1,589,000 929,000 1,130,000 UNPUB
Other Comprehensive Income/Loss Attributable To Parent 1,589,000 929,000 1,130,000 UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-04-07 2023-07-07 2023-10-10 UNPUB
Basic Earnings Per Share 1 0 0 UNPUB
Benefits Costs and Expenses 134,302,000 163,642,000 154,040,000 UNPUB
Cost Of Revenue 26,217,000 33,778,000 32,919,000 UNPUB
Costs And Expenses 134,302,000 163,642,000 154,040,000 UNPUB
Diluted Earnings Per Share 1 0 0 UNPUB
Gross Profit 138,009,000 144,473,000 142,073,000 UNPUB
Income/Loss From Continuing Operations After Tax 23,674,000 12,090,000 19,098,000 UNPUB
Income/Loss From Continuing Operations Before Tax 29,924,000 14,609,000 20,952,000 UNPUB
Income Tax Expense/Benefit 6,250,000 2,519,000 1,854,000 UNPUB
Interest Expense, Operating 5,848,000 8,514,000 8,532,000 UNPUB
Net Income/Loss 23,674,000 12,090,000 19,098,000 UNPUB
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 UNPUB
Net Income/Loss Attributable To Parent 23,674,000 12,090,000 19,098,000 UNPUB
Net Income/Loss Available To Common Stockholders, Basic 23,674,000 12,090,000 19,098,000 UNPUB
Operating Expenses 102,421,000 121,446,000 112,702,000 UNPUB
Operating Income/Loss 35,588,000 23,027,000 29,371,000 UNPUB
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 UNPUB
Preferred Stock Dividends And Other Adjustments 0 0 0 UNPUB
Revenues 164,226,000 178,251,000 174,992,000 UNPUB
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-04-07 2022-07-07 2022-10-06 2023-01-27
Assets 1,353,116,000 1,354,582,000 1,346,292,000 1,411,479,000
Current Assets 342,622,000 355,869,000 364,434,000 426,053,000
Current Liabilities 283,730,000 284,229,000 279,683,000 318,004,000
Equity 368,323,000 372,146,000 366,973,000 398,504,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 368,323,000 372,146,000 366,973,000 398,504,000
Liabilities -368,323,000 -372,146,000 979,319,000 1,012,975,000
Liabilities And Equity 1,353,116,000 1,354,582,000 1,346,292,000 1,411,479,000
Noncurrent Assets 1,010,494,000 998,713,000 981,858,000 985,426,000
Noncurrent Liabilities 0 0 699,636,000 694,971,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-04-07 2022-07-07 2022-10-06 2023-01-27
Exchange Gains/Losses 729,000 -5,946,000 -8,810,000 -11,858,000
Net Cash Flow 16,260,000 53,197,000 -748,000 100,871,000
Net Cash Flow, Continuing 15,531,000 59,143,000 8,062,000 112,729,000
Net Cash Flow From Financing Activities -28,031,000 -34,567,000 -30,935,000 -101,423,000
Net Cash Flow From Financing Activities, Continuing -28,031,000 -34,567,000 -30,935,000 -101,423,000
Net Cash Flow From Investing Activities -531,000 25,450,000 -673,000 21,992,000
Net Cash Flow From Investing Activities, Continuing -531,000 25,450,000 -673,000 21,992,000
Net Cash Flow From Operating Activities 44,093,000 68,260,000 39,670,000 192,160,000
Net Cash Flow From Operating Activities, Continuing 44,093,000 68,260,000 39,670,000 192,160,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-04-07 2022-07-07 2022-10-06 2023-01-27
Comprehensive Income/Loss 23,881,000 26,039,000 15,355,000 92,277,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 23,881,000 26,039,000 15,355,000 92,277,000
Other Comprehensive Income/Loss 3,427,000 -3,071,000 -6,442,000 -2,792,000
Other Comprehensive Income/Loss Attributable To Parent 3,427,000 -3,071,000 -6,442,000 -2,792,000
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-04-07 2022-07-07 2022-10-06 2023-01-27
Basic Earnings Per Share 0 1 1 2
Benefits Costs and Expenses 118,970,000 111,902,000 123,535,000 484,758,000
Cost Of Revenue 23,212,000 23,957,000 23,796,000 94,496,000
Costs And Expenses 118,970,000 111,902,000 123,535,000 484,758,000
Diluted Earnings Per Share 0 1 1 2
Gross Profit 121,710,000 124,790,000 127,421,000 507,517,000
Income/Loss From Continuing Operations After Tax 20,454,000 29,110,000 21,797,000 95,069,000
Income/Loss From Continuing Operations Before Tax 25,952,000 36,845,000 27,682,000 117,255,000
Income Tax Expense/Benefit 5,498,000 7,735,000 5,885,000 22,186,000
Interest Expense, Operating 3,703,000 3,656,000 4,009,000 15,790,000
Net Income/Loss 20,454,000 29,110,000 21,797,000 95,069,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 20,454,000 29,110,000 21,797,000 95,069,000
Net Income/Loss Available To Common Stockholders, Basic 20,454,000 29,110,000 21,797,000 95,069,000
Operating Expenses 92,278,000 84,555,000 95,400,000 375,386,000
Operating Income/Loss 29,432,000 40,235,000 32,021,000 132,131,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 144,922,000 148,747,000 151,217,000 602,013,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-04-05 2021-07-07 2021-10-07 2022-01-27
Assets 1,027,057,000 1,239,994,000 1,275,487,000 1,363,537,000
Current Assets 239,309,000 470,968,000 508,897,000 337,808,000
Current Liabilities 265,740,000 266,077,000 271,608,000 322,929,000
Equity 352,553,000 365,721,000 396,773,000 412,489,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 352,553,000 365,721,000 396,773,000 412,489,000
Liabilities -352,553,000 -365,721,000 878,714,000 951,048,000
Liabilities And Equity 1,027,057,000 1,239,994,000 1,275,487,000 1,363,537,000
Noncurrent Assets 787,748,000 769,026,000 766,590,000 1,025,729,000
Noncurrent Liabilities 0 0 607,106,000 628,119,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-04-05 2021-07-07 2021-10-07 2022-01-27
Exchange Gains/Losses 1,780,000 2,123,000 -3,287,000 -2,892,000
Net Cash Flow 9,708,000 249,662,000 22,535,000 57,416,000
Net Cash Flow, Continuing 7,928,000 247,539,000 25,822,000 60,308,000
Net Cash Flow From Financing Activities -39,024,000 192,449,000 -10,477,000 132,113,000
Net Cash Flow From Financing Activities, Continuing -39,024,000 192,449,000 -10,477,000 132,113,000
Net Cash Flow From Investing Activities 2,264,000 400,000 1,075,000 -250,335,000
Net Cash Flow From Investing Activities, Continuing 2,264,000 400,000 1,075,000 -250,335,000
Net Cash Flow From Operating Activities 44,688,000 54,690,000 35,224,000 178,530,000
Net Cash Flow From Operating Activities, Continuing 44,688,000 54,690,000 35,224,000 178,530,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-04-05 2021-07-07 2021-10-07 2022-01-27
Comprehensive Income/Loss 21,037,000 15,615,000 29,261,000 78,755,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 21,037,000 15,615,000 29,261,000 78,755,000
Other Comprehensive Income/Loss 2,076,000 2,058,000 -1,715,000 78,755,000
Other Comprehensive Income/Loss Attributable To Parent 2,076,000 2,058,000 -1,715,000 335,000
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-04-05 2021-07-07 2021-10-07 2022-01-27
Basic Earnings Per Share UNPUB UNPUB UNPUB 2
Benefits Costs and Expenses 96,516,000 105,424,000 107,910,000 435,779,000
Cost Of Revenue 17,991,000 19,310,000 20,068,000 78,449,000
Costs And Expenses 96,516,000 105,424,000 107,910,000 435,779,000
Diluted Earnings Per Share UNPUB UNPUB UNPUB 2
Gross Profit 103,289,000 103,178,000 127,349,000 452,864,000
Income/Loss From Continuing Operations After Tax 18,961,000 13,557,000 30,976,000 78,420,000
Income/Loss From Continuing Operations Before Tax 24,764,000 17,064,000 39,507,000 95,534,000
Income Tax Expense/Benefit 5,803,000 3,507,000 8,531,000 17,114,000
Interest Expense, Operating 2,514,000 4,601,000 6,510,000 20,045,000
Net Income/Loss 18,961,000 13,557,000 30,976,000 78,420,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 18,961,000 13,557,000 30,976,000 78,420,000
Net Income/Loss Available To Common Stockholders, Basic 18,961,000 13,557,000 30,976,000 78,420,000
Operating Expenses 75,873,000 80,896,000 81,303,000 336,762,000
Operating Income/Loss 27,416,000 22,282,000 46,046,000 116,102,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 121,280,000 122,488,000 147,417,000 531,313,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-04-07 2020-07-08 2020-10-08 2021-01-27
Assets 890,182,000 895,602,000 919,468,000 1,041,782,000
Current Assets 274,738,000 291,398,000 320,206,000 238,935,000
Current Liabilities 230,722,000 225,172,000 227,691,000 262,543,000
Equity 327,957,000 339,961,000 368,166,000 346,013,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 327,957,000 339,961,000 368,166,000 346,013,000
Liabilities -327,957,000 -339,961,000 551,302,000 695,769,000
Liabilities And Equity 890,182,000 895,602,000 919,468,000 1,041,782,000
Noncurrent Assets 615,444,000 604,204,000 599,262,000 802,847,000
Noncurrent Liabilities 0 0 323,611,000 433,226,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-04-07 2020-07-08 2020-10-08 2021-01-27
Exchange Gains/Losses -1,487,000 -2,553,000 6,726,000 3,097,000
Net Cash Flow 6,835,000 32,128,000 27,353,000 -56,269,000
Net Cash Flow, Continuing 8,322,000 34,681,000 20,627,000 -59,366,000
Net Cash Flow From Financing Activities -27,054,000 -8,201,000 -9,673,000 3,080,000
Net Cash Flow From Financing Activities, Continuing -27,054,000 -8,201,000 -9,673,000 3,080,000
Net Cash Flow From Investing Activities 2,360,000 4,925,000 -812,000 -207,293,000
Net Cash Flow From Investing Activities, Continuing 2,360,000 4,925,000 -812,000 -207,293,000
Net Cash Flow From Operating Activities 33,016,000 37,957,000 31,112,000 144,847,000
Net Cash Flow From Operating Activities, Continuing 33,016,000 37,957,000 31,112,000 144,847,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-04-07 2020-07-08 2020-10-08 2021-01-27
Comprehensive Income/Loss 21,116,000 16,968,000 23,977,000 76,918,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 17,873,000 11,941,000 28,620,000 76,918,000
Other Comprehensive Income/Loss 0 -5,027,000 4,643,000 76,918,000
Other Comprehensive Income/Loss Attributable To Parent -3,243,000 -5,027,000 4,643,000 -2,804,000
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-04-07 2020-07-08 2020-10-08 2021-01-27
Basic Earnings Per Share 0 0 1 2
Benefits Costs and Expenses 0 0 0 345,515,000
Cost Of Revenue 14,886,000 14,259,000 14,738,000 62,114,000
Costs And Expenses 78,971,000 75,074,000 76,506,000 345,515,000
Diluted Earnings Per Share 0 0 1 2
Gross Profit 94,797,000 86,124,000 94,961,000 380,036,000
Income/Loss From Continuing Operations After Tax 21,116,000 16,968,000 23,977,000 79,722,000
Income/Loss From Continuing Operations Before Tax 27,315,000 22,462,000 30,231,000 96,635,000
Income Tax Expense/Benefit 6,199,000 5,494,000 6,254,000 16,913,000
Interest Expense, Operating 2,792,000 2,598,000 2,302,000 10,170,000
Net Income/Loss 21,116,000 16,968,000 23,977,000 79,722,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 21,116,000 16,968,000 23,977,000 79,722,000
Net Income/Loss Available To Common Stockholders, Basic 21,116,000 16,968,000 23,977,000 79,722,000
Operating Expenses 64,085,000 60,815,000 61,768,000 272,308,000
Operating Income/Loss 30,712,000 25,309,000 33,193,000 107,728,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 109,683,000 100,383,000 109,699,000 442,150,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-04-05 2019-07-09 2019-10-07 2020-01-27
Assets 615,891,000 829,905,000 859,925,000 881,271,000
Current Assets 215,684,000 204,306,000 236,294,000 284,665,000
Current Liabilities 182,028,000 204,199,000 215,332,000 240,885,000
Equity 306,702,000 315,347,000 332,952,000 330,282,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 306,702,000 315,347,000 332,952,000 330,282,000
Liabilities -306,702,000 -315,347,000 526,973,000 550,989,000
Liabilities And Equity 615,891,000 829,905,000 859,925,000 881,271,000
Noncurrent Assets 400,207,000 625,599,000 623,631,000 596,606,000
Noncurrent Liabilities 0 0 311,641,000 310,104,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-04-05 2019-07-09 2019-10-07 2020-01-27
Exchange Gains/Losses 1,432,000 -2,760,000 -2,396,000 -1,263,000
Net Cash Flow 1,390,000 -3,267,000 20,771,000 49,133,000
Net Cash Flow, Continuing -42,000 -507,000 23,167,000 50,396,000
Net Cash Flow From Financing Activities -31,645,000 177,251,000 -6,769,000 130,292,000
Net Cash Flow From Financing Activities, Continuing -31,645,000 177,251,000 -6,769,000 130,292,000
Net Cash Flow From Investing Activities 7,159,000 -218,432,000 3,171,000 -208,380,000
Net Cash Flow From Investing Activities, Continuing 7,159,000 -218,432,000 3,171,000 -208,380,000
Net Cash Flow From Operating Activities 24,444,000 40,674,000 26,765,000 128,484,000
Net Cash Flow From Operating Activities, Continuing 24,444,000 40,674,000 26,765,000 128,484,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-04-05 2019-07-09 2019-10-07 2020-01-27
Comprehensive Income/Loss 9,402,000 8,181,000 13,557,000 24,602,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 10,964,000 6,205,000 9,125,000 24,602,000
Other Comprehensive Income/Loss 0 -1,976,000 -4,432,000 24,602,000
Other Comprehensive Income/Loss Attributable To Parent 1,562,000 -1,976,000 -4,432,000 -1,798,000
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-04-05 2019-07-09 2019-10-07 2020-01-27
Basic Earnings Per Share 0 0 0 1
Benefits Costs and Expenses 0 0 0 384,803,000
Cost Of Revenue 16,039,000 17,611,000 20,825,000 75,241,000
Costs And Expenses 74,140,000 85,254,000 90,756,000 384,803,000
Diluted Earnings Per Share 0 0 0 1
Gross Profit 73,510,000 82,384,000 85,891,000 338,057,000
Income/Loss From Continuing Operations After Tax 9,402,000 8,181,000 13,557,000 26,400,000
Income/Loss From Continuing Operations Before Tax 13,406,000 12,424,000 12,242,000 28,495,000
Income Tax Expense/Benefit 4,004,000 4,243,000 -1,315,000 2,095,000
Interest Expense, Operating 1,389,000 2,210,000 3,321,000 9,913,000
Net Income/Loss 9,402,000 8,181,000 13,557,000 26,400,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 9,402,000 8,181,000 13,557,000 26,400,000
Net Income/Loss Available To Common Stockholders, Basic 9,402,000 8,181,000 13,557,000 26,400,000
Operating Expenses 58,101,000 67,643,000 69,931,000 297,973,000
Operating Income/Loss 15,409,000 14,741,000 15,960,000 40,084,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 89,549,000 99,995,000 106,716,000 413,298,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-04-06 2018-07-06 2018-10-05 2019-01-28
Assets 683,140,000 636,973,000 625,432,000 640,609,000
Current Assets 237,652,000 200,621,000 197,394,000 228,819,000
Current Liabilities 203,032,000 194,863,000 188,217,000 196,018,000
Equity 347,652,000 309,137,000 305,472,000 310,082,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 347,652,000 309,137,000 305,472,000 310,082,000
Liabilities 335,488,000 327,836,000 319,960,000 330,527,000
Liabilities And Equity 683,140,000 636,973,000 625,432,000 640,609,000
Noncurrent Assets 445,488,000 436,352,000 428,038,000 411,790,000
Noncurrent Liabilities 132,456,000 132,973,000 131,743,000 134,509,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-04-06 2018-07-06 2018-10-05 2019-01-28
Exchange Gains/Losses 4,693,000 -10,574,000 -2,068,000 -10,512,000
Net Cash Flow -16,353,000 -19,990,000 1,576,000 -28,338,000
Net Cash Flow, Continuing -21,046,000 -9,416,000 3,644,000 -17,826,000
Net Cash Flow From Financing Activities -50,697,000 -52,758,000 -24,657,000 -146,771,000
Net Cash Flow From Financing Activities, Continuing -50,697,000 -52,758,000 -24,657,000 -146,771,000
Net Cash Flow From Investing Activities -1,944,000 1,213,000 5,000,000 7,593,000
Net Cash Flow From Investing Activities, Continuing -1,944,000 1,213,000 5,000,000 7,593,000
Net Cash Flow From Operating Activities 31,595,000 42,129,000 23,301,000 121,352,000
Net Cash Flow From Operating Activities, Continuing 31,595,000 42,129,000 23,301,000 121,352,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-04-06 2018-07-06 2018-10-05 2019-01-28
Comprehensive Income/Loss 12,912,000 15,403,000 16,746,000 54,277,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 16,716,000 6,384,000 14,848,000 54,277,000
Other Comprehensive Income/Loss 3,804,000 -9,019,000 -1,898,000 54,277,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB -9,214,000
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-04-06 2018-07-06 2018-10-05 2019-01-28
Basic Earnings Per Share 0 0 0 1
Benefits Costs and Expenses 0 0 0 318,185,000
Cost Of Revenue 16,903,000 16,643,000 16,696,000 66,973,000
Costs And Expenses 76,279,000 74,314,000 73,500,000 318,185,000
Diluted Earnings Per Share 0 0 0 1
Gross Profit 77,144,000 79,459,000 78,987,000 330,192,000
Income/Loss From Continuing Operations After Tax 12,912,000 15,403,000 16,746,000 63,491,000
Income/Loss From Continuing Operations Before Tax 16,183,000 20,504,000 20,222,000 78,980,000
Income Tax Expense/Benefit 3,271,000 5,101,000 3,476,000 15,489,000
Interest Expense, Operating 1,165,000 1,272,000 1,337,000 5,149,000
Net Income/Loss 12,912,000 15,403,000 16,746,000 63,491,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 12,912,000 15,403,000 16,746,000 63,491,000
Net Income/Loss Available To Common Stockholders, Basic 12,912,000 15,403,000 16,746,000 63,491,000
Operating Expenses 59,376,000 57,671,000 56,804,000 244,194,000
Operating Income/Loss 17,768,000 21,788,000 22,183,000 85,998,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 94,047,000 96,102,000 95,683,000 397,165,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-04-07 2017-07-07 2017-10-10 2018-01-26
Assets 741,131,000 737,064,000 725,816,000 718,718,000
Current Assets 336,938,000 311,308,000 261,627,000 263,407,000
Current Liabilities 221,169,000 210,242,000 206,105,000 208,018,000
Equity 386,186,000 392,836,000 391,602,000 376,084,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 386,186,000 392,836,000 391,602,000 376,084,000
Liabilities 354,945,000 344,228,000 334,214,000 342,634,000
Liabilities And Equity 741,131,000 737,064,000 725,816,000 718,718,000
Noncurrent Assets 404,193,000 425,756,000 464,189,000 455,311,000
Noncurrent Liabilities 133,776,000 133,986,000 128,109,000 134,616,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-04-07 2017-07-07 2017-10-10 2018-01-26
Exchange Gains/Losses 1,018,000 5,385,000 7,240,000 11,847,000
Net Cash Flow 19,871,000 -29,021,000 -53,129,000 -73,572,000
Net Cash Flow, Continuing 18,853,000 -34,406,000 -60,369,000 -85,419,000
Net Cash Flow From Financing Activities -23,365,000 -18,188,000 -26,505,000 -103,314,000
Net Cash Flow From Financing Activities, Continuing -23,365,000 -18,188,000 -26,505,000 -103,314,000
Net Cash Flow From Investing Activities 4,918,000 -38,647,000 -47,306,000 -87,791,000
Net Cash Flow From Investing Activities, Continuing 4,918,000 -38,647,000 -47,306,000 -87,791,000
Net Cash Flow From Operating Activities 37,300,000 22,429,000 13,442,000 105,686,000
Net Cash Flow From Operating Activities, Continuing 37,300,000 22,429,000 13,442,000 105,686,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-04-07 2017-07-07 2017-10-10 2018-01-26
Comprehensive Income/Loss -525,000 10,341,000 11,172,000 46,979,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 774,000 14,491,000 17,119,000 46,979,000
Other Comprehensive Income/Loss 1,299,000 4,150,000 5,947,000 9,562,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-04-07 2017-07-07 2017-10-10 2018-01-26
Basic Earnings Per Share 0 0 0 1
Benefits Costs and Expenses 0 0 0 331,985,000
Cost Of Revenue 15,758,000 17,367,000 18,075,000 69,159,000
Costs And Expenses 89,748,000 72,929,000 77,011,000 331,985,000
Diluted Earnings Per Share 0 0 0 1
Gross Profit 75,212,000 75,846,000 79,235,000 328,413,000
Income/Loss From Continuing Operations After Tax -525,000 10,341,000 11,172,000 37,417,000
Income/Loss From Continuing Operations Before Tax -125,000 18,732,000 18,899,000 65,587,000
Income Tax Expense/Benefit 400,000 8,391,000 7,727,000 28,170,000
Interest Expense, Operating 1,082,000 1,152,000 1,221,000 4,631,000
Net Income/Loss -525,000 10,341,000 11,172,000 37,417,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent -525,000 10,341,000 11,172,000 37,417,000
Net Income/Loss Available To Common Stockholders, Basic -525,000 10,341,000 11,172,000 37,417,000
Operating Expenses 73,990,000 55,562,000 58,936,000 257,799,000
Operating Income/Loss 1,222,000 20,284,000 20,299,000 70,614,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 90,970,000 93,213,000 97,310,000 397,572,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-04-08 2016-07-08 2016-10-07 2017-01-30
Assets 876,868,000 834,230,000 832,779,000 754,827,000
Current Assets 330,895,000 299,373,000 308,963,000 336,053,000
Current Liabilities 203,407,000 195,424,000 195,987,000 203,738,000
Equity 522,636,000 491,403,000 494,579,000 406,629,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 522,636,000 491,403,000 494,579,000 406,629,000
Liabilities 354,232,000 342,827,000 338,200,000 348,198,000
Liabilities And Equity 876,868,000 834,230,000 832,779,000 754,827,000
Noncurrent Assets 545,973,000 534,857,000 523,816,000 418,774,000
Noncurrent Liabilities 150,825,000 147,403,000 142,213,000 144,460,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-04-08 2016-07-08 2016-10-07 2017-01-30
Exchange Gains/Losses -1,223,000 3,644,000 -2,006,000 -4,993,000
Net Cash Flow -8,675,000 -23,971,000 8,351,000 -5,343,000
Net Cash Flow, Continuing -7,452,000 -27,615,000 10,357,000 -350,000
Net Cash Flow From Financing Activities -9,467,000 -51,160,000 -12,660,000 -82,193,000
Net Cash Flow From Financing Activities, Continuing -9,467,000 -51,160,000 -12,660,000 -82,193,000
Net Cash Flow From Investing Activities -20,487,000 -3,215,000 3,369,000 -21,002,000
Net Cash Flow From Investing Activities, Continuing -20,487,000 -3,215,000 3,369,000 -21,002,000
Net Cash Flow From Operating Activities 22,502,000 26,760,000 19,648,000 102,845,000
Net Cash Flow From Operating Activities, Continuing 22,502,000 26,760,000 19,648,000 102,845,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-04-08 2016-07-08 2016-10-07 2017-01-30
Comprehensive Income/Loss 3,216,000 7,275,000 7,576,000 -59,659,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 2,165,000 10,395,000 6,274,000 -59,659,000
Other Comprehensive Income/Loss -1,051,000 3,120,000 0 -3,933,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB -1,302,000 UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-04-08 2016-07-08 2016-10-07 2017-01-30
Basic Earnings Per Share 0 0 0 -1
Benefits Costs and Expenses 0 0 0 440,621,000
Cost Of Revenue 15,750,000 16,235,000 17,189,000 65,712,000
Costs And Expenses 82,776,000 83,774,000 88,412,000 440,621,000
Diluted Earnings Per Share 0 0 0 -1
Gross Profit 73,731,000 79,883,000 84,829,000 339,629,000
Income/Loss From Continuing Operations After Tax 3,216,000 7,275,000 7,576,000 -55,726,000
Income/Loss From Continuing Operations Before Tax 4,880,000 10,983,000 12,318,000 -35,280,000
Income Tax Expense/Benefit 1,664,000 3,708,000 4,742,000 20,446,000
Interest Expense, Operating 1,057,000 1,013,000 1,174,000 4,178,000
Net Income/Loss 3,216,000 7,275,000 7,576,000 -55,726,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 3,216,000 7,275,000 7,576,000 -55,726,000
Net Income/Loss Available To Common Stockholders, Basic 3,216,000 7,275,000 7,576,000 -55,726,000
Operating Expenses 67,026,000 67,539,000 71,223,000 369,338,000
Operating Income/Loss 6,705,000 12,344,000 13,606,000 -29,709,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 89,481,000 96,118,000 102,018,000 405,341,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2015-04-07 2015-07-08 2015-10-07 2016-01-29
Assets 889,592,000 877,018,000 886,634,000 877,123,000
Current Assets 312,298,000 312,579,000 330,367,000 323,409,000
Current Liabilities 193,815,000 196,391,000 197,391,000 199,916,000
Equity 538,070,000 522,999,000 529,742,000 522,464,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 538,070,000 522,999,000 529,742,000 522,464,000
Liabilities 351,522,000 354,019,000 356,892,000 354,659,000
Liabilities And Equity 889,592,000 877,018,000 886,634,000 877,123,000
Noncurrent Assets 577,294,000 564,439,000 556,267,000 553,714,000
Noncurrent Liabilities 157,707,000 157,628,000 159,501,000 154,743,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2015-04-07 2015-07-08 2015-10-07 2016-01-29
Exchange Gains/Losses -6,753,000 -3,242,000 -242,000 -13,335,000
Net Cash Flow -76,047,000 -21,015,000 23,093,000 -50,703,000
Net Cash Flow, Continuing -69,294,000 -17,773,000 23,335,000 -37,368,000
Net Cash Flow From Financing Activities 142,108,000 -26,218,000 2,337,000 118,300,000
Net Cash Flow From Financing Activities, Continuing 142,108,000 -26,218,000 2,337,000 118,300,000
Net Cash Flow From Investing Activities -248,542,000 -12,346,000 1,741,000 -260,208,000
Net Cash Flow From Investing Activities, Continuing -248,542,000 -12,346,000 1,741,000 -260,208,000
Net Cash Flow From Operating Activities 37,140,000 20,791,000 19,257,000 104,540,000
Net Cash Flow From Operating Activities, Continuing 37,140,000 20,791,000 19,257,000 104,540,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2015-04-07 2015-07-08 2015-10-07 2016-01-29
Comprehensive Income/Loss -971,000 5,769,000 -4,126,000 -19,703,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent -6,451,000 3,064,000 -4,400,000 -19,703,000
Other Comprehensive Income/Loss -5,480,000 -2,705,000 -274,000 -10,902,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2015-04-07 2015-07-08 2015-10-07 2016-01-29
Basic Earnings Per Share UNPUB UNPUB UNPUB 0
Benefits Costs and Expenses 0 0 0 365,200,000
Cost Of Revenue 17,628,000 15,746,000 15,132,000 63,742,000
Costs And Expenses 92,567,000 91,552,000 86,043,000 365,200,000
Diluted Earnings Per Share UNPUB UNPUB UNPUB 0
Gross Profit 63,753,000 73,071,000 79,505,000 313,812,000
Income/Loss From Continuing Operations After Tax -971,000 5,769,000 -4,126,000 -8,801,000
Income/Loss From Continuing Operations Before Tax -10,253,000 -3,760,000 7,429,000 12,354,000
Income Tax Expense/Benefit -9,282,000 -9,529,000 11,555,000 21,155,000
Interest Expense, Operating 1,139,000 947,000 987,000 3,788,000
Net Income/Loss -971,000 5,769,000 -4,126,000 -8,801,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent -971,000 5,769,000 -4,126,000 -8,801,000
Net Income/Loss Available To Common Stockholders, Basic -971,000 5,769,000 -4,126,000 -8,801,000
Operating Expenses 74,939,000 75,806,000 70,911,000 299,058,000
Operating Income/Loss -11,186,000 -2,735,000 8,594,000 14,754,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 81,381,000 88,817,000 94,637,000 377,554,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2014-04-09 2014-07-08 2014-10-09 2015-01-29
Assets 690,434,000 673,349,000 676,644,000 703,061,000
Current Assets 347,691,000 321,107,000 352,682,000 385,673,000
Current Liabilities 162,134,000 150,159,000 148,176,000 153,303,000
Equity 524,674,000 518,526,000 524,277,000 543,245,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 524,674,000 518,526,000 524,277,000 543,245,000
Liabilities 165,760,000 154,823,000 152,367,000 159,816,000
Liabilities And Equity 690,434,000 673,349,000 676,644,000 703,061,000
Noncurrent Assets 342,743,000 352,242,000 323,962,000 317,388,000
Noncurrent Liabilities 3,626,000 4,664,000 4,191,000 6,513,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2014-04-09 2014-07-08 2014-10-09 2015-01-29
Exchange Gains/Losses 492,000 998,000 -1,581,000 -6,334,000
Net Cash Flow 20,538,000 -17,385,000 40,409,000 64,264,000
Net Cash Flow, Continuing 20,046,000 -18,383,000 41,990,000 70,598,000
Net Cash Flow From Financing Activities -5,752,000 -25,534,000 -13,521,000 -42,232,000
Net Cash Flow From Financing Activities, Continuing -5,752,000 -25,534,000 -13,521,000 -42,232,000
Net Cash Flow From Investing Activities 374,000 -9,965,000 29,582,000 5,136,000
Net Cash Flow From Investing Activities, Continuing 374,000 -9,965,000 29,582,000 5,136,000
Net Cash Flow From Operating Activities 25,424,000 17,116,000 25,929,000 107,694,000
Net Cash Flow From Operating Activities, Continuing 25,424,000 17,116,000 25,929,000 107,694,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2014-04-09 2014-07-08 2014-10-09 2015-01-29
Comprehensive Income/Loss 11,100,000 12,799,000 11,095,000 47,391,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 11,474,000 13,670,000 12,377,000 47,391,000
Other Comprehensive Income/Loss 374,000 871,000 1,282,000 -2,067,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2014-04-09 2014-07-08 2014-10-09 2015-01-29
Basic Earnings Per Share 0 0 0 1
Benefits Costs and Expenses 63,438,000 68,028,000 68,179,000 254,729,000
Cost Of Revenue 7,881,000 7,378,000 7,861,000 34,259,000
Costs And Expenses 63,438,000 68,028,000 68,179,000 254,729,000
Diluted Earnings Per Share 0 0 0 1
Gross Profit 66,657,000 73,449,000 71,413,000 298,274,000
Income/Loss From Continuing Operations After Tax 11,100,000 12,799,000 11,095,000 49,458,000
Income/Loss From Continuing Operations Before Tax 14,008,000 20,151,000 16,974,000 77,804,000
Income Tax Expense/Benefit 2,908,000 7,352,000 5,879,000 28,346,000
Interest Expense, Operating UNPUB UNPUB UNPUB UNPUB
Net Income/Loss 11,100,000 12,799,000 11,095,000 49,458,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 11,100,000 12,799,000 11,095,000 49,458,000
Net Income/Loss Available To Common Stockholders, Basic 11,100,000 12,799,000 11,095,000 49,458,000
Operating Expenses 52,655,000 53,169,000 51,982,000 217,534,000
Operating Income/Loss 14,002,000 20,280,000 19,431,000 80,740,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 74,538,000 80,827,000 79,274,000 332,533,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2013-04-09 2013-07-10 2013-10-09 2014-01-29
Assets 780,374,000 711,093,000 686,590,000 682,187,000
Current Assets 432,841,000 357,848,000 335,637,000 337,811,000
Current Liabilities 181,136,000 165,387,000 163,770,000 164,579,000
Equity 595,816,000 542,238,000 519,355,000 513,654,000
Equity Attributable To Noncontrolling Interest 0 0 0 0
Equity Attributable To Parent 595,816,000 542,238,000 519,355,000 513,654,000
Liabilities 184,558,000 168,855,000 167,235,000 168,533,000
Liabilities And Equity 780,374,000 711,093,000 686,590,000 682,187,000
Noncurrent Assets 347,533,000 353,245,000 350,953,000 344,376,000
Noncurrent Liabilities 3,422,000 3,468,000 3,465,000 3,954,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2013-04-09 2013-07-10 2013-10-09 2014-01-29
Exchange Gains/Losses -839,000 -2,812,000 -1,036,000 -915,000
Net Cash Flow -22,575,000 -60,830,000 -3,045,000 -102,974,000
Net Cash Flow, Continuing -21,736,000 -58,018,000 -2,009,000 -102,059,000
Net Cash Flow From Financing Activities -79,992,000 -65,296,000 -48,422,000 -225,401,000
Net Cash Flow From Financing Activities, Continuing -79,992,000 -65,296,000 -48,422,000 -225,401,000
Net Cash Flow From Investing Activities 83,315,000 -6,363,000 48,274,000 118,762,000
Net Cash Flow From Investing Activities, Continuing 83,315,000 -6,363,000 48,274,000 118,762,000
Net Cash Flow From Operating Activities -25,059,000 13,641,000 -1,861,000 4,580,000
Net Cash Flow From Operating Activities, Continuing -25,059,000 13,641,000 -1,861,000 4,580,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2013-04-09 2013-07-10 2013-10-09 2014-01-29
Comprehensive Income/Loss 31,118,000 3,910,000 24,843,000 74,012,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 30,755,000 1,898,000 23,306,000 74,012,000
Other Comprehensive Income/Loss -363,000 -2,012,000 -1,537,000 -895,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2013-04-09 2013-07-10 2013-10-09 2014-01-29
Basic Earnings Per Share 1 0 0 1
Benefits Costs and Expenses 73,920,000 73,563,000 70,374,000 271,213,000
Cost Of Revenue 11,382,000 8,489,000 8,519,000 34,982,000
Costs And Expenses 73,920,000 73,563,000 70,374,000 271,213,000
Diluted Earnings Per Share 1 0 0 1
Gross Profit 73,854,000 73,216,000 69,059,000 299,014,000
Income/Loss From Continuing Operations After Tax 9,813,000 8,142,000 7,204,000 39,777,000
Income/Loss From Continuing Operations Before Tax 14,167,000 14,094,000 9,838,000 62,783,000
Income Tax Expense/Benefit 5,044,000 5,952,000 2,634,000 23,006,000
Interest Expense, Operating UNPUB UNPUB UNPUB UNPUB
Net Income/Loss 31,118,000 3,910,000 24,843,000 74,907,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 31,118,000 3,910,000 24,843,000 74,907,000
Net Income/Loss Available To Common Stockholders, Basic 31,118,000 3,910,000 24,843,000 74,907,000
Operating Expenses 63,172,000 58,830,000 59,398,000 235,274,000
Operating Income/Loss 15,793,000 14,386,000 9,661,000 63,740,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 83,733,000 81,705,000 77,578,000 333,996,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB UNPUB 2013-01-29
Assets UNPUB UNPUB UNPUB 884,977,000
Current Assets UNPUB UNPUB UNPUB 526,818,000
Current Liabilities UNPUB UNPUB UNPUB 240,154,000
Equity UNPUB UNPUB UNPUB 638,399,000
Equity Attributable To Noncontrolling Interest UNPUB UNPUB UNPUB 0
Equity Attributable To Parent UNPUB UNPUB UNPUB 638,399,000
Liabilities UNPUB UNPUB UNPUB 246,578,000
Liabilities And Equity UNPUB UNPUB UNPUB 884,977,000
Noncurrent Assets UNPUB UNPUB UNPUB 358,159,000
Noncurrent Liabilities UNPUB UNPUB UNPUB 6,424,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB UNPUB 2013-01-29
Exchange Gains/Losses UNPUB UNPUB UNPUB -2,530,000
Net Cash Flow UNPUB UNPUB UNPUB 140,697,000
Net Cash Flow, Continuing UNPUB UNPUB UNPUB 143,227,000
Net Cash Flow From Financing Activities UNPUB UNPUB UNPUB -55,028,000
Net Cash Flow From Financing Activities, Continuing UNPUB UNPUB UNPUB -55,028,000
Net Cash Flow From Investing Activities UNPUB UNPUB UNPUB 94,140,000
Net Cash Flow From Investing Activities, Continuing UNPUB UNPUB UNPUB 94,140,000
Net Cash Flow From Operating Activities UNPUB UNPUB UNPUB 104,115,000
Net Cash Flow From Operating Activities, Continuing UNPUB UNPUB UNPUB 104,115,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB UNPUB 2013-01-29
Comprehensive Income/Loss UNPUB UNPUB UNPUB 47,444,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest UNPUB UNPUB UNPUB 0
Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB 47,444,000
Other Comprehensive Income/Loss UNPUB UNPUB UNPUB 0
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date UNPUB UNPUB UNPUB 2013-01-29
Basic Earnings Per Share UNPUB UNPUB UNPUB 1
Benefits Costs and Expenses UNPUB UNPUB UNPUB 285,569,000
Cost Of Revenue UNPUB UNPUB UNPUB 43,563,000
Costs And Expenses UNPUB UNPUB UNPUB 285,569,000
Diluted Earnings Per Share UNPUB UNPUB UNPUB 1
Gross Profit UNPUB UNPUB UNPUB 291,642,000
Income/Loss From Continuing Operations After Tax UNPUB UNPUB UNPUB 32,604,000
Income/Loss From Continuing Operations Before Tax UNPUB UNPUB UNPUB 49,636,000
Income Tax Expense/Benefit UNPUB UNPUB UNPUB 17,032,000
Interest Expense, Operating UNPUB UNPUB UNPUB UNPUB
Net Income/Loss UNPUB UNPUB UNPUB 47,444,000
Net Income/Loss Attributable To Noncontrolling Interest UNPUB UNPUB UNPUB 0
Net Income/Loss Attributable To Parent UNPUB UNPUB UNPUB 47,444,000
Net Income/Loss Available To Common Stockholders, Basic UNPUB UNPUB UNPUB 47,444,000
Operating Expenses UNPUB UNPUB UNPUB 242,202,000
Operating Income/Loss UNPUB UNPUB UNPUB 49,440,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic UNPUB UNPUB UNPUB 0
Preferred Stock Dividends And Other Adjustments UNPUB UNPUB UNPUB 0
Revenues UNPUB UNPUB UNPUB 335,205,000
Calendar
17 May 2024 (Time UTC) Actual Previous Consensus
15:30
United States
-17800.000
15:30
United States
-60000.000
15:30
United States
53700.000
15:30
United States
-135800.000
★★
15:30
United States
4400.000
15:30
United States
215400.000
15:30
United States
-31400.000
15:30
United States
62600.000
15:30
United States
1300.000
15:30
United States
-9700.000
15:30
United States
199600.000
★★
15:30
United States
15:30
United States
15:30
United States
15:30
United States
Options
Ticker
CFI
Contract Type
Exercise Style
Share Per Contract
Strike Price
Primary Exchange
Expiration Date
O:PRGS240517P00080000 OPASPS Put American 100 80 BATO 2024-05-17
O:PRGS240517P00075000 OPASPS Put American 100 75 BATO 2024-05-17
O:PRGS240517P00070000 OPASPS Put American 100 70 BATO 2024-05-17
O:PRGS240517P00065000 OPASPS Put American 100 65 BATO 2024-05-17
O:PRGS240517P00062500 OPASPS Put American 100 62.5 BATO 2024-05-17
O:PRGS240517P00060000 OPASPS Put American 100 60 BATO 2024-05-17
O:PRGS240517P00057500 OPASPS Put American 100 57.5 BATO 2024-05-17
O:PRGS240517P00055000 OPASPS Put American 100 55 BATO 2024-05-17
O:PRGS240517P00052500 OPASPS Put American 100 52.5 BATO 2024-05-17
O:PRGS240517P00050000 OPASPS Put American 100 50 BATO 2024-05-17
O:PRGS240517P00047500 OPASPS Put American 100 47.5 BATO 2024-05-17
O:PRGS240517P00045000 OPASPS Put American 100 45 BATO 2024-05-17
O:PRGS240517P00042500 OPASPS Put American 100 42.5 BATO 2024-05-17
O:PRGS240517P00040000 OPASPS Put American 100 40 BATO 2024-05-17
O:PRGS240517P00037500 OPASPS Put American 100 37.5 BATO 2024-05-17
O:PRGS240517P00035000 OPASPS Put American 100 35 BATO 2024-05-17
O:PRGS240517P00032500 OPASPS Put American 100 32.5 BATO 2024-05-17
O:PRGS240517P00030000 OPASPS Put American 100 30 BATO 2024-05-17
O:PRGS240517P00027500 OPASPS Put American 100 27.5 BATO 2024-05-17
O:PRGS240517C00080000 OCASPS Call American 100 80 BATO 2024-05-17
O:PRGS240517C00075000 OCASPS Call American 100 75 BATO 2024-05-17
O:PRGS240517C00070000 OCASPS Call American 100 70 BATO 2024-05-17
O:PRGS240517C00065000 OCASPS Call American 100 65 BATO 2024-05-17
O:PRGS240517C00062500 OCASPS Call American 100 62.5 BATO 2024-05-17
O:PRGS240517C00060000 OCASPS Call American 100 60 BATO 2024-05-17
O:PRGS240517C00057500 OCASPS Call American 100 57.5 BATO 2024-05-17
O:PRGS240517C00055000 OCASPS Call American 100 55 BATO 2024-05-17
O:PRGS240517C00052500 OCASPS Call American 100 52.5 BATO 2024-05-17
O:PRGS240517C00050000 OCASPS Call American 100 50 BATO 2024-05-17
O:PRGS240517C00047500 OCASPS Call American 100 47.5 BATO 2024-05-17
O:PRGS240517C00045000 OCASPS Call American 100 45 BATO 2024-05-17
O:PRGS240517C00042500 OCASPS Call American 100 42.5 BATO 2024-05-17
O:PRGS240517C00040000 OCASPS Call American 100 40 BATO 2024-05-17
O:PRGS240517C00037500 OCASPS Call American 100 37.5 BATO 2024-05-17
O:PRGS240517C00035000 OCASPS Call American 100 35 BATO 2024-05-17
O:PRGS240517C00032500 OCASPS Call American 100 32.5 BATO 2024-05-17
O:PRGS240517C00030000 OCASPS Call American 100 30 BATO 2024-05-17
O:PRGS240517C00027500 OCASPS Call American 100 27.5 BATO 2024-05-17
O:PRGS240419P00030000 OPASPS Put American 100 30 BATO 2024-04-19
O:PRGS240419P00027500 OPASPS Put American 100 27.5 BATO 2024-04-19
O:PRGS240419C00030000 OCASPS Call American 100 30 BATO 2024-04-19
O:PRGS240419C00027500 OCASPS Call American 100 27.5 BATO 2024-04-19
O:PRGS240419P00080000 OPASPS Put American 100 80 BATO 2024-04-19
O:PRGS240419P00075000 OPASPS Put American 100 75 BATO 2024-04-19
O:PRGS240419P00070000 OPASPS Put American 100 70 BATO 2024-04-19
O:PRGS240419P00065000 OPASPS Put American 100 65 BATO 2024-04-19
O:PRGS240419P00062500 OPASPS Put American 100 62.5 BATO 2024-04-19
O:PRGS240419P00060000 OPASPS Put American 100 60 BATO 2024-04-19
O:PRGS240419P00057500 OPASPS Put American 100 57.5 BATO 2024-04-19
O:PRGS240419P00055000 OPASPS Put American 100 55 BATO 2024-04-19
O:PRGS240419P00052500 OPASPS Put American 100 52.5 BATO 2024-04-19
O:PRGS240419P00050000 OPASPS Put American 100 50 BATO 2024-04-19
O:PRGS240419P00047500 OPASPS Put American 100 47.5 BATO 2024-04-19
O:PRGS240419P00045000 OPASPS Put American 100 45 BATO 2024-04-19
O:PRGS240419P00042500 OPASPS Put American 100 42.5 BATO 2024-04-19
O:PRGS240419P00040000 OPASPS Put American 100 40 BATO 2024-04-19
O:PRGS240419P00037500 OPASPS Put American 100 37.5 BATO 2024-04-19
O:PRGS240419P00035000 OPASPS Put American 100 35 BATO 2024-04-19
O:PRGS240419P00032500 OPASPS Put American 100 32.5 BATO 2024-04-19
O:PRGS240419C00080000 OCASPS Call American 100 80 BATO 2024-04-19
O:PRGS240419C00075000 OCASPS Call American 100 75 BATO 2024-04-19
O:PRGS240419C00070000 OCASPS Call American 100 70 BATO 2024-04-19
O:PRGS240419C00065000 OCASPS Call American 100 65 BATO 2024-04-19
O:PRGS240419C00062500 OCASPS Call American 100 62.5 BATO 2024-04-19
O:PRGS240419C00060000 OCASPS Call American 100 60 BATO 2024-04-19
O:PRGS240419C00057500 OCASPS Call American 100 57.5 BATO 2024-04-19
O:PRGS240419C00055000 OCASPS Call American 100 55 BATO 2024-04-19
O:PRGS240419C00052500 OCASPS Call American 100 52.5 BATO 2024-04-19
O:PRGS240419C00050000 OCASPS Call American 100 50 BATO 2024-04-19
O:PRGS240419C00047500 OCASPS Call American 100 47.5 BATO 2024-04-19
O:PRGS240419C00045000 OCASPS Call American 100 45 BATO 2024-04-19
O:PRGS240419C00042500 OCASPS Call American 100 42.5 BATO 2024-04-19
O:PRGS240419C00040000 OCASPS Call American 100 40 BATO 2024-04-19
O:PRGS240419C00037500 OCASPS Call American 100 37.5 BATO 2024-04-19
O:PRGS240419C00035000 OCASPS Call American 100 35 BATO 2024-04-19
O:PRGS240419C00032500 OCASPS Call American 100 32.5 BATO 2024-04-19
O:PRGS240315P00090000 OPASPS Put American 100 90 BATO 2024-03-15
O:PRGS240315C00090000 OCASPS Call American 100 90 BATO 2024-03-15
O:PRGS240315P00057500 OPASPS Put American 100 57.5 BATO 2024-03-15
O:PRGS240315P00052500 OPASPS Put American 100 52.5 BATO 2024-03-15
O:PRGS240315P00047500 OPASPS Put American 100 47.5 BATO 2024-03-15
O:PRGS240315P00042500 OPASPS Put American 100 42.5 BATO 2024-03-15
O:PRGS240315C00057500 OCASPS Call American 100 57.5 BATO 2024-03-15
O:PRGS240315C00052500 OCASPS Call American 100 52.5 BATO 2024-03-15
O:PRGS240315C00047500 OCASPS Call American 100 47.5 BATO 2024-03-15
O:PRGS240315C00042500 OCASPS Call American 100 42.5 BATO 2024-03-15
O:PRGS240315P00062500 OPASPS Put American 100 62.5 BATO 2024-03-15
O:PRGS240315C00062500 OCASPS Call American 100 62.5 BATO 2024-03-15
O:PRGS240315P00085000 OPASPS Put American 100 85 BATO 2024-03-15
O:PRGS240315P00080000 OPASPS Put American 100 80 BATO 2024-03-15
O:PRGS240315P00075000 OPASPS Put American 100 75 BATO 2024-03-15
O:PRGS240315P00070000 OPASPS Put American 100 70 BATO 2024-03-15
O:PRGS240315P00065000 OPASPS Put American 100 65 BATO 2024-03-15
O:PRGS240315P00060000 OPASPS Put American 100 60 BATO 2024-03-15
O:PRGS240315P00055000 OPASPS Put American 100 55 BATO 2024-03-15
O:PRGS240315P00050000 OPASPS Put American 100 50 BATO 2024-03-15
O:PRGS240315P00045000 OPASPS Put American 100 45 BATO 2024-03-15
O:PRGS240315P00040000 OPASPS Put American 100 40 BATO 2024-03-15
O:PRGS240315P00035000 OPASPS Put American 100 35 BATO 2024-03-15
O:PRGS240315P00030000 OPASPS Put American 100 30 BATO 2024-03-15
O:PRGS240315C00085000 OCASPS Call American 100 85 BATO 2024-03-15
O:PRGS240315C00080000 OCASPS Call American 100 80 BATO 2024-03-15
O:PRGS240315C00075000 OCASPS Call American 100 75 BATO 2024-03-15
O:PRGS240315C00070000 OCASPS Call American 100 70 BATO 2024-03-15
O:PRGS240315C00065000 OCASPS Call American 100 65 BATO 2024-03-15
O:PRGS240315C00060000 OCASPS Call American 100 60 BATO 2024-03-15
O:PRGS240315C00055000 OCASPS Call American 100 55 BATO 2024-03-15
O:PRGS240315C00050000 OCASPS Call American 100 50 BATO 2024-03-15
O:PRGS240315C00045000 OCASPS Call American 100 45 BATO 2024-03-15
O:PRGS240315C00040000 OCASPS Call American 100 40 BATO 2024-03-15
O:PRGS240315C00035000 OCASPS Call American 100 35 BATO 2024-03-15
O:PRGS240315C00030000 OCASPS Call American 100 30 BATO 2024-03-15
O:PRGS240216P00080000 OPASPS Put American 100 80 BATO 2024-02-16
O:PRGS240216P00075000 OPASPS Put American 100 75 BATO 2024-02-16
O:PRGS240216P00070000 OPASPS Put American 100 70 BATO 2024-02-16
O:PRGS240216P00065000 OPASPS Put American 100 65 BATO 2024-02-16
O:PRGS240216P00062500 OPASPS Put American 100 62.5 BATO 2024-02-16
O:PRGS240216P00060000 OPASPS Put American 100 60 BATO 2024-02-16
O:PRGS240216P00057500 OPASPS Put American 100 57.5 BATO 2024-02-16
O:PRGS240216P00055000 OPASPS Put American 100 55 BATO 2024-02-16
O:PRGS240216P00052500 OPASPS Put American 100 52.5 BATO 2024-02-16
O:PRGS240216P00050000 OPASPS Put American 100 50 BATO 2024-02-16
O:PRGS240216P00047500 OPASPS Put American 100 47.5 BATO 2024-02-16
O:PRGS240216P00045000 OPASPS Put American 100 45 BATO 2024-02-16
O:PRGS240216P00042500 OPASPS Put American 100 42.5 BATO 2024-02-16
O:PRGS240216P00040000 OPASPS Put American 100 40 BATO 2024-02-16
O:PRGS240216P00037500 OPASPS Put American 100 37.5 BATO 2024-02-16
O:PRGS240216P00035000 OPASPS Put American 100 35 BATO 2024-02-16
O:PRGS240216P00032500 OPASPS Put American 100 32.5 BATO 2024-02-16
O:PRGS240216P00030000 OPASPS Put American 100 30 BATO 2024-02-16
O:PRGS240216C00080000 OCASPS Call American 100 80 BATO 2024-02-16
O:PRGS240216C00075000 OCASPS Call American 100 75 BATO 2024-02-16
O:PRGS240216C00070000 OCASPS Call American 100 70 BATO 2024-02-16
O:PRGS240216C00065000 OCASPS Call American 100 65 BATO 2024-02-16
O:PRGS240216C00062500 OCASPS Call American 100 62.5 BATO 2024-02-16
O:PRGS240216C00060000 OCASPS Call American 100 60 BATO 2024-02-16
O:PRGS240216C00057500 OCASPS Call American 100 57.5 BATO 2024-02-16
O:PRGS240216C00055000 OCASPS Call American 100 55 BATO 2024-02-16
O:PRGS240216C00052500 OCASPS Call American 100 52.5 BATO 2024-02-16
O:PRGS240216C00050000 OCASPS Call American 100 50 BATO 2024-02-16
O:PRGS240216C00047500 OCASPS Call American 100 47.5 BATO 2024-02-16
O:PRGS240216C00045000 OCASPS Call American 100 45 BATO 2024-02-16
O:PRGS240216C00042500 OCASPS Call American 100 42.5 BATO 2024-02-16
O:PRGS240216C00040000 OCASPS Call American 100 40 BATO 2024-02-16
O:PRGS240216C00037500 OCASPS Call American 100 37.5 BATO 2024-02-16
O:PRGS240216C00035000 OCASPS Call American 100 35 BATO 2024-02-16
O:PRGS240216C00032500 OCASPS Call American 100 32.5 BATO 2024-02-16
O:PRGS240216C00030000 OCASPS Call American 100 30 BATO 2024-02-16
O:PRGS240119P00057500 OPASPS Put American 100 57.5 BATO 2024-01-19
O:PRGS240119P00055000 OPASPS Put American 100 55 BATO 2024-01-19
O:PRGS240119P00052500 OPASPS Put American 100 52.5 BATO 2024-01-19
O:PRGS240119P00050000 OPASPS Put American 100 50 BATO 2024-01-19
O:PRGS240119P00047500 OPASPS Put American 100 47.5 BATO 2024-01-19
O:PRGS240119P00045000 OPASPS Put American 100 45 BATO 2024-01-19
O:PRGS240119P00042500 OPASPS Put American 100 42.5 BATO 2024-01-19
O:PRGS240119P00040000 OPASPS Put American 100 40 BATO 2024-01-19
O:PRGS240119P00037500 OPASPS Put American 100 37.5 BATO 2024-01-19
O:PRGS240119P00035000 OPASPS Put American 100 35 BATO 2024-01-19
O:PRGS240119P00032500 OPASPS Put American 100 32.5 BATO 2024-01-19
O:PRGS240119P00030000 OPASPS Put American 100 30 BATO 2024-01-19
O:PRGS240119C00075000 OCASPS Call American 100 75 BATO 2024-01-19
O:PRGS240119C00070000 OCASPS Call American 100 70 BATO 2024-01-19
O:PRGS240119C00065000 OCASPS Call American 100 65 BATO 2024-01-19
O:PRGS240119C00062500 OCASPS Call American 100 62.5 BATO 2024-01-19
O:PRGS240119C00060000 OCASPS Call American 100 60 BATO 2024-01-19
O:PRGS240119C00057500 OCASPS Call American 100 57.5 BATO 2024-01-19
O:PRGS240119C00055000 OCASPS Call American 100 55 BATO 2024-01-19
O:PRGS240119C00052500 OCASPS Call American 100 52.5 BATO 2024-01-19
O:PRGS240119C00050000 OCASPS Call American 100 50 BATO 2024-01-19
O:PRGS240119C00047500 OCASPS Call American 100 47.5 BATO 2024-01-19
O:PRGS240119C00045000 OCASPS Call American 100 45 BATO 2024-01-19
O:PRGS240119C00042500 OCASPS Call American 100 42.5 BATO 2024-01-19
O:PRGS240119C00040000 OCASPS Call American 100 40 BATO 2024-01-19
O:PRGS240119C00037500 OCASPS Call American 100 37.5 BATO 2024-01-19
O:PRGS240119P00080000 OPASPS Put American 100 80 BATO 2024-01-19
O:PRGS240119C00035000 OCASPS Call American 100 35 BATO 2024-01-19
O:PRGS240119C00080000 OCASPS Call American 100 80 BATO 2024-01-19
O:PRGS240119C00032500 OCASPS Call American 100 32.5 BATO 2024-01-19
O:PRGS240119C00030000 OCASPS Call American 100 30 BATO 2024-01-19
O:PRGS240119P00075000 OPASPS Put American 100 75 BATO 2024-01-19
O:PRGS240119P00070000 OPASPS Put American 100 70 BATO 2024-01-19
O:PRGS240119P00065000 OPASPS Put American 100 65 BATO 2024-01-19
O:PRGS240119P00062500 OPASPS Put American 100 62.5 BATO 2024-01-19
O:PRGS240119P00060000 OPASPS Put American 100 60 BATO 2024-01-19
O:PRGS231215P00085000 OPASPS Put American 100 85 BATO 2023-12-15
O:PRGS231215P00080000 OPASPS Put American 100 80 BATO 2023-12-15
O:PRGS231215P00075000 OPASPS Put American 100 75 BATO 2023-12-15
O:PRGS231215P00070000 OPASPS Put American 100 70 BATO 2023-12-15
O:PRGS231215P00065000 OPASPS Put American 100 65 BATO 2023-12-15
O:PRGS231215P00060000 OPASPS Put American 100 60 BATO 2023-12-15
O:PRGS231215P00090000 OPASPS Put American 100 90 BATO 2023-12-15
O:PRGS231215P00055000 OPASPS Put American 100 55 BATO 2023-12-15
O:PRGS231215P00050000 OPASPS Put American 100 50 BATO 2023-12-15
O:PRGS231215P00045000 OPASPS Put American 100 45 BATO 2023-12-15
O:PRGS231215P00040000 OPASPS Put American 100 40 BATO 2023-12-15
O:PRGS231215P00035000 OPASPS Put American 100 35 BATO 2023-12-15
O:PRGS231215P00030000 OPASPS Put American 100 30 BATO 2023-12-15
O:PRGS231215C00085000 OCASPS Call American 100 85 BATO 2023-12-15
O:PRGS231215C00080000 OCASPS Call American 100 80 BATO 2023-12-15
O:PRGS231215C00075000 OCASPS Call American 100 75 BATO 2023-12-15
O:PRGS231215C00090000 OCASPS Call American 100 90 BATO 2023-12-15
O:PRGS231215C00070000 OCASPS Call American 100 70 BATO 2023-12-15
O:PRGS231215C00065000 OCASPS Call American 100 65 BATO 2023-12-15
O:PRGS231215C00060000 OCASPS Call American 100 60 BATO 2023-12-15
O:PRGS231215C00055000 OCASPS Call American 100 55 BATO 2023-12-15
O:PRGS231215C00050000 OCASPS Call American 100 50 BATO 2023-12-15
O:PRGS231215C00045000 OCASPS Call American 100 45 BATO 2023-12-15
O:PRGS231215C00040000 OCASPS Call American 100 40 BATO 2023-12-15
O:PRGS231215C00035000 OCASPS Call American 100 35 BATO 2023-12-15
O:PRGS231215C00030000 OCASPS Call American 100 30 BATO 2023-12-15
O:PRGS231215P00057500 OPASPS Put American 100 57.5 BATO 2023-12-15
O:PRGS231215P00052500 OPASPS Put American 100 52.5 BATO 2023-12-15
O:PRGS231215P00047500 OPASPS Put American 100 47.5 BATO 2023-12-15
O:PRGS231215P00042500 OPASPS Put American 100 42.5 BATO 2023-12-15
O:PRGS231215C00057500 OCASPS Call American 100 57.5 BATO 2023-12-15
O:PRGS231215C00052500 OCASPS Call American 100 52.5 BATO 2023-12-15
O:PRGS231215C00047500 OCASPS Call American 100 47.5 BATO 2023-12-15
O:PRGS231215C00042500 OCASPS Call American 100 42.5 BATO 2023-12-15
O:PRGS231117P00080000 OPASPS Put American 100 80 BATO 2023-11-17
O:PRGS231117P00075000 OPASPS Put American 100 75 BATO 2023-11-17
O:PRGS231117P00070000 OPASPS Put American 100 70 BATO 2023-11-17
O:PRGS231117P00065000 OPASPS Put American 100 65 BATO 2023-11-17
O:PRGS231117P00057500 OPASPS Put American 100 57.5 BATO 2023-11-17
O:PRGS231117P00052500 OPASPS Put American 100 52.5 BATO 2023-11-17
O:PRGS231117P00060000 OPASPS Put American 100 60 BATO 2023-11-17
O:PRGS231117P00047500 OPASPS Put American 100 47.5 BATO 2023-11-17
O:PRGS231117P00042500 OPASPS Put American 100 42.5 BATO 2023-11-17
O:PRGS231117C00057500 OCASPS Call American 100 57.5 BATO 2023-11-17
O:PRGS231117P00055000 OPASPS Put American 100 55 BATO 2023-11-17
O:PRGS231117C00052500 OCASPS Call American 100 52.5 BATO 2023-11-17
O:PRGS231117C00047500 OCASPS Call American 100 47.5 BATO 2023-11-17
O:PRGS231117C00042500 OCASPS Call American 100 42.5 BATO 2023-11-17
O:PRGS231117P00050000 OPASPS Put American 100 50 BATO 2023-11-17
O:PRGS231117P00045000 OPASPS Put American 100 45 BATO 2023-11-17
O:PRGS231117P00040000 OPASPS Put American 100 40 BATO 2023-11-17
O:PRGS231117P00035000 OPASPS Put American 100 35 BATO 2023-11-17
O:PRGS231117P00030000 OPASPS Put American 100 30 BATO 2023-11-17
O:PRGS231117C00085000 OCASPS Call American 100 85 BATO 2023-11-17
O:PRGS231117C00080000 OCASPS Call American 100 80 BATO 2023-11-17
O:PRGS231117C00075000 OCASPS Call American 100 75 BATO 2023-11-17
O:PRGS231117C00070000 OCASPS Call American 100 70 BATO 2023-11-17
O:PRGS231117C00065000 OCASPS Call American 100 65 BATO 2023-11-17
O:PRGS231117C00060000 OCASPS Call American 100 60 BATO 2023-11-17
O:PRGS231117C00055000 OCASPS Call American 100 55 BATO 2023-11-17
O:PRGS231117C00050000 OCASPS Call American 100 50 BATO 2023-11-17
O:PRGS231117C00045000 OCASPS Call American 100 45 BATO 2023-11-17
O:PRGS231117C00040000 OCASPS Call American 100 40 BATO 2023-11-17
O:PRGS231117C00035000 OCASPS Call American 100 35 BATO 2023-11-17
O:PRGS231117C00030000 OCASPS Call American 100 30 BATO 2023-11-17
O:PRGS231117P00085000 OPASPS Put American 100 85 BATO 2023-11-17
O:PRGS231020P00090000 OPASPS Put American 100 90 BATO 2023-10-20
O:PRGS231020P00085000 OPASPS Put American 100 85 BATO 2023-10-20
O:PRGS231020P00080000 OPASPS Put American 100 80 BATO 2023-10-20
O:PRGS231020P00075000 OPASPS Put American 100 75 BATO 2023-10-20
O:PRGS231020P00070000 OPASPS Put American 100 70 BATO 2023-10-20
O:PRGS231020P00065000 OPASPS Put American 100 65 BATO 2023-10-20
O:PRGS231020P00060000 OPASPS Put American 100 60 BATO 2023-10-20
O:PRGS231020P00055000 OPASPS Put American 100 55 BATO 2023-10-20
O:PRGS231020P00050000 OPASPS Put American 100 50 BATO 2023-10-20
O:PRGS231020P00045000 OPASPS Put American 100 45 BATO 2023-10-20
O:PRGS231020P00040000 OPASPS Put American 100 40 BATO 2023-10-20
O:PRGS231020P00035000 OPASPS Put American 100 35 BATO 2023-10-20
O:PRGS231020P00030000 OPASPS Put American 100 30 BATO 2023-10-20
O:PRGS231020C00090000 OCASPS Call American 100 90 BATO 2023-10-20
O:PRGS231020C00085000 OCASPS Call American 100 85 BATO 2023-10-20
O:PRGS231020C00080000 OCASPS Call American 100 80 BATO 2023-10-20
O:PRGS231020C00075000 OCASPS Call American 100 75 BATO 2023-10-20
O:PRGS231020C00070000 OCASPS Call American 100 70 BATO 2023-10-20
O:PRGS231020C00065000 OCASPS Call American 100 65 BATO 2023-10-20
O:PRGS231020C00060000 OCASPS Call American 100 60 BATO 2023-10-20
O:PRGS231020C00055000 OCASPS Call American 100 55 BATO 2023-10-20
O:PRGS231020C00050000 OCASPS Call American 100 50 BATO 2023-10-20
O:PRGS231020C00045000 OCASPS Call American 100 45 BATO 2023-10-20
O:PRGS231020C00040000 OCASPS Call American 100 40 BATO 2023-10-20
O:PRGS231020C00035000 OCASPS Call American 100 35 BATO 2023-10-20
O:PRGS231020C00030000 OCASPS Call American 100 30 BATO 2023-10-20
O:PRGS230915P00085000 OPASPS Put American 100 85 BATO 2023-09-15
O:PRGS230915P00080000 OPASPS Put American 100 80 BATO 2023-09-15
O:PRGS230915P00075000 OPASPS Put American 100 75 BATO 2023-09-15
O:PRGS230915P00070000 OPASPS Put American 100 70 BATO 2023-09-15
O:PRGS230915P00065000 OPASPS Put American 100 65 BATO 2023-09-15
O:PRGS230915P00060000 OPASPS Put American 100 60 BATO 2023-09-15
O:PRGS230915P00055000 OPASPS Put American 100 55 BATO 2023-09-15
O:PRGS230915P00050000 OPASPS Put American 100 50 BATO 2023-09-15
O:PRGS230915P00045000 OPASPS Put American 100 45 BATO 2023-09-15
O:PRGS230915P00040000 OPASPS Put American 100 40 BATO 2023-09-15
O:PRGS230915P00035000 OPASPS Put American 100 35 BATO 2023-09-15
O:PRGS230915P00030000 OPASPS Put American 100 30 BATO 2023-09-15
O:PRGS230915C00085000 OCASPS Call American 100 85 BATO 2023-09-15
O:PRGS230915C00080000 OCASPS Call American 100 80 BATO 2023-09-15
O:PRGS230915C00075000 OCASPS Call American 100 75 BATO 2023-09-15
O:PRGS230915C00070000 OCASPS Call American 100 70 BATO 2023-09-15
O:PRGS230915C00065000 OCASPS Call American 100 65 BATO 2023-09-15
O:PRGS230915C00060000 OCASPS Call American 100 60 BATO 2023-09-15
O:PRGS230915C00055000 OCASPS Call American 100 55 BATO 2023-09-15
O:PRGS230915C00050000 OCASPS Call American 100 50 BATO 2023-09-15
O:PRGS230915C00045000 OCASPS Call American 100 45 BATO 2023-09-15
O:PRGS230915C00040000 OCASPS Call American 100 40 BATO 2023-09-15
O:PRGS230915C00035000 OCASPS Call American 100 35 BATO 2023-09-15
O:PRGS230915C00030000 OCASPS Call American 100 30 BATO 2023-09-15
O:PRGS230818P00090000 OPASPS Put American 100 90 BATO 2023-08-18
O:PRGS230818P00085000 OPASPS Put American 100 85 BATO 2023-08-18
O:PRGS230818P00080000 OPASPS Put American 100 80 BATO 2023-08-18
O:PRGS230818P00075000 OPASPS Put American 100 75 BATO 2023-08-18
O:PRGS230818P00070000 OPASPS Put American 100 70 BATO 2023-08-18
O:PRGS230818P00065000 OPASPS Put American 100 65 BATO 2023-08-18
O:PRGS230818P00060000 OPASPS Put American 100 60 BATO 2023-08-18
O:PRGS230818P00055000 OPASPS Put American 100 55 BATO 2023-08-18
O:PRGS230818P00050000 OPASPS Put American 100 50 BATO 2023-08-18
O:PRGS230818P00045000 OPASPS Put American 100 45 BATO 2023-08-18
O:PRGS230818P00040000 OPASPS Put American 100 40 BATO 2023-08-18
O:PRGS230818P00035000 OPASPS Put American 100 35 BATO 2023-08-18
O:PRGS230818C00090000 OCASPS Call American 100 90 BATO 2023-08-18
O:PRGS230818C00085000 OCASPS Call American 100 85 BATO 2023-08-18
O:PRGS230818C00080000 OCASPS Call American 100 80 BATO 2023-08-18
O:PRGS230818C00075000 OCASPS Call American 100 75 BATO 2023-08-18
O:PRGS230818C00070000 OCASPS Call American 100 70 BATO 2023-08-18
O:PRGS230818C00065000 OCASPS Call American 100 65 BATO 2023-08-18
O:PRGS230818C00060000 OCASPS Call American 100 60 BATO 2023-08-18
O:PRGS230818C00055000 OCASPS Call American 100 55 BATO 2023-08-18
O:PRGS230818C00050000 OCASPS Call American 100 50 BATO 2023-08-18
O:PRGS230818C00045000 OCASPS Call American 100 45 BATO 2023-08-18
O:PRGS230818C00040000 OCASPS Call American 100 40 BATO 2023-08-18
O:PRGS230818C00035000 OCASPS Call American 100 35 BATO 2023-08-18
News Stream
News Product / Services Announcement
Progress announced that PruTech leveraged Progress® DataDirect® connectors to speed and scale cloud migration in data-sensitive environments.
GlobeNewswire Inc. • 1w ago
News Product / Services Announcement
STATEMENT OF NO INTENTION TO MAKE AN OFFER (RULE 2.8 ANNOUNCEMENT)
GlobeNewswire Inc. • 2w ago
Stocks Mergers and Acquisitions
Progress considering possible offer to MariaDB plc under Rule 2.4 of the Irish Takeover Rules
GlobeNewswire Inc. • 1mo ago
News Product / Services Announcement
Sitefinity 15.1 offers AI-based conversion optimization, AI-assisted content classification and upgrades for faster performance in modern DX
GlobeNewswire Inc. • 1mo ago
Markets Market Research Reports
A Progress survey of more than 700 technology professionals worldwide discusses the rising importance of human-centric software design
GlobeNewswire Inc. • 1mo ago
News European Regulatory News
Progress Software Corp. announces interest in acquiring MariaDB plc.
GlobeNewswire Inc. • 1mo ago
Government Environmental, Social, and Governance Criteria
Progress releases its fifth annual Corporate Social Responsibility (CSR) report.
GlobeNewswire Inc. • 1mo ago
Analyst Analyst Ratings
In the last three months, 4 analysts have published ratings on Progress Software (NASDAQ:PRGS), offering a diverse range of perspectives from bullish to bearish. The table below provides a snapshot of their recent ratings, showcasing how sentiments have evolved over the past 30 days and comparing them to the preceding months. Bullish Somewhat Bullish Indifferent Somewhat Bearish Bearish Total Ratings 1 3 0 0 0 Last 30D 1 0 0 0 0 1M Ago 0 2 0 0 0 2M Ago 0 1 0 0 0 3M Ago 0 0 0 0 0 The 12-month price targets, analyzed by analysts, offer insights with an average target of $65.25, a high estimate of $67.00, and a low estimate of $63.00. A negative shift in sentiment is evident as analysts have decreased the average price target by 0.12%. Exploring Analyst Ratings: An In-Depth Overview The standing of Progress Software among financial experts becomes clear with a thorough analysis of recent analyst actions. The summary below outlines key analysts, their recent evaluations, and adjustments to ratings and price targets. Analyst Analyst Firm Action Taken Rating Current Price Target Prior Price Target Lucky Schreiner DA Davidson Announces Buy $65.00 - Pinjalim Bora JP Morgan Lowers Overweight $63.00 $65.00 Ittai Kidron Oppenheimer Maintains Outperform $66.00 $66.00 Daniel Ives Wedbush Raises Outperform $67.00 $65.00 Key Insights: Action Taken: In response to dynamic market conditions and company performance, analysts update their recommendations. Whether they 'Maintain', 'Raise', or 'Lower' their stance, it signifies their reaction to recent developments related to Progress Software. This ...Full story available on Benzinga.com
Benzinga • 1mo ago
stocks European Regulatory News
NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION (IN WHOLE OR IN PART) IN, INTO OR FROM ANY JURISDICTION WHERE TO DO SO WOULD CONSTITUTE A VIOLATION OF THE RELEVANT LAWS OF SUCH JURISDICTION.
GlobeNewswire Inc. • 1mo ago
News European Regulatory News
NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION (IN WHOLE OR IN PART) IN, INTO OR FROM ANY JURISDICTION WHERE TO DO SO WOULD CONSTITUTE A VIOLATION OF THE RELEVANT LAWS OF SUCH JURISDICTION.
GlobeNewswire Inc. • 1mo ago
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