; Jack Henry & Associates, Inc.: Technology and Communications Company Profile, SWOT & Financial Report
Documents
Resources
Learning Center
Upload
Plans & pricing Sign in
Sign Out
Your Federal Quarterly Tax Payments are due April 15th Get Help Now >>

Jack Henry & Associates, Inc.: Technology and Communications Company Profile, SWOT & Financial Report

VIEWS: 3 PAGES: 37

ICD Research's "Jack Henry & Associates, Inc.: Technology and Communications Company Profile, SWOT & Financial Report" contains in depth information and data about the company and its operations. The profile contains a company overview, business description, competitive benchmarking, SWOT analysis, key facts, information on products and services, details of locations and subsidiaries.

More Info
  • pg 1
									Jack Henry & Associates, Inc.

_________________________________________________________________________________



Jack Henry & Associates, Inc.                                                      Financial Snapshot

                                                                                   Operating Performance
Fast Facts
                                         663 Highway 60, Monett, 65708,United      The company reported revenue of US$966.90 million
Headquarters Address
                                         States of America                         during the fiscal year 2011 (2011). The company's
                                                                                   revenue grew at a CAGR of 9.75% during 2007–
Telephone                                + 14172356652
                                                                                   2011, with an annual growth of 15.58% over 2010. In
                                                                                   2011, the company recorded an operating margin of
Fax                                      + 14172358406                             22.37%, as against 21.79% in 2010.

Website                                  www.jackhenry.com
                                                                                   Revenue and Margins
Ticker Symbol, Stock Exchange            JKHY, NASDAQ

Number of Employees                      4,667

Fiscal Year End                          June

Revenue (in US$ million)                 966.90




SWOT Analysis

Strengths                                Weaknesses                                Return on Equity

                                         Overdependence on Bank Systems            The company recorded a return on equity (ROE) of
Robust Research & Development
                                         and Services segment                      15.63% for 2011, as compared to its peers, Total
                                                                                   System Services, Inc. (Ticker: TSS), Fiserv, Inc.
Strong focus on customers satisfaction                                             (Ticker: FISV) and QAD Inc. (Ticker: QADI), which
                                                                                   recorded ROEs of 16.95%, 14.49% and 4.83%
Widely accepted brands                                                             respectively. The company reported an operating
                                                                                   margin of 22.37% in 2011.
Opportunities                            Threats
                                                                                   Return on Equity
                                         Changes in banking and credit union
Growth in company’s market
                                         industry
                                         Consolidation in the financial services
Increased backlogs
                                         industry

Strategic partnerships                   Security Breaches

                                         Shorter technology lifecycle




                                                                                   Liquidity Position

                                                                                   The company reported a current ratio of 0.93 in 2011,
                                                                                   as compared to its peers, Total System Services, Inc.,
                                                                                   Fiserv, Inc. and QAD Inc., which recorded current
                                                                                   ratios of 1.71, 0.98 and 1.10 respectively. As of June
                                                                                   2011, the company recorded cash and short-term
                                                                                   investments of worth US$64.13 million, against zero
                                                                                   current debt. The company reported a debt to equity
                                                                                   ratio of 0.18 in 2011 as compared to its peers, Total
                                                                                   System Services, Inc., Fiserv, Inc. and QAD Inc.,
                                                                                   which recorded debt to equity ratios of 0.20, 1.04 and
                                                                                   0.29 respectively.




___________________________________________________________________________________________

Jack Henry & Associates, Inc. - SWOT Profile                                                                               Page 1
Jack Henry & Associates, Inc.

_________________________________________________________________________________


TABLE OF CONTENTS

1     Business Analysis ................................................................................................................................... 5
    1.1       Company Overview ................................................................................................................................................5
    1.2       Business Description ..............................................................................................................................................5
    1.3       Major Products and Services .................................................................................................................................6
2     Analysis of Key Performance Indicators ............................................................................................... 9
    2.1       Five Year Snapshot: Overview of Financial and Operational Performance Indicators ..........................................9
    2.2       Key Financial Performance Indicators .................................................................................................................12
      2.2.1       Revenue and Operating Profit .........................................................................................................................12
      2.2.2       Asset, Liabilities and Capex .............................................................................................................................13
      2.2.3       Net Debt vs. Gearing Ratio ..............................................................................................................................14
      2.2.4       Solvency ..........................................................................................................................................................15
      2.2.5       Valuation ..........................................................................................................................................................16
    2.3       Competitive Benchmarking ..................................................................................................................................17
      2.3.1       Market Capitalization .......................................................................................................................................17
      2.3.2       Efficiency ..........................................................................................................................................................18
      2.3.3       Capital Expenditure ..........................................................................................................................................19
      2.3.4       Valuation ..................................................................................................................
								
To top
;