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EX-21 - EXHIBIT 21 - CLARCOR INC.a201410kex21.htm
EX-23 - EXHIBIT 23 - CLARCOR INC.a201410kex23.htm
EX-32.1 - EXHIBIT 32.1 - CLARCOR INC.a201410kex321.htm
EX-31.1 - EXHIBIT 31.1 - CLARCOR INC.a201410kex311.htm
EX-12.1 - EXHIBIT 12.1 - CLARCOR INC.a201410kex121.htm
EX-31.2 - EXHIBIT 31.2 - CLARCOR INC.a201410kex312.htm
EX-32.2 - EXHIBIT 32.2 - CLARCOR INC.a201410kex322.htm
EXCEL - IDEA: XBRL DOCUMENT - CLARCOR INC.Financial_Report.xls
10-K - 10-K - CLARCOR INC.a201410k.htm
EX-10.10 - EXHIBIT 10.10 - CLARCOR INC.a201410kex1010.htm


Exhibit 13
CLARCOR Inc.
11-Year Financial Review (C)
(Dollars in Thousands except Per Share Data)
 
2014
 
2013
 
2012
 
2011
 
2010
 
2009
 
2008
 
2007
 
2006
 
2005
 
2004
PER COMMON SHARE
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Equity attributable to CLARCOR
$
21.99

 
$
20.78

 
$
18.14

 
$
16.65

 
$
15.03

 
$
13.63

 
$
12.83

 
$
11.29

 
$
10.52

 
$
9.36

 
$
8.36

Diluted Net Earnings attributable to CLARCOR
2.83

 
2.34

 
2.42

 
2.42

 
1.88

 
1.40

 
1.86

 
1.78

 
1.59

 
1.46

 
1.24

Dividends
0.7100

 
0.5750

 
0.4950

 
0.4350

 
0.3975

 
0.3675

 
0.3300

 
0.2975

 
0.2750

 
0.2588

 
0.2513

Price - High
67.60

 
61.34

 
54.22

 
49.60

 
42.20

 
34.64

 
44.25

 
44.01

 
36.72

 
31.98

 
26.30

Price - Low
52.70

 
45.02

 
42.75

 
39.13

 
30.41

 
23.05

 
25.03

 
29.57

 
26.87

 
24.60

 
20.08

EARNINGS DATA
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Net Sales
$
1,512,854

 
$
1,130,770

 
$
1,121,765

 
$
1,126,601

 
$
1,011,429

 
$
907,748

 
$
1,059,601

 
$
921,191

 
$
904,347

 
$
873,974

 
$
787,686

Operating Profit
210,428

 
174,616

 
182,714

 
181,267

 
144,649

 
105,733

 
151,923

 
129,814

 
126,328

 
118,492

 
98,177

Interest Expense
3,700

 
615

 
527

 
469

 
546

 
2,120

 
6,532

 
1,010

 
814

 
636

 
446

Pretax Income
211,563

 
174,300

 
182,997

 
181,308

 
143,423

 
105,649

 
145,371

 
130,509

 
126,941

 
117,922

 
99,060

Income Taxes
67,380

 
55,950

 
59,657

 
56,947

 
47,072

 
33,819

 
49,310

 
39,675

 
43,795

 
40,968

 
34,717

Net Earnings
144,183

 
118,350

 
123,340

 
124,361

 
96,351

 
71,830

 
96,061

 
90,834

 
83,146

 
76,954

 
64,343

Diluted Average Shares Outstanding
50,871

 
50,539

 
50,882

 
51,191

 
51,156

 
51,120

 
51,466

 
50,885

 
52,177

 
52,216

 
51,507

EARNINGS ANALYSIS
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Operating Margin
13.9
%
 
15.4
%
 
16.3
%
 
16.1
%
 
14.3
%
 
11.6
%
 
14.3
%
 
14.1
%
 
14.0
%
 
13.6
%
 
12.5
%
Pretax Margin
14.0
%
 
15.4
%
 
16.3
%
 
16.1
%
 
14.2
%
 
11.6
%
 
13.7
%
 
14.2
%
 
14.0
%
 
13.5
%
 
12.6
%
Effective Tax Rate
31.8
%
 
32.1
%
 
32.6
%
 
31.4
%
 
32.8
%
 
32.0
%
 
33.9
%
 
30.4
%
 
34.5
%
 
34.7
%
 
35.0
%
Net Margin
9.5
%
 
10.5
%
 
11.0
%
 
11.0
%
 
9.5
%
 
7.9
%
 
9.1
%
 
9.9
%
 
9.2
%
 
8.8
%
 
8.2
%
Return on Beginning Assets
10.0
%
 
9.8
%
 
10.9
%
 
11.9
%
 
9.9
%
 
7.5
%
 
13.0
%
 
12.5
%
 
12.3
%
 
12.3
%
 
12.0
%
Return on Beginning Shareholders' Equity
14.0
%
 
13.1
%
 
14.8
%
 
16.4
%
 
14.0
%
 
11.0
%
 
17.2
%
 
16.8
%
 
17.2
%
 
17.9
%
 
17.3
%
Dividend Payout to Net Earnings
24.8
%
 
24.3
%
 
20.3
%
 
17.7
%
 
21.0
%
 
26.1
%
 
17.6
%
 
16.6
%
 
17.2
%
 
17.5
%
 
20.1
%
BALANCE SHEET
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Cash and Short-Term Investments (A)
$
94,064

 
$
412,325

 
$
186,062

 
$
157,104

 
$
117,730

 
$
91,448

 
$
47,984

 
$
40,943

 
$
61,246

 
$
28,902

 
$
22,520

Current Assets
728,907

 
892,121

 
654,594

 
600,899

 
526,273

 
448,528

 
432,571

 
371,920

 
380,340

 
324,933

 
303,990

Plant Assets, Net
288,356

 
208,953

 
195,101

 
184,992

 
181,175

 
188,091

 
192,599

 
169,212

 
146,529

 
149,505

 
142,242

Total Assets
1,888,769

 
1,448,843

 
1,205,502

 
1,134,933

 
1,042,411

 
973,890

 
957,882

 
739,135

 
727,516

 
675,272

 
627,797

Current Liabilities
224,380

 
207,761

 
174,891

 
160,050

 
163,457

 
131,942

 
143,503

 
114,171

 
118,428

 
121,470

 
126,272

Long-Term Debt
411,330

 
116,413

 
16,391

 
15,981

 
17,331

 
52,096

 
83,822

 
17,329

 
15,946

 
16,009

 
24,130

Redeemable Noncontrolling Interests
1,587

 
1,836

 
1,754

 
1,557

 
1,568

 
1,412

 
1,179

 
2,386

 
(47
)
 
602

 
513

Shareholders' Equity
1,105,103

 
1,032,873

 
901,830

 
835,558

 
757,527

 
688,475

 
654,752

 
557,921

 
539,212

 
484,214

 
429,594

BALANCE SHEET ANALYSIS
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Debt to Capitalization (B)
27.1
%
 
13.9
%
 
1.8
%
 
2.0
%
 
2.3
%
 
7.0
%
 
11.4
%
 
3.0
%
 
2.9
%
 
3.2
%
 
5.4
%
Working Capital
$
504,527

 
$
684,360

 
$
479,703

 
$
440,849

 
$
362,816

 
$
316,586

 
$
289,068

 
$
257,749

 
$
261,912

 
$
203,463

 
$
177,718

Current Ratio
3.2

 
4.3

 
3.7

 
3.8

 
3.2

 
3.4

 
3.0

 
3.3

 
3.2

 
2.7

 
2.4

CASH FLOW DATA
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
From Operations
$
156,346

 
$
135,241

 
$
135,849

 
$
119,549

 
$
143,402

 
$
113,693

 
$
107,136

 
$
137,324

 
$
63,581

 
$
89,346

 
$
71,806

For Investment
(664,252
)
 
(42,090
)
 
(42,128
)
 
(33,527
)
 
(21,836
)
 
(29,899
)
 
(108,900
)
 
(47,867
)
 
(21,342
)
 
(51,512
)
 
(62,209
)
From/(For) Financing
188,680

 
132,582

 
(64,873
)
 
(45,540
)
 
(62,526
)
 
(69,999
)
 
16,155

 
(85,522
)
 
(33,641
)
 
(35,699
)
 
1,063

Change in Cash & Equivalents
(317,498
)
 
226,066

 
29,497

 
38,977

 
57,745

 
18,562

 
4,656

 
7,008

 
10,549

 
1,082

 
11,572

Capital Expenditures
69,681

 
44,651

 
36,468

 
22,486

 
23,371

 
21,740

 
34,908

 
37,024

 
17,588

 
24,032

 
22,352

Depreciation & Amortization
50,427

 
32,233

 
31,815

 
32,435

 
30,921

 
30,962

 
30,388

 
23,389

 
23,079

 
21,087

 
19,151

Dividends Paid
35,805

 
28,744

 
24,912

 
21,961

 
20,143

 
18,682

 
16,845

 
15,024

 
14,203

 
13,385

 
12,834

Net Interest Expense (Income)
3,028

 
(75
)
 
(73
)
 
(180
)
 
258

 
1,842

 
5,159

 
(609
)
 
(913
)
 
(292
)
 
61

Income Taxes Paid
67,534

 
42,602

 
43,821

 
37,959

 
54,560

 
32,208

 
42,346

 
41,517

 
44,446

 
29,483

 
25,633

(A) Cash and cash equivalents plus Short-term investments per the Consolidated Balance Sheets.
(B) Total Debt (current and long-term) divided by Total Debt plus Shareholders' Equity.
(C) The financial information set forth in this Exhibit is not necessarily indicative of results of future operations and should be read in conjunction with Management's Discussion and Analysis of Financial Condition and Results of Operations and the accompanying Consolidated Financial Statements and related notes included elsewhere in the Form 10-K.