2015 Q3 Form 10-Q Financial Statement

#000093041315004011 Filed on October 16, 2015

View on sec.gov

Income Statement

Concept 2015 Q3 2014 Q4 2014 Q3
Revenue $9.611B $10.27B $10.11B
YoY Change -4.92% -1.16% 4.78%
Cost Of Revenue $6.654B $7.566B $7.128B
YoY Change -6.65% -0.6% 2.68%
Gross Profit $2.957B $2.700B $2.980B
YoY Change -0.77% -2.7% 10.17%
Gross Profit Margin 30.77% 26.3% 29.48%
Selling, General & Admin $1.202B $1.460B $1.344B
YoY Change -10.57% 1.53% 8.21%
% of Gross Profit 40.65% 54.07% 45.1%
Research & Development
YoY Change
% of Gross Profit
Depreciation & Amortization $219.0M $226.0M $365.0M
YoY Change -40.0% -9.24% 48.98%
% of Gross Profit 7.41% 8.37% 12.25%
Operating Expenses $1.202B $1.466B $1.344B
YoY Change -10.57% 1.45% 8.21%
Operating Profit $1.755B $1.234B $1.636B
YoY Change 7.27% -7.22% 11.83%
Interest Expense -$77.00M $65.00M -$60.00M
YoY Change 28.33% -49.61% -17.81%
% of Operating Profit -4.39% 5.27% -3.67%
Other Income/Expense, Net $24.00M $21.00M
YoY Change 14.29% 2000.0%
Pretax Income $1.707B $1.304B $1.580B
YoY Change 8.04% -9.38% 14.16%
Income Tax $431.0M $329.0M $388.0M
% Of Pretax Income 25.25% 25.23% 24.56%
Net Earnings $1.264B $956.0M $1.167B
YoY Change 8.31% 0.95% 17.88%
Net Earnings / Revenue 13.15% 9.31% 11.55%
Basic Earnings Per Share $1.62 $1.22 $1.49
Diluted Earnings Per Share $1.60 $1.20 $1.47
COMMON SHARES
Basic Shares Outstanding 780.4M shares 784.5M shares
Diluted Shares Outstanding 789.5M shares 795.0M shares

Balance Sheet

Concept 2015 Q3 2014 Q4 2014 Q3
SHORT-TERM ASSETS
Cash & Short-Term Investments $10.36B $9.104B $8.764B
YoY Change 18.25% 12.49% 41.54%
Cash & Equivalents $6.563B $6.959B $6.428B
Short-Term Investments $3.800B $2.145B $2.336B
Other Short-Term Assets $739.0M $2.145B $2.336B
YoY Change -68.36% 28.37% 237.09%
Inventory $4.441B $4.405B $4.485B
Prepaid Expenses
Receivables $7.936B $7.960B $8.290B
Other Receivables $0.00 $0.00 $0.00
Total Short-Term Assets $23.48B $22.19B $22.36B
YoY Change 5.01% 4.85% 15.82%
LONG-TERM ASSETS
Property, Plant & Equipment $5.451B $5.383B $5.189B
YoY Change 5.05% 1.99% 1.61%
Goodwill $12.68B $12.79B $12.92B
YoY Change -1.85% -1.98% -2.32%
Intangibles $2.071B $2.208B
YoY Change -12.17%
Long-Term Investments $471.0M $465.0M $447.0M
YoY Change 5.37% 18.32% -46.14%
Other Assets $1.726B $1.558B $2.315B
YoY Change -25.44% -24.99% 87.45%
Total Long-Term Assets $23.15B $23.26B $23.82B
YoY Change -2.84% -4.17% -5.1%
TOTAL ASSETS
Total Short-Term Assets $23.48B $22.19B $22.36B
Total Long-Term Assets $23.15B $23.26B $23.82B
Total Assets $46.63B $45.45B $46.18B
YoY Change 0.96% 0.04% 4.0%
SHORT-TERM LIABILITIES
YoY Change
Accounts Payable $5.363B $5.365B $5.212B
YoY Change 2.9% 3.69% 8.79%
Accrued Expenses $6.036B $6.771B $6.606B
YoY Change -8.63% -2.98% -6.34%
Deferred Revenue
YoY Change
Short-Term Debt $4.000M $1.698B $91.00M
YoY Change -95.6% 1650.52% 3.41%
Long-Term Debt Due $1.268B $939.0M $189.0M
YoY Change 570.9% 48.58% -70.09%
Total Short-Term Liabilities $16.37B $14.77B $13.95B
YoY Change 17.35% 4.17% -4.88%
LONG-TERM LIABILITIES
Long-Term Debt $5.599B $6.046B $6.760B
YoY Change -17.17% -11.1% 16.77%
Other Long-Term Liabilities $3.903B $4.282B $3.230B
YoY Change 20.84% 14.68% -45.41%
Total Long-Term Liabilities $3.903B $4.282B $3.230B
YoY Change 20.84% 14.68% -45.41%
TOTAL LIABILITIES
Total Short-Term Liabilities $16.37B $14.77B $13.95B
Total Long-Term Liabilities $3.903B $4.282B $3.230B
Total Liabilities $20.27B $19.06B $17.18B
YoY Change 18.01% 6.36% -16.54%
SHAREHOLDERS EQUITY
Retained Earnings $25.43B $23.12B $22.58B
YoY Change 12.66% 13.4% 14.04%
Common Stock $6.250B $5.996B $5.895B
YoY Change 6.02% 6.31% 6.41%
Preferred Stock
YoY Change
Treasury Stock (at cost) $11.55B $9.995B $9.815B
YoY Change 17.68% 6.62% 7.08%
Treasury Stock Shares
Shareholders Equity $17.76B $17.66B $18.94B
YoY Change
Total Liabilities & Shareholders Equity $46.63B $45.45B $46.18B
YoY Change 0.96% 0.04% 4.0%

Cashflow Statement

Concept 2015 Q3 2014 Q4 2014 Q3
OPERATING ACTIVITIES
Net Income $1.264B $956.0M $1.167B
YoY Change 8.31% 0.95% 17.88%
Depreciation, Depletion And Amortization $219.0M $226.0M $365.0M
YoY Change -40.0% -9.24% 48.98%
Cash From Operating Activities $1.727B $1.762B $1.233B
YoY Change 40.06% 5.64% 15.23%
INVESTING ACTIVITIES
Capital Expenditures -$277.0M -$414.0M -$259.0M
YoY Change 6.95% 3.5% 27.59%
Acquisitions
YoY Change
Other Investing Activities $238.0M $177.0M -$175.0M
YoY Change -236.0% -3640.0% -64.14%
Cash From Investing Activities -$39.00M -$237.0M -$434.0M
YoY Change -91.01% -41.48% -37.19%
FINANCING ACTIVITIES
Cash Dividend Paid
YoY Change
Common Stock Issuance & Retirement, Net
YoY Change
Debt Paid & Issued, Net
YoY Change
Cash From Financing Activities -843.0M -769.0M -809.0M
YoY Change 4.2% 156.33% -256.48%
NET CHANGE
Cash From Operating Activities 1.727B 1.762B 1.233B
Cash From Investing Activities -39.00M -237.0M -434.0M
Cash From Financing Activities -843.0M -769.0M -809.0M
Net Change In Cash 845.0M 756.0M -10.00M
YoY Change -8550.0% -21.5% -101.12%
FREE CASH FLOW
Cash From Operating Activities $1.727B $1.762B $1.233B
Capital Expenditures -$277.0M -$414.0M -$259.0M
Free Cash Flow $2.004B $2.176B $1.492B
YoY Change 34.32% 5.22% 17.2%

Facts In Submission

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<div><p style='text-align:left;margin-top:0pt;margin-bottom:0pt;line-height:12pt;' ><font style='font-family:Arial;font-size:10pt;font-weight:bold;margin-left:0pt;' >Note</font><font style='font-family:Arial;font-size:10pt;font-weight:bold;' > </font><font style='font-family:Arial;font-size:10pt;font-weight:bold;color:#FF0000;' >1</font><font style='font-family:Arial;font-size:10pt;font-weight:bold;' >. Basis of Presentation</font></p><p style='text-align:left;line-height:12pt;' ></p><p style='text-align:justify;margin-top:0pt;margin-bottom:0pt;line-height:12pt;' ><font style='font-family:Arial;font-size:10pt;font-weight:bold;margin-left:0pt;' > </font><font style='font-family:Arial;font-size:10pt;' >In the opinion of management, the accompanying unaudited consolidated financial statements reflect all adjustments, consisting only of normal recurring adjustments, necessary to present fairly the financial position of Honeywell International Inc. and its </font><font style='font-family:Arial;font-size:10pt;' >consolidated subsidiaries </font><font style='font-family:Arial;font-size:10pt;' >(Honeywell or the Company) </font><font style='font-family:Arial;font-size:10pt;' >at </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >September 30, 2015</font><font style='font-family:Arial;font-size:10pt;' >, </font><font style='font-family:Arial;font-size:10pt;' >the results of operations for the </font><font style='font-family:Arial;font-size:10pt;' >quarter and </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >nine months ended</font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' > </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >September 30, 2015</font><font style='font-family:Arial;font-size:10pt;' > and </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >2014</font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' > </font><font style='font-family:Arial;font-size:10pt;color:#000000;' >and</font><font style='font-family:Arial;font-size:10pt;color:#000000;' > the cash flows for the </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >nine months ended</font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' > </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >September 30, 2015</font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' > </font><font style='font-family:Arial;font-size:10pt;' >and </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >2014</font><font style='font-family:Arial;font-size:10pt;' >. The results of operations for the </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >three and nine months ended</font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' > </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >September 30, 2015</font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' > </font><font style='font-family:Arial;font-size:10pt;' >should not necessarily be taken as indicative of the results of operations </font><font style='font-family:Arial;font-size:10pt;' >expected for the entire year.</font><font style='font-family:Arial;font-size:10pt;' > </font><font style='font-family:Arial;font-size:10pt;' > </font><font style='font-family:Arial;font-size:10pt;' > </font></p><p style='text-align:justify;line-height:12pt;' ></p><p style='text-align:justify;margin-top:0pt;margin-bottom:0pt;line-height:12pt;' ><font style='font-family:Arial;font-size:10pt;margin-left:0pt;' > We report our quarterly financial information using a calendar convention; </font><font style='font-family:Arial;font-size:10pt;' >the first, second and third quarters are cons</font><font style='font-family:Arial;font-size:10pt;' >istently reported as ending on </font><font style='font-family:Arial;font-size:10pt;' >March 31, </font><font style='font-family:Arial;font-size:10pt;' >June 30 and September 30</font><font style='font-family:Arial;font-size:10pt;' >. It has been our practice to establish actual quarterly closi</font><font style='font-family:Arial;font-size:10pt;' >ng dates using a predetermined fiscal</font><font style='font-family:Arial;font-size:10pt;' > calendar, which requires our businesses to close their books on a Saturday in order to mini</font><font style='font-family:Arial;font-size:10pt;' >mize the potentially disruptive effects of quarterly closing on our business processes. The effects of this practice are generally not significant to reported results for any quarter and only exist within a reporting year. I</font><font style='font-family:Arial;font-size:10pt;' >f</font><font style='font-family:Arial;font-size:10pt;' > differences in actual closing </font><font style='font-family:Arial;font-size:10pt;' >dates are material to year-over-year comparisons of quarterly or year-to-date results, we provide appropriate disclosures. Our actual closing dates for </font><font style='font-family:Arial;font-size:10pt;' >the </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >three and nine months ended</font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' > </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >September 30, 2015</font><font style='font-family:Arial;font-size:10pt;' > and </font><font style='font-family:Arial;font-size:10pt;color:#FF0000;' >2014</font><font style='font-family:Arial;font-size:10pt;' > were September 26</font><font style='font-family:Arial;font-size:10pt;' >,</font><font style='font-family:Arial;font-size:10pt;' > 2015</font><font style='font-family:Arial;font-size:10pt;' > and </font><font style='font-family:Arial;font-size:10pt;' >September 27, 2014</font><font style='font-family:Arial;font-size:10pt;' >.</font><font style='font-family:Arial;font-size:10pt;' > </font></p></div>
us-gaap Proceeds From Payments For Other Financing Activities
ProceedsFromPaymentsForOtherFinancingActivities
0 USD
CY2015Q3 us-gaap Common Stock Value
CommonStockValue
958000000 USD
us-gaap Other Noncash Income Expense
OtherNoncashIncomeExpense
207000000 USD
CY2015Q3 us-gaap Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount
AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount
7000000 shares
us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci For Sale Of Securities Net Of Tax
OtherComprehensiveIncomeLossReclassificationAdjustmentFromAOCIForSaleOfSecuritiesNetOfTax
0 USD
CY2014Q4 us-gaap Loss Contingency Accrual Carrying Value Current
LossContingencyAccrualCarryingValueCurrent
352000000 USD
CY2014Q3 us-gaap Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Net Of Tax
OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodNetOfTax
-6000000 USD
CY2015Q3 us-gaap Incremental Common Shares Attributable To Share Based Payment Arrangements
IncrementalCommonSharesAttributableToShareBasedPaymentArrangements
9100000 shares
CY2015Q3 us-gaap Restructuring Reserve
RestructuringReserve
327000000 USD
us-gaap Net Cash Provided By Used In Operating Activities Continuing Operations
NetCashProvidedByUsedInOperatingActivitiesContinuingOperations
3262000000 USD
hon Costs And Operating And Nonoperating Expenses
CostsAndOperatingAndNonoperatingExpenses
23666000000 USD
us-gaap Increase Decrease In Accrued Liabilities
IncreaseDecreaseInAccruedLiabilities
-151000000 USD
us-gaap Comprehensive Income Net Of Tax
ComprehensiveIncomeNetOfTax
2664000000 USD
CY2014Q3 hon Asbestos Related Litigation Charges Net Of Insurance
AsbestosRelatedLitigationChargesNetOfInsurance
49000000 USD
CY2015Q3 us-gaap Restructuring Reserve Translation And Other Adjustment
RestructuringReserveTranslationAndOtherAdjustment
0 USD
us-gaap Reclassification From Accumulated Other Comprehensive Income Current Period Net Of Tax
ReclassificationFromAccumulatedOtherComprehensiveIncomeCurrentPeriodNetOfTax
-63000000 USD
us-gaap Other Comprehensive Income Unrealized Gain Loss On Derivatives Arising During Period Net Of Tax
OtherComprehensiveIncomeUnrealizedGainLossOnDerivativesArisingDuringPeriodNetOfTax
60000000 USD
us-gaap Restructuring And Related Cost Number Of Positions Eliminated
RestructuringAndRelatedCostNumberOfPositionsEliminated
4882
us-gaap Other Nonoperating Income Expense
OtherNonoperatingIncomeExpense
159000000 USD
us-gaap Increase Decrease In Other Operating Assets
IncreaseDecreaseInOtherOperatingAssets
111000000 USD
us-gaap Payments Of Dividends Common Stock
PaymentsOfDividendsCommonStock
1101000000 USD
CY2015Q3 us-gaap Inventory Raw Materials Net Of Reserves
InventoryRawMaterialsNetOfReserves
1068000000 USD
us-gaap Sales Revenue Services Net
SalesRevenueServicesNet
5864000000 USD
CY2015Q3 us-gaap Net Income Loss Attributable To Noncontrolling Interest
NetIncomeLossAttributableToNoncontrollingInterest
12000000 USD
hon Segment Reporting Segment Profit Loss
SegmentReportingSegmentProfitLoss
5064000000 USD
us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci On Derivatives Net Of Tax
OtherComprehensiveIncomeLossReclassificationAdjustmentFromAOCIOnDerivativesNetOfTax
77000000 USD
us-gaap Interest And Debt Expense
InterestAndDebtExpense
236000000 USD
CY2015Q3 us-gaap Earnings Per Share Diluted
EarningsPerShareDiluted
1.6
CY2014Q4 us-gaap Liabilities Current
LiabilitiesCurrent
14773000000 USD
CY2014Q4 us-gaap Inventory Lifo Reserve
InventoryLIFOReserve
168000000 USD
hon Restructuring Reserve And Other Charges Period Increase Decrease
RestructuringReserveAndOtherChargesPeriodIncreaseDecrease
453000000 USD
CY2015Q3 us-gaap Loss Contingency Accrual Carrying Value Current
LossContingencyAccrualCarryingValueCurrent
352000000 USD
us-gaap Proceeds From Repayments Of Commercial Paper
ProceedsFromRepaymentsOfCommercialPaper
2049000000 USD
dei Document Period End Date
DocumentPeriodEndDate
2015-09-30
us-gaap Proceeds From Payments For Other Financing Activities
ProceedsFromPaymentsForOtherFinancingActivities
-7000000 USD
CY2015Q3 us-gaap Other Comprehensive Income Loss Finalization Of Pension And Non Pension Postretirement Plan Valuation Net Of Tax
OtherComprehensiveIncomeLossFinalizationOfPensionAndNonPensionPostretirementPlanValuationNetOfTax
2000000 USD
CY2014Q3 us-gaap Other Comprehensive Income Loss Finalization Of Pension And Non Pension Postretirement Plan Valuation Net Of Tax
OtherComprehensiveIncomeLossFinalizationOfPensionAndNonPensionPostretirementPlanValuationNetOfTax
0 USD
us-gaap Other Comprehensive Income Loss Finalization Of Pension And Non Pension Postretirement Plan Valuation Net Of Tax
OtherComprehensiveIncomeLossFinalizationOfPensionAndNonPensionPostretirementPlanValuationNetOfTax
2000000 USD
us-gaap Other Comprehensive Income Loss Finalization Of Pension And Non Pension Postretirement Plan Valuation Net Of Tax
OtherComprehensiveIncomeLossFinalizationOfPensionAndNonPensionPostretirementPlanValuationNetOfTax
0 USD
CY2015Q3 us-gaap Change In Unrealized Gain Loss On Fair Value Hedging Instruments1
ChangeInUnrealizedGainLossOnFairValueHedgingInstruments1
24000000 USD
us-gaap Change In Unrealized Gain Loss On Fair Value Hedging Instruments1
ChangeInUnrealizedGainLossOnFairValueHedgingInstruments1
11000000 USD
CY2014Q3 us-gaap Change In Unrealized Gain Loss On Fair Value Hedging Instruments1
ChangeInUnrealizedGainLossOnFairValueHedgingInstruments1
-9000000 USD
us-gaap Change In Unrealized Gain Loss On Fair Value Hedging Instruments1
ChangeInUnrealizedGainLossOnFairValueHedgingInstruments1
19000000 USD
CY2015Q3 us-gaap Derivative Instruments Not Designated As Hedging Instruments Gain Loss Net
DerivativeInstrumentsNotDesignatedAsHedgingInstrumentsGainLossNet
72000000 USD
us-gaap Derivative Instruments Not Designated As Hedging Instruments Gain Loss Net
DerivativeInstrumentsNotDesignatedAsHedgingInstrumentsGainLossNet
-66000000 USD
CY2014Q3 us-gaap Derivative Instruments Not Designated As Hedging Instruments Gain Loss Net
DerivativeInstrumentsNotDesignatedAsHedgingInstrumentsGainLossNet
-99000000 USD
us-gaap Derivative Instruments Not Designated As Hedging Instruments Gain Loss Net
DerivativeInstrumentsNotDesignatedAsHedgingInstrumentsGainLossNet
-124000000 USD

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