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2000 2010
Share Price Summary Overview Percent Price Change PKD S&P 500
Close Price on 4/7/10............................................. $5.28 Float (mil)........................................................... 112.187 Year to Date..................................6.67............ 6.04
Absolute Price Change on 4/7/10.............................. 0.10 10 Day Average Volume (mil)................................... 0.609 One Year...................................124.68.......... 43.30
Percent Change..................................................... 1.93% 1 Day Volume Change on 4/7/10.......................... 17.82% Two Years................................. -24.36......... -13.41
Off 52-Week High...............................................-19.27% Market Capitalization (mil).........................................$614 Three Years............................... -46.29......... -18.10
Over 52-Week Low............................................ 169.39% TTM Price/Earnings................................................. 65.81 Five Years..................................-11.56............ 0.11
Beta....................................................................... 2.419 Price/Earnings Current Fiscal Year Estimate.............. 31.85 Ten Years................................... 14.16......... -22.02
Table of Contents
Reuters Rating ....................................... 2 General Sentiment ..................................5 Footprints of Success ............................. 8
Getting Acquainted ................................. 3 Stock Price Rationale ..............................6
Share Price Trends .................................4 Expectations and Credibility .....................7
This research report is provided for informational purposes only and on the condition that it will not form the sole basis for any investment decision. Reference to any company is not a recommendation
to buy or sell the shares of such company. The information used for, or presented in, this report has been obtained from sources believed to be reliable, but Reuters makes no representation as to the
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thereof in the event that any matter stated herein becomes inaccurate. Reuters and/or its affiliates/investors may hold securities positions in the companies discussed in this report and may frequently
trade in such positions. Such investments may be inconsistent with the quantitative analysis provided in this report.
This report was generated using a proprietary quantitative model that leverages widely accepted statistical methods and financial concepts to rank and rate a universe of more than 4700 US companies
and US-listed ADRs with a market capitalization greater than $50mm based on a series of financial attributes. These ratings are not intended as an indication of how an individual's investment will
perform. As used in this report, "Outperform" designates the companies that rank in the top 30% of companies covered by Reuters, "Neutral" designates the middle 40%, and the bottom 30% are
designated "Underperform". All ratings are relative to the universe of companies covered by Reuters and not to any specific benchmark.
© Reuters 2004. All rights reserved. This report may not be reproduced, modified, distributed or published without the prior written authorization of Reuters. Reuters and the sphere logo are the
trademarks or registered trademarks of the Reuters Group of companies around the world.
Parker Drilling Company (NYSE:PKD) -- Oil Well Services & Equipment/Energy Reuters Company Research
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PKD shares are presently rated NEUTRAL. Value Catch-up 24%
No forecast is made for the stock market as a whole. But Value Operational
we believe it is probable that stocks rated NEUTRAL will, Catch-up Trends
in the aggregate, perform generally in line with our
coverage universe. "Under" = Underperform Technical Factors: Underperform
This rating is based on analyses of share price
Fundamental Quality Component: Outperform movements over a variety of time periods. We
compare performance characteristics of individual
This rating is based on characteristics traditionally associated with "good" companies. We focus on how each company stocks with those of all the others we rate.
measures up against others, and give careful attention to recent improvement or slippage relative to other companies. Generally speaking, our goal is to favor up-trending
TTM = Trailing Twelve Months. shares that have experienced recent corrections
Very Negative Negative Neutral Positive Very Positive and de-emphasize down-trending shares
TTM Return on Investment experiencing uncharacteristic periods of strength.
Improvement in TTM Return on Investment Here is how PKD shares performed during the
TTM Pretax Margin various periods we examined.
Improvement in TTM Pretax Margin Price Change
Depreciation in Excess of Capital Spending Needs Past 7 days 5.2%
Issuance/Repurchase of Common Shares Past 30 days -2.2%
Common Shares Dilution Past 60 days 12.8%
Presence/Absence of Unusual Income Items
Change for Past 180 Days: -15.8%
Value Catch-up Component: Neutral
This rating measures the extent to which the share price adequately reflects improving or eroding fundamentals, and favors $6.27
shares whose prices have been slower to "catch up" to improving performance measures. TTM = Trailing Twelve Months.
$5.28
Very Negative Negative Neutral Positive Very Positive
Price Catch-up with TTM Earnings Open on 10/12/09 Close on 4/7/10
Price Catch-up to TTM Sales
Price Catch-up to TTM Free Cash Flow
Price Catch-up to MRQ Book Value Change Between 60 and 30 Days Ago: 15.4%
$4.68
Peer Comparison
Open on 10/12/09 Close on 2/5/10
This section shows the comparison of key components between PKD and several of its peers.
Composite Fundamental Technical Value Operational
Company Name (Ticker) Rating Quality Factors Catch-up Trends Change Between 180 and 90 Days Ago: -11.6%
Parker Drilling... (PKD) Neutral Outperform Underperform Neutral Neutral
Schlumberger Limited (SLB) NA NA NA NA NA
Halliburton Company (HAL) Underperform Neutral Neutral Underperform Underperform $6.27
Transocean LTD (RIG) Underperform Outperform Neutral Underperform Underperform $5.54
Baker Hughes Incorporat... (BHI) Underperform Neutral Underperform Underperform Underperform
Noble Corporation (NE) Neutral Outperform Neutral Underperform Neutral Open on 10/12/09 Close on 1/8/10
Getting Acquainted
Start your analysis by learning what the company does, how well it does it, where it stands relative to peers, and whether aspects of the corporate structure or capitalization are
bothersome to you.
Financial Trends
TTM = Trailing Twelve Months, * = Most Recent Quarter.
Historic Growth Rates
Fiscal Year Ending 12/31/05 12/31/06 12/31/07 12/31/08 12/31/09 TTM 3 Year 5 Year 10 Year
Sales (mil) $531.7 $586.4 $654.6 $829.8 $752.9 $752.9 8.69 14.87 8.78
EPS (GAAP) $1.02 $0.75 $0.93 $0.20 $0.08 $0.08 (52.44) NA NA
Dividends/Share $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 NA NA NA
Book Value/Share $2.66 $4.21 $4.78 $5.13 $5.13 * $5.13 6.82 26.74 1.87
Tangible Book Value/Sh. $1.56 $3.29 $3.88 $5.13 $5.13 * $5.13 15.97 63.79 12.21
Cash Flow/Share $1.71 $1.39 $1.70 $1.24 $1.07 $1.08 (8.28) 40.13 6.45
Free Cash Flow/Share $0.55 ($0.26) ($1.51) $0.21 ($0.43) ($0.43) NA NA NA
Key Ratios
Historic Averages
Fiscal Year Ending 12/31/05 12/31/06 12/31/07 12/31/08 12/31/09 TTM 3 Year 5 Year 10 Year
% Sales Growth 41.2 10.3 11.6 26.8 (9.3) (9.3) 9.7 16.1 9.8
% EPS Growth (289.2) (26.3) 23.8 (78.2) (60.1) (60.2) (38.2) (86.0) (269.3)
% Gross Margin 35.6 40.4 43.8 37.2 26.2 26.2 35.7 36.6 36.0
% Operating Margin 20.1 24.1 28.8 7.1 5.2 5.2 13.7 17.1 12.4
% Tax Rate (40.7) 31.0 26.4 23.4 5.7 5.7 18.5 9.2 (0.1)
% Return on Assets 12.9 9.5 10.4 2.0 0.8 0.8 4.4 7.1 1.9
% Return on Investment 15.3 11.2 11.7 2.3 0.9 0.9 5.0 8.3 2.3
% Return on Equity 48.3 22.5 20.7 4.1 1.6 1.6 8.8 19.4 3.4
Asset Turnover 0.7 0.7 0.7 0.7 0.6 0.6 0.7 0.7 0.5
Receivables Turnover 5.2 5.4 4.7 4.7 4.0 4.0 4.5 4.8 4.3
Inventory Turnover 18.3 21.1 18.7 19.1 18.0 18.0 18.6 19.0 16.6
Peer Comparison
This table gives an indication of how Parker Drilling Company stands in key respects compared with companies in the Oil Well Services & Equipment Industry
Current Fiscal Current Fiscal P/E Based on
Last Fiscal Year Year Projected Projected Year Projected Current Year EPS % Growth EPS % Growth
Company Name (Ticker) Revenue (mil) Revenue (mil) Price/Sales Operating EPS EPS Estimates Previous 5 Years Next 5 Years
Parker Drilling... (PKD) $752.9 $657.8 0.9 $0.08 $0.17 31.8 NA NA
Schlumberger Limited (SLB) NA NA NA NA NA NA NA NA
Halliburton Company (HAL) $14,675.0 $16,321.1 1.8 $1.28 $1.42 22.2 24.7 11.3
Transocean LTD (RIG) $11,556.0 $10,968.7 2.5 $9.85 $9.48 9.2 71.3 18.4
Baker Hughes Incorporat... (BHI) $9,664.0 $11,724.8 1.3 $1.35 $2.05 23.9 (2.9) 12.6
Noble Corporation (NE) $3,640.8 $3,461.0 3.1 $6.42 $5.33 7.9 63.8 15.8
Diamond Offshore Drilli... (DO) $3,631.3 $3,666.0 3.4 $9.89 $8.69 10.4 NA 20.5
Nabors Industries Ltd. (NBR) $3,503.4 $3,724.8 1.6 ($0.30) $1.07 19.1 NA 7.3
High: 6.54
$6.00
4.90
3.80
2.70
Low: 2.41
Volume (mil)
Average Volume
0.89
Apr' 09 May Jun Jul Aug Sep Oct Nov Dec Jan' 10 Feb Mar
$12.00 $12.00
7.00 7.00
2.00 2.00
0.02 0.03
2001 2002 2003 2004 2005 2006 2007 2008 2009 Vol (bil) 2005 2006 2007 2008 2009 Vol (bil)
$6.54 $5.52
6.04 5.32
5.54 5.12
5.04 4.92
4.54 4.72
0.76 0.62
Nov' 09 Dec Jan' 10 Feb Mar Vol (mil) Mar' 10 Apr Vol (mil)
General Sentiment
You can follow popular opinion or choose a contrarian's strategy. Either way, you should know whether the Street is bullish or bearish. Investor sentiment is typically positive when
the 50-day moving average is rising, especially if it's also above the 200-day moving average. Additionally, changes in price trend can be deemed more definitive if supported by
higher than normal volume.
$6.00
3.60
2.40
Volume (mil)
Average Volume
0.90
Apr' 09 May Jun Jul Aug Sep Oct Nov Dec Jan' 10 Feb Mar
Price History
Calendar Year 2001 2002 2003 2004 2005 2006 2007 2008 2009
High Price 7.53 4.82 3.15 4.49 11.82 12.44 12.10 10.34 6.54
Low Price 2.25 1.40 1.65 2.55 3.75 6.10 6.70 2.16 1.28
Year End Price 3.69 2.22 2.55 3.93 10.83 8.17 7.55 2.90 4.95
Institutional Ownership
BarChartKey Rank Key It's worthwhile to know what institutions are doing
YTD R 4 Wk. Worst R Best 1 R 100 simply because their stock positions can be so
large. In the short term, stocks will perform well if
Short Interest institutions are buying and perform poorly if
institutions are selling.
A high or increasing short interest implies that many investors expect the stock price to decline. You can treat that as a
warning. Or you can disagree with the crowd and buy stocks with high short interest in anticipation of a short squeeze (a rally 257 institutions own 68.1% of the 0.12 billion common
that occurs when short sellers rush to buy a stock, fearing losses they might incur if they wait too long). Prospects for a shares outstanding. This is higher than the average
squeeze are indicated by high readings in the "Days to Cover" column (which tells how many days it would take for all short institutional ownership of the Oil Well Services &
interest positions to be covered if recent trading volume levels persist). The risk: The bears may be right. So research other Equipment Industry at 65.6%, and equal to the average
aspects of the company. of the S&P 500 as a whole which is 68.0%.
Month Shares % Outstanding Percent of Float Days to Cover Net Change (3 month) 2.9%
March 2010 5,453,110 4.69 4.86 9.43 Net Purchases (3 month) 9.78 mil
February 5,769,960 4.96 5.14 9.65 Shares Purchased (3 month) 15.21 mil
January 4,686,430 4.03 4.13 6.90 Shares Sold (3 month) 5.43 mil
December 4,370,010 3.76 3.85 4.68
Fiscal Year Ending 12/31/03 12/31/04 12/31/05 12/31/06 12/31/07 12/31/08 12/31/09 12/31/10E 12/31/11E
Sales/Share $3.63 $4.00 $5.47 $5.42 $5.90 $7.38 $6.55 $5.72 $6.66
Price/Sales NA NA 2.08 1.45 1.27 0.42 0.76 0.92 0.79
EPS (GAAP) ($0.56) ($0.54) $1.02 $0.75 $0.93 $0.20 $0.08 $0.17 $0.32
P/E (GAAP) NA NA 11.19 10.46 8.06 15.48 61.39 31.85 16.30
EPS (Normalized) ($0.51) ($0.41) $0.93 $0.71 $0.84 $0.87 $0.07 $0.17 $0.32
P/E (Normalized) NA NA 12.18 10.99 8.86 3.61 70.41 31.85 16.30
Dividend Yield (%) NA NA 0.00 0.00 0.00 0.00 0.00 NA NA
Price/EPS (Est.) for Current FY Price/EPS (Est.) for Next FY Long Term Growth Estimate Next FY P/E over LT Growth
Parker Drilling Company 31.85 16.30 NA NA
Oil Well Services & Equipment 21.11 15.43 12.20 1.45
S&P 500 17.02 13.99 10.55 (0.61)
Estimates In Context
Below are the present consensus revenue and EPS estimates. Notice whether analysts expect recent year-to-year growth trends to persist, or are forecasting sharp improvement or
deterioration. The sharper the predicted change, the greater the level of uncertainty in the forecast. (GAAP = Generally Accepted Accounting Principles)
Annual Growth EPS (%) Sales (%) Quarterly Growth EPS (%) Sales (%) Quarterly EPS Estimate Revisions
5 year Estimate NA NA 06/10 qtr. Estimate (52.2) (30.2)
2010 Estimate 105.6 (12.6) 03/10 qtr. Estimate (97.4) (13.5) 03/10 qtr.
Last 5 years NA 14.9 12/09 qtr. NA (17.2)
Last 3 years (52.4) 8.7 09/09 qtr. (80.0) (20.2) $0.00
Last Year (60.1) (9.3) 06/09 qtr. (70.0) 2.3 -0.02
Trailing 12 Months (60.2) (9.3) 03/09 qtr. (70.6) 0.4 -0.05
-0.07
Analyst Recommendation Trends Jul Oct Jan Apr
Difference of opinion is normal, so don't demand unanimity. Look for ratings clusters in a part of the best-to-worst scale and 06/10 qtr.
at Mean Rating scores. Also important is whether analyst sentiment is improving or declining over time.
There is currently not enough data available to use
Buy Outperform Hold Underperform Sell Mean to display quarterly EPS estimate revisions.
(Value 1) (Value 2) (Value 3) (Value 4) (Value 5) Rating
As of 4/7/10 2 1 3 0 0 2.17
As of 4 Weeks ago 2 1 3 0 0 2.17 Jul Oct Jan Apr
As of 8 Weeks ago 2 1 3 0 0 2.17 09/10 qtr.
As of 12 Weeks ago 2 1 3 0 0 2.17
There is currently not enough data available to use
to display quarterly EPS estimate revisions.
Bar Chart Key Mean Rating
12 Wks ago R 4/7 1.00 = Best
5.00 = Worst Jul Oct Jan Apr
3.60
-0.05
2.40 -0.25
FY 2004
Apr' 09 May Jun Jul Aug Sep Oct Nov Dec Jan' 10 Feb Mar
Footprints of Success
In many respects, business success requires subjective judgment. However, over time, good companies tend to leave good footprints, which become most visible when company data
is compared to industry/sector/market benchmarks. That's how you see when companies perform well, not just because a rising business tide lifts all boats, but because the company
is doing unique, good things. Look, too, at time-series comparisons, and take note of companies that are improving faster or suffering less than peers.
Capital Spending Growth for Past 5 Years 27.6 28.1 19.9 6.6 55
EPS Growth for Most Recent Quarter 89.4 (29.4) (14.2) 22.1 NA
EPS Growth for Trailing Twelve Months (60.2) (31.5) (49.1) 5.4 21
EPS Growth for Past 5 Years NA 27.1 8.4 11.6 0 NA NA NA
Worst R Best = Co. underperforming = Co. outperforming
Company Quality
Some companies excel in obtaining high margins (watch out for very low tax rates, which may reflect special benefits that often won't persist indefinitely) while others are highly
efficient. Still others are strong in both respects. These trade-offs are balanced in the Management Effectiveness returns, which combine both factors. TTM = Trailing Twelve Months.
Financial Strength
Quick Ratio (cash and marketable securities divided by current liabilities) and Current Ratio (all current assets divided by current liabilities) give a sense of how readily the company
could cover current obligations if the sales were to stop. Higher ratios indicate greater liquidity. Different businesses have different cash inflow-outflow characteristics, so compare
companies to industry averages. Similar comparisons are relevant for debt ratios (higher ratios indicate more debt and, hence, more financial risk) and interest coverage (lower
numbers signify greater risk).
Company Rank PKD PKD PKD
PKD Industry Sector S&P 500 in Industry vs. Industry vs. Sector vs. S&P 500
Quick Ratio 2.2 1.6 1.1 1.4 67
Current Ratio 2.3 2.4 1.6 1.9 64
Total Debt to Equity 71.1 40.2 38.1 70.3 30
Long Term Debt to Equity 69.1 36.1 35.6 61.6 23
Interest Coverage 1.4 14.9 9.2 12.7 47
Worst R Best = Co. underperforming = Co. outperforming