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GeneralBalconyGarageParkingAir-conditioningFireplaceInternet ConnectionLandlord presentBath linenBed linenKitchen linenBurglar alarmMaximum number of petsHeatingElectricRefrigeratorWashing machineDVD PlayerCD PlayerFreezerDishwasherMicrowaveTelevisionToasterTumble dryerStoveElectric kettleCoffee makerOvenOutdoorsGardenBarbecueTerraceGarden furnitureSwimming poolExtraHighchairBaby bathBathtubChild bedSaunaSpa bathConditionsConditions of the landlord:The accomodation can be booked with an additional person. In that case you are obliged to rent an extra bed or childbed. Please inform Bungalow.net directly after making your booking so the owner can be informed timely. A maximum of one small pet is included. Larger pets on request. Smoking is not permitted in the apartment. You can smoke only on the balcony. Transfer costs one way: ⬠45,- from Alicante. In case of a transfer please inform us by mobile phone and provide us with the flight details. Prices for carrental on request. Please give us a call as soon as you arrive in Alicante, so we can be prepared for your arrival. Before your departure please inform us of your exact departure time so that we can be present to receive the keys and to inspect the accommodation. You will be welcomed with a bottle of local wine and some bottles of water, soft drinks and beer to start your holidays conveniently.You can dispose of your garbage in the containers along the street at the front of the residents. If something goes wrong or any of the equipment does not work, please contact us. In order to improve our service, we would ask that you inform us if you find that anything is lacking in the apartment which could be useful.Please water the flower boxes. We ask that you treat the house as if it were your own and in return we will do everything necessary to make your stay as pleasant as possible.Conditions of Bungalow.Net Trading N.V.Bungalow.Net is affiliated with, and is a certified member of, the Thuiswinkel.org. This means that Bungalow.Net applies the conditions of the Thuiswinkel.org to all its reservations. These conditions consist of two parts. The first section contains the Terms of Thuiswinkel.org (HTML) which together are co-produced by the Consumer Federation. The second part presents the specific travel conditions (HTML) and have also been co-produced by the Consumer Federation and are typically used in the travel industry. These conditions are in accordance with the usual conditions of the Dutch Travel Industry. We would like you to have, as a client of Bungalow.Net, who is a member of the Thuiswinkel.org, the right to a series of improvements to the above conditions. These improvements are listed below: - Bungalow.Net guarantees the lowest price on your holiday accommodation. Read the specific conditions here . - Bungalow.Net guarantees the quality of your holiday accommodation. Read the specific conditions here .- You can book a 48 hour option with us. We will contact you at the end of this period about making the option a definite booking. Our international team is available for you 6 days a week, from 8:30 in the morning until 11:00 in the evening!In the middle of the oak forests of the Limousin region, 1.5 kilometers from the medieval town of Collonges-la-Rouge, lies this wonderful holiday park with 70 apartments (in the form of terraced houses). Facilities of the park include a reception area with tourist information desk, free WiFi area, bar (with terrace), restaurant (open April to November; also possible to order fresh bread), a reading area, TV room, volleyball court, petanque area, tennis court, table tennis table, playground and a laundry. The local pool in Collonges-la-Rouge is free for guests of the park and has a water slide, a separate kiddie pool and a sunbathing area (July and August). You can get a free baby kit (baby bed and baby bath) as well as borrow a vacuum cleaner, iron and hairdryer. For an additional fee you can arrange on site: a set of sheets, a bath set (towel, bath sheet, bath mat, soap), cleaning and/or final cleaning or the Comfort Plus Package (beds made upon arrival, towels and final cleaning). You can even rent a barbeque. During the school holidays there is a baby club for children from 3 months to 2 years of age; kids club for children 3 to 10; and youth entertainment for those 11 to 17 years of age. During the summer period (from April to November) the classification of the clubs differs ie a baby club from 3 months to 2 years of age; a mini-club for 3 to 6 year olds (for these two groups there is a separate children's corner); a kids club for those 7 to 10; youth animation for those 11 to 14 and organized activities for teenagers 15 to 17. Every two weeks during the school holidays there is a medieval banquet with parade held for adults. So bring along your costume! Every week during the same period there is also an organized hike or excursion in the area. Of course you can always participate in sporting activities like volleyball, bowling, tennis, table tennis etc. At night there are regular entertainment programs such as evening folk dance, cabaret, casino and much more. The restaurant offers à la carte meals, regional specialties, themed meals, daily menus, snacks and take-away meals. Shops are located 1.5 kilometers away in Meyssac. Pets will be allowed for an additional fee, provided they were mentioned at the time of booking.Â
Bed Bath & Beyond Inc. (BBBY) is a chain of retail stores engaged in operating and selling variety of products including home furnishings and domestic merchandise. It offers diversified product line comprises of gift-ware, food, beauty and health care items and infant and toddler merchandise. The company operates its stores under diverse brand names including Christmas Tree Shops (CTS), Bed Bath & Beyond (BBB), Harmon and Harmon Face Values (Harmon) and buybuy BABY in the US, and Bed Bath & Beyond in Canada. The company is a partner in a joint venture, which operates two stores in the Mexico City market under the name, Home & More. It operates through more than 1,139 stores, principally operating in the US and Canada. BBBY is headquartered at Union in New Jersey, the US.
Feb 16, 2010: Pearlridge to add new retailers
Feb 10, 2010: Bed Bath & Beyond opens its store in Florida
Feb 03, 2010: Bed Bath & Beyond to open store at Pearlridge Center
Jan 25, 2010: CleanRest introduces anti-allergens curtain panels
This comprehensive SWOT profile of Bed Bath & Beyond Inc. provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
Note: Some sections may be missing if data is unavailable for the company
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
Gain key insights into the company for academic or business research.
A textual analysis of the financial results for Cleanup Corporation compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Cleanup Corporation. There is a textual review of the financial results of Cleanup Corporation versus Okamura Corporation, Paramount Bed Co., Ltd. and France Bed Holdings Co., Ltd. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Cleanup Corporation are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Cleanup Corporation includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2599
NAICS Code: 339111
A textual analysis of the financial results for Bed Bath & Beyond Inc. compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Bed Bath & Beyond Inc. There is a textual review of the financial results of Bed Bath & Beyond Inc. versus , and . The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Bed Bath & Beyond Inc. are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Bed Bath & Beyond Inc. includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 5719
NAICS Code: 442291
A textual analysis of the financial results for Sherwin-Williams Company (The) compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Sherwin-Williams Company (The). There is a textual review of the financial results of Sherwin-Williams Company (The) versus JD Group Ltd, Bed Bath & Beyond Inc. and Williams-Sonoma, Inc. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Sherwin-Williams Company (The) are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Sherwin-Williams Company (The) includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 5231
NAICS Code: 44412
A textual analysis of the financial results for Uchida Yoko Co., LTD. compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Uchida Yoko Co., LTD. There is a textual review of the financial results of Uchida Yoko Co., LTD. versus France Bed Holdings Co., Ltd., Cleanup Corporation and Okamura Corporation. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Uchida Yoko Co., LTD. are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Uchida Yoko Co., LTD. includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2542
NAICS Code: 337127
A textual analysis of the financial results for Okamura Corporation compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Okamura Corporation. There is a textual review of the financial results of Okamura Corporation versus Cleanup Corporation, France Bed Holdings Co., Ltd. and Uchida Yoko Co., LTD. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Okamura Corporation are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Okamura Corporation includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2522
NAICS Code: 337214
A textual analysis of the financial results for Paramount Bed Co., Ltd. compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Paramount Bed Co., Ltd.. There is a textual review of the financial results of Paramount Bed Co., Ltd. versus France Bed Holdings Co., Ltd., Takano Company Limited and Comany Inc.. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Paramount Bed Co., Ltd. are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Paramount Bed Co., Ltd. includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2515
NAICS Code: 33791
About Wright Quality Ratings
A textual analysis of the financial results for Borneo International Furniture Company Limited compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Borneo International Furniture Company Limited. There is a textual review of the financial results of Borneo International Furniture Company Limited versus Ace Bed Company Limited, Hanssem Co. and Latitude Tree Holdings Berhad. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Borneo International Furniture Company Limited are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Borneo International Furniture Company Limited includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 811
NAICS Code: 5
A textual analysis of the financial results for Ace Bed Company Limited compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Ace Bed Company Limited. There is a textual review of the financial results of Ace Bed Company Limited versus Decca Holdings Ltd, Latitude Tree Holdings Berhad and Poh Huat Resources Holdings Bhd. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Ace Bed Company Limited are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Ace Bed Company Limited includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
A textual analysis of the financial results for Mecalux SA compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Mecalux SA. There is a textual review of the financial results of Mecalux SA versus Beter Bed Holding NV, Alno AG and Samas-Groep NV. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Mecalux SA are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Mecalux SA includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
About Wright Quality Ratings
A textual analysis of the financial results for Itab Shop Concept compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Itab Shop Concept. There is a textual review of the financial results of Itab Shop Concept versus Beter Bed Holding NV, Ekornes ASA and Bene Ag. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Itab Shop Concept are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Itab Shop Concept includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2599
NAICS Code: 339111
Aluminium Company of Malaysia Berhad (Alcom) is a company engaged in the manufacture and trading of aluminum sheet and foil products. The company, through its subsidiary, Alcom Nikkei Specialty Coatings Sdn Bhd, is engaged in the production of pre-coated fin stock for use in heat exchangers of air conditioners. Alcom's products include flat sheet, tread plate, coiled sheet, profiled roofing sheet and colour coated coil. It is also engaged in the production of foil products such as cable foil for production of cable wrap, diaphragm foil, finstock, and plain foil for packaging and converter foil. Alcom is a subsidiary of Novelis Inc. The company is headquartered in Klang, Malaysia.
This comprehensive SWOT profile of Aluminium Company of Malaysia Berhad provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
Note: Some sections may be missing if data is unavailable for the company
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
Gain key insights into the company for academic or business research.
PriceSmart, Inc. (PriceSmart) operates a chain of membership warehouse clubs. The company offers a wide range of merchandise including candy, appliances, television and media, automotive supplies, tires, toys, hardware, sporting goods, jewelry, watches, cameras, books, house wares, apparel, health and beauty products, bed and bath accessories, computers, pets, tobacco, furniture, office supplies, office equipment and groceries. The company also operates in-store bakery, photo center, tire center and pharmacy stores. PriceSmart offers its products and services to both individuals and businesses. The company primarily operates 26 warehouse clubs in Panama, Costa Rica, Dominican Republic, Guatemala, El Salvador, Honduras, Trinidad, Aruba, Barbados, U.S. Virgin Islands, Jamaica and Nicaragua. PriceSmart is headquartered in San Diego, California, United States.
This comprehensive SWOT profile of PriceSmart, Inc. provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
Note: Some sections may be missing if data is unavailable for the company
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
Gain key insights into the company for academic or business research.
A textual analysis of the financial results for Samas-Groep NV compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Samas-Groep NV. There is a textual review of the financial results of Samas-Groep NV versus Mecalux SA, Beter Bed Holding NV and Ekornes ASA. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Samas-Groep NV are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Samas-Groep NV includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
About Wright Quality Ratings
A textual analysis of the financial results for Beter Bed Holding NV compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Beter Bed Holding NV. There is a textual review of the financial results of Beter Bed Holding NV versus Itab Shop Concept, Samas-Groep NV and Ekornes ASA. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Beter Bed Holding NV are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Beter Bed Holding NV includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2515
NAICS Code: 33791
Achilles Corporation (Achilles) is engaged in the manufacturing of shoes, plastic and synthetics leather, industrial insulators, bed mattresses, absorption material. The company has 13 subsidiary and affiliates overseas, five offices in Japan and six manufacturing facilities in the country. Achilles has diversified its market by establishing its manufacturing subsidiary globally. Moreover, the company has license agreements and collaborations to explore new business opportunities in global market. Achilles is head quartered in Tokyo, Japan.
This comprehensive SWOT profile of Achilles Corporation provides you an in-depth strategic analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
This company report forms part of GlobalData's 'Profile on Demand' service, covering over 50,000 of the world's leading companies. Once purchased, GlobalData's highly qualified team of company analysts will comprehensively research and author a full financial and strategic analysis of Achilles Corporation including a detailed SWOT analysis, and deliver this direct to you in pdf format within two business days. (excluding weekends).
Note*: Some sections may be missing if data is unavailable for the company.
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
Gain key insights into the company for academic or business research.
This report covers the following industry codes:
SIC Code: 3089
NAICS Code: 326199
ESI Group S.A. (ESI) provides virtual simulation software solutions for prototype and production processes, across various industries. Its product portfolio includes virtual test applications for biomechanics, casting, comfort, composites & plastics, crash, impact & safety, electromagnetics, fluid dynamics, sheet metal forming, multiphysics, NVH & dynamics, simulation systems integration, vibro-acoustics, and welding. It has presence in various vertical markets including, aeronautics, automotive, civil engineering, education, electronics and consumer goods, energy and power, government and defence, ground transportation, heavy industries, marine, and healthcare. It has geographical presence across 30 countries, through its various subsidiaries. ESI is headquartered in Paris, France.
This comprehensive SWOT profile of ESI Group S.A. provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
Note: Some sections may be missing if data is unavailable for the company
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
Gain key insights into the company for academic or business research.
PriceSmart, Inc. (PriceSmart) is engaged in operating a chain of membership warehouses. The company offers a wide range of merchandise including candy, appliances, television and media, automotive supplies, tires, toys, hardware, sporting goods, jewelry, watches, cameras, books, house wares, apparel, health and beauty products, bed and bath accessories, computers, pets, tobacco, furniture, office supplies, office equipment and groceries. The company also operates bakery, photo center, tire center and pharmacy within the store. PriceSmart offers its products and services to both individuals and businesses.
Global Market Direct's PriceSmart, Inc. - Retailing - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Avista Corporation (Avista) is an energy company. It is engaged in the production, transmission and distribution of energy as well as energy-related businesses including purchase, distribution and sales of natural gas and electricity. The company operates in the US. Avista has three business segments namely Avista Utilities and Advantage IQ, Inc. Further, the company has other businesses, including, venture fund investments, sheet metal fabrication and real estate investments
Global Market Direct's Avista Corporation - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Bonanza Resources Corporation (Bonanza) is a junior oil and gas exploration company, engaged in various projects related to the Coal Bed Methane, Oil fields, Hydrocarbon, Natural Gas and Natural Gas Liquids. It is involved in the exploration, development and production of oil and gas properties. The company holds interests in Texanna Coal Bed Methane Project, Worth Prospect, Double (XX) Ranch Property and Lasley Project. Bonanza owns 25% working interest in the Texanna Coal Bed Methane Project in Oklahoma. It owns 10% working interest in Double (XX) Ranch Property and Lasley Project.
Global Market Direct's Bonanza Resources Corporation - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Global Market Direct's Fugro NV - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Fugro NV (Fugro) is a service provider engaged in collection and interpretation of data related to the clients based on the earth's surface, the sea bed and the soil and rocks beneath. The company offers its services across the globe targeting oil and gas industry, mining industry and construction industry. The company operates its business through three divisions, namely, Geotechnical, Survey and Geoscience. The company operates in more than 50 countries worldwide. The company is headquartered at Leidschendam, the Netherlands.And More inside the report...
This report covers the following industry codes:
SIC Code: 8713
NAICS Code: 54136
Global Market Direct's Deep Industries Limited - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Deep Industries Limited (DIL) is an India based diversified oil and Gas Company. It is engaged in the air and gas compression, dilling, wrk over and ol & gs eploration and poduction. It has expertise in gas compression services and it also provides work over, drilling rig and allied services. DIL has been awarded two coal bed Methane (CBM) blocks by Government of India in CBM III rounds. DIL has also been awarded service contract for the development of three onshore marginal fields at Ghotaru, Bankia and Kharatar in Jaisalmer district of Rajasthan. The company is headquartered at Ahmedabad in Gujarat, IndiaAnd More inside the report...
This report covers the following industry codes:
SIC Code: 3563
NAICS Code: 333912
Global Market Direct's CNX Gas Corporation - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
CNX Gas Corporation (CNX Gas) is an independent natural gas energy company. The company engages in the business of exploration, development, production and gathering of natural gas in the Appalachian and Illinois basin. CNX Gas also involves in the development of coal bed methane (CBM). The company principally operates in the US. CNX Gas currently has four active areas: Virginia Operations, Mountaineer, Nittany and Cardinal. As of December 31, 2008, the vompany had proved reserves of 1.422 trillion cubic feet equivalent. CNX Gas's proved reserves are approximately 97% CBM and 55% proved developed. The company is headquartered in Pittsburgh, Pennsylvania. CONSOL Energy Inc.And More inside the report...
This report covers the following industry codes:
SIC Code: 1321
NAICS Code: 211112
Global Market Direct's Key Energy Services, Inc. - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Key Energy Services (Key) is an onshore, rig-based well servicing company. It provides a range of well services to oil companies and independent oil and natural gas companies. It provides onshore energy production services, workover services, fluid and logistics services, fishing and rental services, pressure pumping, electric wireline, and drilling, with a specialty in coal bed methane. It carries on its operations in the Gulf Coast, Permian Basin of West Texas and Eastern New Mexico, Mid-Continent, Four Corners, Rocky Mountains, California in the US. The company is headquartered at Houston, Texas in the USAnd More inside the report...
This report covers the following industry codes:
SIC Code: 1389
NAICS Code: 213112
Global Market Direct's EuroGas, Inc. - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
EuroGas, Inc. is engaged in the acquisition of rights to explore for and exploit natural gas, coal bed methane gas, and crude oilAnd More inside the report...
This report covers the following industry codes:
SIC Code: 1311
NAICS Code: 211111
Global Market Direct's Quest Resource Corporation - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Quest Resource Corporation (Quest Resource) is an independent energy company. The company is engaged in exploration, development and production of natural gas. The company also owns a natural gas gathering pipeline system. Quest Resource is also engaged in natural gas pipelines that include transporting, gathering, treating and processing natural gas. The company principally operates on coal bed methane (CBM) in Cherokee basin in Southeast Kansas and Northeast Oklahoma. It is headquartered in Oklahoma City, the USAnd More inside the report...
This report covers the following industry codes:
SIC Code: 4612
NAICS Code: 48611
Global Market Direct's Fortune Oil PLC - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Fortune Oil PLC (Fortune Oil) is an independent energy company. It is engaged in the investment and operations in oil and natural gas supply. The company is also developing oil and natural gas supply infrastructure projects and production of coal bed methane. Fortune Oil carries out its operations through four reportable business segments namely, Single Point Mooring facility (SPM), Aviation Refueling (AR), Natural gas and Oil trading (Trading), and Storage. In addition to this, the company has entered into Coal Bed Methane (CBM) exploration and production activities. The company principally operates in China. The company is headquartered in London, the U.KAnd More inside the report...
This report covers the following industry codes:
SIC Code: 5172
NAICS Code: 42272
Global Market Direct's European Gas Limited - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
European Gas Limited (European Gas) is a hydrocarbon explorer and developer company. It engages in the acquisition, exploration and development of coal bed and coal mine methane projects in Western Australia, France and Italy. In 2008, the company acquired Gazonor, which helps the company to enter and to carries out gas production business activities. Presently, the company's produced gas are sold into France and near by market through its national pipeline network. The company under its French business region, operates and managed projects in Northern; North-eastern; Eastern; South-eastern and Eastern France. Under its Italian region, it operates in Central Italy.And More inside the report...
This report covers the following industry codes:
SIC Code: 1382
NAICS Code: 54136
Global Market Direct's Enerplus Resources Fund - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Enerplus Resources Fund (Enerplus) is a conventional oil and gas trust in North America. It operates through a few subsidiaries that own crude oil and gas assets in Canada and the US. The company's portfolio comprises of resource plays such as shallow gas, Bakken oil, oil sands and coal bed methane, as well as crude oil waterfloods and other conventional oil and gas assets located in British Columbia, Alberta and Saskatchewan. The company's operating subsidiaries are EnerMark, ERC, ECT and Enerplus USA. It operates in Western Canada in the provinces of British Columbia, Alberta, Saskatchewan and Manitoba and in Montana, North Dakota, Wyoming and Utah, in the US.And More inside the report...
This report covers the following industry codes:
SIC Code: 1311
NAICS Code: 211111
Global Market Direct's Independent Resources plc - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Independent Resources plc (Independent Resources) is an energy company. It is engaged in the development of a major underground gas storage facility, together with upstream assets in Italy and North Africa. In addition, Independent Resources has its operational presence in the following business area such as Coal Bed Methane, Enhanced CBM recovery, Tunisian oil and gas acreage etc. The company is also seeking to secure additional oil and gas resources in the Mediterranean region and elsewhere in Western Europe. The company is headquartered in Melbourne, the UK.And More inside the report...
This report covers the following industry codes:
SIC Code: 1311
NAICS Code: 211111
Global Market Direct's Metgasco Limited - Oil & Gas - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Metgasco Limited (Metgasco) is an energy company, developing gas reserves and power. It is engaged in producing, marketing and delivering natural gas. It has projects in eastern Australian, New South Wales and southeastern Queensland. The company supplies both gas and gas fired power to northern New South Wales and southern Queensland. It also carries out the activities of hydrocarbon exploration, appraisal and development (principally coal bed methane). The company established a wholly owned subsidiary, Richmond Valley Power Pty Ltd, to develop Richmond Valley power station. It is headquartered at North Sydney, AustraliaAnd More inside the report...
This report covers the following industry codes:
SIC Code: 2999
NAICS Code: 324199
Global Market Direct's Arbios Systems, Inc. - Medical Equipment - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Arbios Systems, Inc. (Arbios) is a development stage medical devices company engaged in the development of proprietary medical devices and cell-based therapies for the treatment of liver failure. Arbios is headquartered in Massachusetts, the US. The company suspended its operations in August 2008 to conserve resources. In October 2008, Arbios sold its rights and interest in its bioartificial liver system (HepatAssist) to HepaLife Technologies, Inc. In January 2009, Arbios announced that it filed for protection under Chapter 11 of the United States Bankruptcy Code in the United States Bankruptcy Court for the District of DelawareAnd More inside the report...
This report covers the following industry codes:
SIC Code: 3841
NAICS Code: 332994
Global Market Direct's Avista Corporation - Alternative Energy - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Avista Corporation (Avista) is an energy company. It is engaged in the production, transmission and distribution of energy as well as energy-related businesses including purchase, distribution and sales of natural gas and electricity. The company operates in the US. Avista has three business segments namely Avista Utilities and Advantage IQ, Inc. Further, the company has other businesses, including, venture fund investments, sheet metal fabrication and real estate investmentsAnd More inside the report...
This report covers the following industry codes:
SIC Code: 4939
NAICS Code: 221122
Global Market Direct's Avista Corporation - Power - Deals and Alliances Profile is an essential source for company data and information. The profile examines the company's key business structure and operations, history and products, and provides summary analysis of its key revenue lines and strategy as well as highlighting the company's major recent financial deals.
Avista Corporation (Avista) is an energy company. It is engaged in the production, transmission and distribution of energy as well as energy-related businesses including purchase, distribution and sales of natural gas and electricity. The company operates in the US. Avista has three business segments namely Avista Utilities and Advantage IQ, Inc. Further, the company has other businesses, including, venture fund investments, sheet metal fabrication and real estate investmentsAnd More inside the report...
This report covers the following industry codes:
SIC Code: 4939
NAICS Code: 221122
A textual analysis of the financial results for France Bed Holdings Co., Ltd. compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of France Bed Holdings Co., Ltd. There is a textual review of the financial results of France Bed Holdings Co., Ltd. versus Paramount Bed Co., Ltd., Comany Inc. and Takano Company Limited. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for France Bed Holdings Co., Ltd. are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for France Bed Holdings Co., Ltd. includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2511
NAICS Code: 337122
RPC Group Plc (RPC) is the UK based company engaged in the business of plastic packaging. The company, through its subsidiaries manufactures and sells rigid plastic packaging in Europe. The company provides all forms of rigid packaging, namely, injection moulded packs, thermoformed packs, formable sheet and extrusion blow moulded packs as wells as injection-blown and injection-stretch-blown packs. It supplies its products for custom moulded designs, food and drink, building and industrial, house and garden, pharmaceutical and healthcare sectors and etc. RPC operates through three reportable segments, namely, Blow Moulding, Injection Moulding and Thermoforming. The company has its manufacturing operations in 11 countries of the European Union and one in the US. The company is headquartered at Higham Ferrers in Northamptonshire, the UK.
This comprehensive SWOT profile of RPC Group Plc provides you an in-depth strategic analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
This company report forms part of GlobalData's 'Profile on Demand' service, covering over 50,000 of the world's leading companies. Once purchased, GlobalData's highly qualified team of company analysts will comprehensively research and author a full financial and strategic analysis of RPC Group Plc including a detailed SWOT analysis, and deliver this direct to you in pdf format within two business days. (excluding weekends).
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Bed Bath & Beyond Inc.: SWOT Analysis & Company Profile offers both overview level information and in-depth analysis of the company highlighting the major internal and external factors which play a crucial role in the performance of the company.
The report also contains a detailed company profile, with information on key financial deals involving the details and biographies of key employees; contact details for both the companies headquarters and also other key locations; an overview of the activities in which the company is engaged as well as news articles relating to the company and a detailed company history.
Wuhan Boiler Company Limited (Wuhan Boiler) is China-based boiler and related equipment manufacturer. It engages in the development, production and sale of power station boilers, specialty boilers, desulfurizing equipment, other pressure vessels and the related equipment in China. The company also engages in the designing of packaging, manufacturing steel and paint, consultancy, research and design services for boilers, and manufacture and sale of steel structures. The company's product portfolio includes 600 megawatt supercritical, 1000 megawatt ultra supercritical boilers and 300 megawatt circulating fluidized bed boilers. Wuhan Boiler operates as a subsidiary of Wuhan Boiler (Group) Co., Ltd. ALSTOM SA holds 51% stake in Wuhan Boiler (Group) Co., Ltd. Wuhan Boiler is headquartered in Wuhan, China.
This comprehensive SWOT profile of Wuhan Boiler Company Limited provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
A textual analysis of the financial results for Alno AG compared to selected competitors. Also included are quantitative analyses of the company's financial statements, extensive ratio analyses and up to 10-year history of sales, earnings, dividends and security pricing. A business description of the company, including contact information, senior officers and Wright Quality Rating analyses is also provided.
Quantitative analyses of financial statements (Income Statement, Balance Sheet and Sources of Capital), extensive ratio tables (Accounting, Asset Utilization, Employee Efficiency, Fixed Charges Coverage, Leverage Analysis, Liquidity Analysis, Per-share Data and Profitability Analysis) and proprietary Wright Quality Rating analyses tables. The Wright Quality Rating, a measure of corporate risk, examines the liquidity of the stock, financial strength, profitability and corporate growth characteristics of Alno AG. There is a textual review of the financial results of Alno AG versus Samas-Groep NV, Mecalux SA and Beter Bed Holding NV. The comparative analysis of these companies compares Sales (sales, sales growth and sales per employee), Company Valuations (Price/Earnings, Price/Book, Price/Sales and 52-Week Price Change) and Financial Position (Long-term Debt/Equity).
Also included for Alno AG are the Company Description, Recent Stock Performance, Profitability Analysis, Dividend Analysis, and Key Data Items (Ticker, Major Industry, Sub-Industry, Fiscal Year End Month, Employees, Share Type, Market Capitalization, Total Shares Outstanding and Number of Closely Held Shares.) Additional research for Alno AG includes tables with up to 10-years of history of computed ratios, sales, earnings, and security prices.
This report covers the following industry codes:
SIC Code: 2511
NAICS Code: 337122
Persimmon plc (Persimmon) is a U.K. based house building company. The company provides design, construction and maintenance service regarding residential buildings. The company portfolio comprises three, four and five-bed detached properties, two and three-bed terraced and semi-detached houses; bungalows and apartments. The company operates under three businesses namely Persimmon Homes, Charles Church and Westbury Partnerships. It conducts business in three divisions; the North Division includes operating businesses in Scotland, NorthWest, North East and Yorkshire. The Central Division includes its Birmingham, Shires and Eastern regions. The South Division includes its Southern, Western and Wales regions. Persimmon is headquartered at York, the UK.
Jan 07, 2010: Persimmon acquires land for residential construction
This comprehensive SWOT profile of Persimmon plc provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
Angelica Corporation (Angelica) is a provider of outsourced linen management services to the US healthcare industry. It provides laundry services, linen and apparel rental and on-site linen management services to a customer base of approximately 4,200 healthcare providers located in 25 states. The company offers textiles and on-the-job apparel for service industries, which include linens, scrubs, bed linens, lab coats, towels, and garments, as well as mops, rags, mats, and reusable textile products and packs to the surgical suite. In addition, the company provides linen management services to hospitality business customers. Angelica was acquired by Clothesline Holdings, Inc. which is an affiliate of Lehman Brothers Merchant Banking. The company is headquartered in Missouri, the US.
GlobalData's Angelica Corporation - Strategic SWOT Analysis Review provides a comprehensive insight into the company's history, corporate strategy, business structure and operations. The report contains a detailed SWOT analysis, information on the company's key employees, key competitors and major products and services.
This up-to-the-minute company report will help you to formulate strategies to drive your business by enabling you to understand your partners, customers and competitors better.
Builders FirstSource, Inc. (Builders FirstSource) is engaged in manufacturing and supplying of structural and other related building products for residential new construction. The company distributes interior and exterior doors, windows, millwork, dimensional lumber and lumber sheet goods and other building products. Its building product portfolio also includes floor trusses, stairways, wall panels, and roof trusses. Additionally, it provides turnkey and installation services for homebuilder customers. The company caters to new residential construction, multi-family and light commercial construction market. Builders FirstSource operates through 52 distribution centers and 47 manufacturing facilities in 32 markets across 9 states of the US. Builders FirstSource is headquartered in Dallas, Texas, the US.
This comprehensive SWOT profile of Builders FirstSource, Inc. provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
United States Steel Corporation (USSC) is a manufacturer of steel and tubular products. The product portfolio of the company includes steel sheet, tin and tubular products which cater the requirements of appliance, industrial machinery, automotive, construction, container, and oil and gas industries. The company has an annual raw steelmaking capability of 31.7 million net tons. Further, the company produces coke and operates two iron ore mines through its Minnesota Ore Operations. The company also provides railroad and barge transportation services through its Transtar, Inc. subsidiary and carries out its real estate operations through its USS Real Estate division. USSC's operates manufacturing facilities across the US, Canada and Central Europe. The company is headquartered in Pittsburgh (Pennsylvania), the US.
Feb 04, 2010: United States Steel Appoints Robert J. Beltz As VP Commercial, Europe
Feb 04, 2010: United States Steel Announces Management Changes
Jan 26, 2010: United States Steel Reports Net Sales Of $11 Billion In 2009
This comprehensive SWOT profile of United States Steel Corporation provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
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Leggett & Platt, Incorporated (Leggett & Platt) is a diversified manufacturer that is engaged in designing and manufacturing of engineered components and products for homes, offices, retail stores, and automobiles. It is also engaged in distribution business. The company's products include inner springs, steel tubular seat frames, bed frames, frames for office chairs, drawn wire, fabricated tube components, steel rod and other such products. Its customers are mostly manufacturers of furniture, retail stores, specialty stores and others. The company sells and distributes its products through its own sales personnel. Leggett & Platt, Incorporated along with its subsidiaries principally operates in North America, Europe and Asia Pacific. The company is headquartered in Missouri, United States.
This comprehensive SWOT profile of Leggett & Platt, Incorporated provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
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Honam Petrochemical Corporation (HPC) is petrochemicals manufacturing company based in Korea. HPC is engaged in manufacturing basic petrochemicals such as benzene, toluene and mixed xylene. The company, along with its subsidiaries, is also engaged in providing plastics, synthetics and basic chemicals. It provides high density polyethylene for the agricultural, industrial and packaging sectors. In addition, HPC offers resin products such as polypropylene for injection, blow, yarn, fiber and film. It also offers ethylene oxide that is used for producing glycol, glycol ether, polyethylene glycol, ethanolamine etc. It produces 700,000 tons of ethylene every year. HPC is headquartered at Dongjak-gu in Seoul, South Korea.
Nov 15, 2011: HPC Buys 50,000 Tonnes Of Naphtha
Nov 09, 2011: HPC To Shut 750,000tpa Naphtha Cracker In March 2012
Nov 09, 2011: HPC Buys 25,000 Tonnes Of Naphtha
Oct 31, 2011: ZBB Energy And Honam Petrochemical Ship ZBB EnerSystem For South Korea's Jeju Island Smart Grid Test-bed
Oct 04, 2011: HPC Buys Around 50,000 Tonnes Of Naphtha
This comprehensive SWOT profile of Honam Petrochemical Corporation provides you an in-depth strategic SWOT analysis of the company's businesses and operations. The profile has been compiled by GlobalData to bring to you a clear and an unbiased view of the company's key strengths and weaknesses and the potential opportunities and threats. The profile helps you formulate strategies that augment your business by enabling you to understand your partners, customers and competitors better.
You get detailed information about the company and its operations to identify potential customers and suppliers.
Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company.
Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably.
Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance.
Business Review's Leggett & Platt, Incorporated contains a company overview, key facts, locations and subsidiaries, news and events as well as a SWOT analysis of the company.
This SWOT Analysis company profile is a crucial resource for industry executives and anyone looking to quickly understand the key information concerning Leggett & Platt, Incorporated's business.
Business Review's "Leggett & Platt, Incorporated SWOT Analysis & Company Profile" reports utilize a wide range of primary and secondary sources, which are analyzed and presented in a consistent and easily accessible format.
Business Review strictly follows a standardized research methodology to ensure high levels of data quality and these characteristics guarantee a unique report.
Leggett & Platt, Incorporated (Leggett & Platt) is engaged in designing and manufacturing, and distribution of engineered components and products for homes, offices, retail stores, and automobiles. The product line of the company include innersprings, steel tubular seat frames, bed frames, frames for office chairs, drawn wire, fabricated tube components, steel rod and other such products. It offers these products to various customers such as, manufacturers of furniture, retail stores, specialty stores, and others. In addition, the company provides various related services such as delivery, and repairing and product warranty maintenance. It sells and distributes its products through its own sales personnel. Leggett & Platt along with its subsidiaries principally operates in countries of North America, Europe and Asia Pacific. The company is headquartered in Carthage, Missouri, United States.
This report covers the following industry codes:
SIC Code: 2515
NAICS Code: 33791
Business Review's Universal Corporation contains a company overview, key facts, locations and subsidiaries, news and events as well as a SWOT analysis of the company.
This SWOT Analysis company profile is a crucial resource for industry executives and anyone looking to quickly understand the key information concerning Universal Corporation's business.
Business Review's "Universal Corporation SWOT Analysis & Company Profile" reports utilize a wide range of primary and secondary sources, which are analyzed and presented in a consistent and easily accessible format.
Business Review strictly follows a standardized research methodology to ensure high levels of data quality and these characteristics guarantee a unique report.
Universal Corporation (Universal) is principally engaged in selecting, buying, processing, packing, storing, shipping and financing of leaf tobacco for sale to the manufacturers of consumer tobacco products throughout the world. The company provides its customers with many services that include blending, chemical and physical testing of tobacco, providing just-in-time inventory management and manufacturing reconstituted sheet tobacco. It processes and sells dark air-cured tobaccos, oriental tobaccos, flue-cured and burley tobaccos through various operating subsidiaries and unconsolidated affiliates. The company operates in more than 35 countries across the world. The major customers of the company include Philip Morris International, Inc., Japan Tobacco Inc. and Imperial Tobacco Group, PLC. The company is headquartered in Richmond, Virginia, the US.
This report covers the following industry codes:
SIC Code: 5159
NAICS Code: 42259
Business Review's United States Steel Corporation contains a company overview, key facts, locations and subsidiaries, news and events as well as a SWOT analysis of the company.
This SWOT Analysis company profile is a crucial resource for industry executives and anyone looking to quickly understand the key information concerning United States Steel Corporation's business.
Business Review's "United States Steel Corporation SWOT Analysis & Company Profile" reports utilize a wide range of primary and secondary sources, which are analyzed and presented in a consistent and easily accessible format.
Business Review strictly follows a standardized research methodology to ensure high levels of data quality and these characteristics guarantee a unique report.
United States Steel Corporation (USSC) is a manufacturer of steel and tubular products. The product portfolio of the company includes steel sheet, tin and tubular products which cater the requirements of appliance, industrial machinery, automotive, construction, container, and oil and gas industries. The company has an annual steelmaking capacity of 31.7 million net tons. Further, the company produces coke and operates two iron ore mines through its Minnesota Ore Operations. The company also provides railroad and barge transportation services through its Transtar, Inc. subsidiary and carries out its real estate operations through its USS Real Estate division. USSC's operates manufacturing facilities across US, Canada and Central Europe. The company is headquartered in Pittsburgh (Pennsylvania), the US.
This report covers the following industry codes:
SIC Code: 3312
NAICS Code: 331111
Angelica Corporation (Angelica) is a provider of outsourced linen management services to the US healthcare industry. It provides laundry services, linen and apparel rental and on-site linen management services to a wide customer base located in 25 states. The company offers textiles and on-the-job apparel for service industries, which include linens, scrubs, bed linens, lab coats, towels, and garments, as well as mops, rags, mats, and reusable textile products and packs to the surgical suite. In addition, the company provides linen management services to hospitality business customers. Angelica was acquired by Clothesline Holdings, Inc., which is an affiliate of Lehman Brothers Merchant Banking. The company is headquartered in Georgia, the US.
GlobalData's Angelica Corporation - Strategic SWOT Analysis Review provides a comprehensive insight into the company's history, corporate strategy, business structure and operations. The report contains a detailed SWOT analysis, information on the company's key employees, key competitors and major products and services.
This up-to-the-minute company report will help you to formulate strategies to drive your business by enabling you to understand your partners, customers and competitors better.
CNX Gas Corporation (CNX Gas) is an independent natural gas energy company. The company is engaged in the business of exploration, development, production and gathering of natural gas in the Appalachian and Illinois basin. Further, CNX Gas also involved in the development of coal bed methane (CBM) as well as conventional marcellus and other shale gas. As of December 31, 2009, the company had proved reserves of 1.911 trillion cubic feet equivalent. CONSOL Energy Inc. owns an 83.3% ownership interest in CNX Gas.The company principally operates in the US. CNX Gas currently has four active areas: Virginia Operations, Mountaineer, Nittany and Cardinal. The company is headquartered in Canonsburg, Pennsylvania, the US.
On June 2010, the company was acquired by CONSOL Energy, Inc.
CNX Gas Corporation (CXG) - Oil & Gas - Deals and Alliances Profile provides you an in-depth data and trend analysis of the company's mergers and acquisitions (M&A) and financings. The report provides detailed information on M&A, Equity/Debt Offerings, Private Equity, Venture Financing and Partnership transactions registered by the company over a five year period. The report portrays detailed comparative data on the number of deals and their value subdivided by deal types, markets, and regions, besides highlighting the company's major recent financial deals.
Data presented in this report was derived from GlobalData's proprietary in-house Oil & Gas eTrack deals database and primary and secondary research.
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RG Global Lifestyles, Inc. (RG Global) is a provider of full service environmental water and wastewater treatment engineering and construction services. The company principally engages in developing and marketing innovative technologies for water purification and wastewater treatment. Its Coal Bed Methane (CBM) discharge water DynIX Technology allows reducing the environmental impact of CBM mining and processing the discharged water directly into local streams and rivers. Its operating segments are OC Energy Drinks and Catalyx Fluid Solutions (CFS). Moreover, in year 2011, Capstone Turbine Corporation signs oem agreement to be supplier, distributor for set corp multigen system. It is headquartered in Anaheim, California, the US.
RG Global Lifestyles, Inc. (SETS) - Clean Technology - Deals and Alliances Profile provides you an in-depth data and trend analysis of the company's mergers and acquisitions (M&A) and financings. The report provides detailed information on M&A, Equity/Debt Offerings, Private Equity, Venture Financing and Partnership transactions registered by the company over a five year period. The report portrays detailed comparative data on the number of deals and their value subdivided by deal types, markets, and regions, besides highlighting the company's major recent financial deals.
Data presented in this report was derived from GlobalData's proprietary in-house Clean Technology eTrack deals database and primary and secondary research.
Get detailed information on the company's financial deals that enable you to understand the company's expansion/divestiture and fund requirements.
Understand the company's business segments' expansion / divesture strategy
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Deep Industries Limited (DIL) is a publicly owned oil and gas company. It is principally engaged in the air and gas compression, drilling, work over and oil & gas exploration and production. The company's key service include oil and gas onshore, coal bed methane exploration, natural gas compression services. In addition, it also provides drilling rig, engineering, servicing, transportation, and other allied services furnishing entire range of activities from conceptualization to completion as required by oil, gas and petrochemical industries. The company has been awarded service contract for the development of three onshore marginal fields at Ghotaru, Bankia and Kharatar in Jaisalmer district of Rajasthan. Recently, the company started a subsidiary Deep Energy LLC in US for exploration and production of oil and gas. DIL is headquartered in Gujarat, India.
Deep Industries Limited (532760) - Oil & Gas - Deals and Alliances Profile provides you an in-depth data and trend analysis of the company's mergers and acquisitions (M&A) and financings. The report provides detailed information on M&A, Equity/Debt Offerings, Private Equity, Venture Financing and Partnership transactions registered by the company over a five year period. The report portrays detailed comparative data on the number of deals and their value subdivided by deal types, markets, and regions, besides highlighting the company's major recent financial deals.
Data presented in this report was derived from GlobalData's proprietary in-house Oil & Gas eTrack deals database and primary and secondary research.
Get detailed information on the company's financial deals that enable you to understand the company's expansion/divestiture and fund requirements.
Understand the company's business segments' expansion / divesture strategy
Access detailed information about the company's recent financial deals that enables you to understand the key deals which have shaped the company
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Bonanza Resources Corporation (BRS) - Oil & Gas - Deals and Alliances Profile
Bonanza Resources Corporation (Bonanza) is a junior oil and gas exploration company, engaged in various projects related to the Coal Bed Methane, Oil fields, Hydrocarbon, Natural Gas and Natural Gas Liquids. It is involved in the exploration, development and production of oil and gas properties. The company holds interests in Texanna Coal Bed Methane Project, Worth Prospect, Double (XX) Ranch Property and Lasley Project. Bonanza owns 25% working interest in the Texanna Coal Bed Methane Project in Oklahoma. Bonanza's operations are spread across Oklahoma, McIntosh Country of Eastern Oklahoma, Howard Country of Texas and Coleman Country of Texas. Bonanza is headquartered in Vancouver, Canada.
Bonanza Resources Corporation (BRS) - Oil & Gas - Deals and Alliances Profile provides you an in-depth data and trend analysis of the company's mergers and acquisitions (M&A) and financings. The report provides detailed information on M&A, Equity/Debt Offerings, Private Equity, Venture Financing and Partnership transactions registered by the company over a five year period. The report portrays detailed comparative data on the number of deals and their value subdivided by deal types, markets, and regions, besides highlighting the company's major recent financial deals.
Data presented in this report was derived from GlobalData's proprietary in-house Oil & Gas eTrack deals database and primary and secondary research.
Get detailed information on the company's financial deals that enable you to understand the company's expansion/divestiture and fund requirements.
Understand the company's business segments' expansion / divesture strategy
Access detailed information about the company's recent financial deals that enables you to understand the key deals which have shaped the company
Equip yourself with detailed information about the company to identify potential customers and suppliers.
Stay up to date on the major developments affecting the company
Gain key insights into the company for academic or business research.
This report covers the following industry codes:
SIC Code: 1081
NAICS Code: 213114
RehabCare Group, Inc. (RHB) - Pharmaceuticals & Healthcare - Deals and Alliances Profile
RehabCare Group, Inc. (RehabCare) is one of the leading providers of physical rehabilitation program management services in the US. The company offers its services to over 1,260 hospitals, skilled nursing facilities, outpatient facilities, and other long-term care facilities. RehabCare also offers post-acute program management, physical therapy rehabilitation, medical direction, quality assurance, specialty programs, compliance review, and census development services through partnerships with healthcare providers. RehabCare owns and operates five long-term acute care hospitals and six rehabilitation hospitals. In addition, the company also provides other healthcare services such as healthcare management consulting services and staffing services for therapists and nurses. It has a joint venture agreement with Floyd Health Care Resources, Inc. to hold and operate 24-bed long-term acute care hospital. RehabCare holds a controlling stake in LTACH in Rome, Georgia and operates two owned hospitals. The company is headquartered at St. Louis in Missouri, the US.
RehabCare Group, Inc. (RHB) - Pharmaceuticals & Healthcare - Deals and Alliances Profile provides you an in-depth data and trend analysis of the company's mergers and acquisitions (M&A) and financings. The report provides detailed information on M&A, Equity/Debt Offerings, Private Equity, Venture Financing and Partnership transactions registered by the company over a five year period. The report portrays detailed comparative data on the number of deals and their value subdivided by deal types, markets, and regions, besides highlighting the company's major recent financial deals.
Data presented in this report was derived from GlobalData's proprietary in-house Pharmaceuticals and Healthcare eTrack deals database and primary and secondary research.
Get detailed information on the company's financial deals that enable you to understand the company's expansion/divestiture and fund requirements.
Understand the company's business segments' expansion / divesture strategy
Access detailed information about the company's recent financial deals that enables you to understand the key deals which have shaped the company
Equip yourself with detailed information about the company to identify potential customers and suppliers.
Stay up to date on the major developments affecting the company
Gain key insights into the company for academic or business research.
This report covers the following industry codes:
SIC Code: 8099
NAICS Code: 621999