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Penton Media, Inc.

Private Company Ticker Symbol™: (PENMEDP)

Business Summary

Penton Media, Inc. is a private company specializing in industry trade magazines, and other business-to-business publications and information. Major Penton Media, Inc. publication titles include Broadcast Engineering and National Restaurant News. Penton Media, Inc. was founded by John Penton in 1892.

Overview & Corporate Organization

Basic Information

Company Tags:PE Backed
Year Founded:1892
Fiscal Year End:12/31
City:New York
State/Province:New York
Country:United States
Phone:View
Website:www.penton.com

Corporate Organization

Founders:
John Penton

Industry Information

Industry Codes

PICS™:1100403™, 1100407
NAICS:View
SIC:View

PrivCo Industries (Sector > Industry > Sub-Industry)

Media > Publishing > Directories
Media > Publishing > Magazines & Periodicals

The PrivCo Industry Classification System™ (PICS) is our proprietary, modernized industry classification system, geared especially toward privately-held companies and including newer emerging sub-industries that are not reflected in other outdated industry classification systems, such as SIC and NAICS.

Charts, Financials, and Statistics (Table Format)

Below are Penton Media, Inc. financials and other business metrics displayed in table format.
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Income Statement200520042003200220012000199919981997
Revenues$192,847,000$194,833,000$188,742,000$234,935,000$358,871,000$399,717,000$300,824,000$207,682,000$181,109,000
Selling, General and Administrative Expenses$68,327,000$78,932,000$79,854,000$119,499,000$169,582,000$162,832,000$116,592,000$87,582,000$72,031,000
Depreciation and Amortization$6,611,000$8,009,000$10,457,000$19,347,000$44,048,000$32,811,000$27,918,000$7,791,000$3,903,000
Restructuring Charges$906,000$6,079,000$5,205,000$15,436,000$18,700,000$0$0  
Impairment of Intangible Assets     $2,095,000$0$0 
Other Asset Impairment Charges     $1,051,000$0$0 
Asset Impairment Charges$0$36,183,000$47,513,000$223,424,000$59,794,000    
Operating Expense - Other$83,826,000$85,820,000$85,625,000$103,894,000$148,369,000$145,655,000$116,924,000$86,091,000$80,321,000
Total Operating Expenses excluding costs$159,670,000$215,023,000$228,654,000$482,488,000$440,493,000$344,444,000$261,434,000$181,464,000$156,255,000
Operating Income/(Loss)$33,177,000($20,190,000)($39,912,000)($247,553,000)($81,622,000)$55,273,000$39,390,000$26,218,000$24,854,000
Interest Expense$39,537,000$40,005,000$41,581,000$38,193,000$30,487,000$19,485,000$21,131,000$5,545,000$823,000
Interest Income$241,000$207,000$437,000$768,000$1,862,000$5,352,000   
Realized Gains/(Losses) on Sale of Investments     $110,210,000$5,906,000$0$1,040,000
Gain/(Loss) on Disposition of Assets   ($888,000)$0$0   
Other Non-operating Gains/(Losses)     ($9,490,000)$0$0 
Non-operating Gains/(Losses)$2,732,000$0$0      
Non-operating Expense - Other     $45,000$170,000$45,000$2,000
Non-operating Income/(Expense) - Other($175,000)$40,000($929,000)$1,092,000($2,015,000)    
Non-operating Income/(Expense)($36,739,000)($39,758,000)($42,073,000)($36,333,000)($30,640,000)$86,542,000($15,395,000)($5,590,000)$215,000
Income/(Loss) from Continuing Operations Before Income Taxes($3,562,000)($59,948,000)($81,985,000)   $23,995,000$20,628,000$25,069,000
Income Loss Continuing Operations Before Income Taxes Extraordinary Items and cumulative effect of change in accounting principl     $141,815,000   
Income Loss Continuing Operations Before Income Taxes Effect Accounting Change   ($283,886,000)($112,262,000)    
Provision for Income Taxes$1,901,000($792,000)$6,947,000($30,369,000)($16,318,000)$61,790,000$16,065,000$9,442,000$10,457,000
Income/(Loss) Before Extraordinary Items and Cumulative Effect of Change in Accounting Principle     $79,590,000   
Total Income Before Extraordinary Items      $16,623,000$10,890,000$14,874,000
Extraordinary Items, Net of Tax Effect     $0($8,413,000)$0$0
Income/(Loss) Before Cumulative Effect of Change in Accounting Principle   ($256,769,000)($104,107,000)    
Cumulative Effect of a Change in Accounting Principle, Net of Tax Effect   ($39,700,000)$0$0   
Income/(Loss) from Continuing Operations($5,463,000)($59,156,000)($88,932,000)   $7,930,000$11,186,000$14,612,000
Income/(Loss) from Discontinued Operations     ($435,000)$33,000($296,000)$262,000
Income/(Loss) from Discontinued Operations, Net of Tax Effect($2,959,000)($8,035,000)($4,199,000)   $8,693,000($296,000)$262,000
Income/(Loss) from Disposition of Discontinued Operations   ($3,252,000)($8,163,000) $8,660,000$0$0
Net Income (Loss)($8,422,000)($67,191,000)($93,131,000)($296,469,000)($104,107,000)$79,590,000$8,210,000$10,890,000$14,874,000
Other Preferred Stock Dividends and Adjustments$7,687,000$12,190,000$8,536,000$46,435,000$0$0   
Net Income Applicable to Common Stockholders($16,109,000)($79,381,000)($101,667,000)($342,904,000)($104,107,000)$79,590,000   
Balance Sheet20052004200320022001200019991998
Cash - Unrestricted$632,000$7,661,000$29,626,000$6,771,000$20,191,000   
Cash and Cash Equivalents     $11,605,000$30,370,000$3,953,000
Other Short-Term Investments - Cost      $4,228,000 
Current Restricted Cash$299,000$125,000$0$677,000$0   
Net Accounts Receivable Trade$27,471,000$30,571,000$27,170,000$34,842,000$54,357,000   
Current Notes Receivable, Net  $571,000$2,124,000$2,095,000   
Net Accounts and Notes Receivable     $70,059,000$40,199,000$37,956,000
Net Income Taxes Receivable   $53,547,000$14,750,000$0  
Net Inventories$1,098,000$856,000$875,000$1,025,000$1,351,000$798,000$818,000$2,361,000
Current Deferred Income Taxes$314,000$276,000$253,000 $6,645,000$5,562,000$0$5,797,000
Prepaid Expenses - Other$2,452,000$3,672,000      
Current Assets of Discontinued Operations   $2,049,000$0  $0
Current Other Assets  $9,625,000$4,403,000$7,854,000$11,763,000$7,583,000$8,086,000
Current Assets$32,266,000$43,161,000$68,120,000$105,438,000$107,243,000$99,787,000$83,198,000$58,153,000
Land, Buildings and Improvements   $8,878,000$8,846,000$8,205,000$3,730,000$6,596,000
Machinery and Equipment   $61,935,000$62,056,000$63,998,000$41,608,000$69,730,000
Property, Plant and Equipment, Gross   $70,813,000$70,902,000$72,203,000$45,338,000$76,326,000
Accumulated Depreciation PPE   $46,896,000$40,726,000$36,706,000$30,252,000$47,395,000
Net Property, Plant and Equipment$10,401,000$14,793,000$18,928,000$23,917,000$30,176,000$35,497,000$15,086,000$28,931,000
Long-Term Investments    $5,649,000$17,725,000$259,859,000$4,472,000
Goodwill$173,603,000$176,162,000$214,411,000$251,972,000$493,141,000$574,626,000$411,173,000$340,706,000
Intangible Assets - Other$5,962,000$6,846,000$10,883,000$23,136,000$56,800,000$54,122,000$40,063,000$46,906,000
Noncurrent Deferred Tax Assets    $7,468,000$0  
Noncurrent Other Assets$4,937,000$6,412,000$9,102,000$10,309,000   $133,000
Assets$227,169,000$247,374,000$321,444,000$414,772,000$700,477,000$781,757,000$809,379,000$479,301,000
Accounts Payable$4,557,000$6,808,000$6,402,000$9,464,000$12,094,000$12,054,000$6,397,000$10,823,000
Accrued Expenses - Other$9,890,000$11,360,000$22,747,000$24,355,000$28,279,000$29,728,000$18,873,000$19,928,000
Accrued Salaries$5,016,000$5,880,000$8,458,000$11,835,000$12,411,000$18,485,000$8,599,000$7,238,000
Current Deferred Income Tax Liabilities      $39,634,000$0
Current Deferred/(Unearned) Revenue$22,702,000$23,274,000$22,535,000$23,026,000$36,939,000$55,772,000$30,214,000$14,564,000
Income Taxes Payable     $3,260,000$10,172,000$8,059,000
Current Line of Credit   $4,500,000$16,489,000$11,250,000 $6,000,000
Short-Term Borrowings - Other      $3,875,000$11,250,000
Current Notes Payable    $2,804,000$0 $1,000,000
Current Liabilities of Discontinued Operations   $1,050,000$0   
Current Other Liabilities$10,200,000$0      
Current Liabilities$52,365,000$47,322,000$60,142,000$74,230,000$109,016,000$130,549,000$117,764,000$78,862,000
Line of Credit - Long-Term    $164,098,000$290,875,000$0 
Other Debt - Long-Term      $211,125,000$288,750,000
Notes Payable - Long-Term$157,195,000$157,047,000$156,915,000$157,214,000$417,000$0  
Noncurrent Notes Payable - Related Parties$152,956,000$172,017,000$171,698,000$171,423,000$180,957,000$0  
Pension Obligations$12,400,000$10,568,000$11,040,000$13,762,000$15,140,000$15,241,000$16,269,000$18,007,000
Minority Interest  $450,000$2,787,000    
Deferred Tax Liability$22,667,000$19,903,000$17,245,000  $5,978,000$60,887,000$5,313,000
Noncurrent Other Liabilities$8,061,000$9,587,000$9,270,000$10,265,000$10,319,000$2,545,000$733,000$880,000
Noncurrent Liabilities  $366,168,000$352,664,000$370,931,000$314,639,000$289,014,000$312,950,000
Liabilities$405,644,000$416,444,000      
Redeemable Common Stock Obligation  $2,000$1,118,000$0   
Preferred Stock Obligations$18,000$4,000$0     
Redeemable Convertible Preferred Stock Obligations$74,849,000$67,162,000$54,972,000$46,174,000$0   
Preferred Stock - Value (Excluding Additional Paid in Capital)$0$0$0$0$0$0$0$0
Common Stock - Value (Excluding Additional Paid in Capital)$343,000$337,000$332,000$317,000$319,000$318,000$313,000$228,000
Additional Paid in Capital$207,449,000$215,027,000$226,355,000$229,779,000$227,245,000$226,446,000$214,551,000$55,050,000
Retained Earnings($458,489,000)($450,067,000)($382,876,000)($279,600,000)$6,724,000$112,745,000$36,970,000$32,262,000
Other Accumulated Comprehensive Income, Net of Tax Effect($2,645,000)($1,533,000)($2,204,000)($2,977,000)($2,934,000)$7,267,000$150,767,000($51,000)
Equity - Other$0$0($1,897,000)($9,720,000)($10,824,000)($10,207,000)$0 
Stockholders' Equity($253,342,000)($236,236,000)($160,290,000)($62,201,000)$220,530,000$336,569,000$402,601,000$87,489,000
Liabilities and Stockholders' Equity$227,169,000$247,374,000$321,444,000$414,772,000$700,477,000$781,757,000$809,379,000$479,301,000
Cash Flow Statement200520042003200220012000199919981997
Operating Activities Beginning Net Income($8,422,000)($67,191,000)($93,131,000)($296,469,000)($104,107,000)$79,590,000$8,210,000$10,890,000$14,874,000
Amortization$2,016,000$1,998,000$1,889,000      
Depreciation and Amortization$6,698,000$8,760,000$11,946,000$19,347,000$44,048,000$32,811,000$27,918,000$7,791,000$6,551,000
Total Adjustments to Provision for Doubtful Accounts$744,000$1,833,000$2,162,000$8,303,000$4,372,000$1,714,000$943,000$282,000$662,000
Restructuring Charges$773,000$2,261,000$3,112,000$10,901,000$11,632,000$0$0  
Asset Impairment Charges$1,773,000$41,368,000$51,360,000$263,165,000$68,741,000$12,636,000$0$0 
Adjustments to Realized Gains/(Losses) on Sale of Investments($2,732,000)$0$0  $110,210,000$5,906,000$0$1,040,000
Total Adjustment Employee Compensation($369,000)($472,000)($2,467,000)($1,378,000)($102,000)($875,000)($1,182,000)($1,584,000)($2,000,000)
Adjustment Write Off of Asset        $0
Adjustment Write Off of Intangible Asset Excluding Goodwill       $0 
Adjustment Property Plant Equipment   $888,000 $0   
Adjustment Realized Gains Losses On Sale Asset        $0
Deferred Income Taxes$2,633,000$2,634,000$6,847,000$24,257,000($9,773,000)($4,379,000)($363,000)($5,093,000)$878,000
Income/(Loss) from Discontinued Operations, Net of Tax Effect$23,000$1,033,000($1,387,000)($3,252,000)($1,064,000)($134,000)$8,693,000($296,000) 
Adjustment Extraordinary Items     $0($8,413,000)$0$0
Other Adjustments to Common Stockholders' Net Income - Increase/(Decrease)$194,000$1,675,000$4,040,000($51,000)$380,000$571,000   
Noncash Expenses - Other        $0
Change Accounts Receivable($720,000)($5,238,000)$5,665,000($11,212,000)($13,300,000)$22,817,000$3,470,000$1,960,000($1,261,000)
Change Income Taxes Receivable($247,000)($608,000)$53,392,000$38,797,000$14,750,000$0$0  
Increase/(Decrease) in Inventories($242,000)$18,000$151,000($326,000)$567,000($403,000)$389,000($284,000)($931,000)
Change Prepaid Expenses Other Current Assets   ($2,510,000)($2,762,000)($1,295,000)($869,000)$1,481,000($630,000)
Increase/(Decrease) in Accounts Payable and Accrued Expenses($6,069,000)($15,022,000)($9,010,000)($11,628,000)($17,809,000)$7,531,000($5,444,000)$10,170,000$1,584,000
Increase/(Decrease) in Unearned Premiums$2,663,000$744,000($491,000)($12,863,000)($20,134,000)$12,894,000$12,325,000$2,421,000($552,000)
Increase/(Decrease) in Customer Deposits$274,000$5,869,000($5,222,000)      
Net Other Increase/(Decrease) in Working Capital($573,000)($126,000)($1,141,000)($440,000)($2,695,000)$2,058,000($1,126,000)($3,733,000)$593,000
Net Cash Flows Provided By/(Used In) Operating Activities($1,583,000)($20,464,000)$27,715,000($16,585,000)($18,248,000)$9,240,000$34,357,000$25,749,000$23,186,000
Purchase of Property, Plant and Equipment$1,028,000$2,317,000$3,294,000$3,855,000$7,602,000$27,272,000$5,884,000$5,775,000$5,450,000
Purchase of Investments        $0
Proceeds from Other Investments$4,074,000$800,000$3,250,000     $0
Increase Decrease Notes Receivable$0($65,000)($1,553,000)$29,000     
Increase Decrease Restricted Funds$174,000$125,000($677,000) $0    
Acquisition of Businesses, Net of Cash Acquired$1,864,000$0$7,000$5,527,000$19,853,000$200,996,000$57,415,000$283,382,000$48,733,000
Proceeds from Divestiture of Business   $5,801,000$0$113,100,000$6,640,000 $0
Proceeds from Discontinued Operations      $28,889,000$0 
Proceeds from Sale of Other Assets       $18,000,000$991,000
Proceeds from Sale of Property, Plant and Equipment   $951,000$0$4,000,000   
Net Cash Flows Provided By/(Used In) Investing Activities$1,008,000($1,577,000)$2,179,000($2,659,000)($27,455,000)($111,168,000)($27,770,000)($271,157,000)($53,192,000)
Net Increase/(Decrease) in Bank Overdrafts($269,000)$230,000($383,000)$607,000$0    
Proceeds from Lines of Credit   $6,000,000$45,000,000$91,000,000  $0
Reimbursement of loans by employee stock ownership plans   $703,000$0$0   
Repayments on Lines of Credit$0$0$4,500,000$182,087,000$166,538,000$3,875,000   
Repayments on Notes Payable$0$0$417,000$2,804,000$201,000$0$1,000,000$38,066,000$14,000,000
Proceeds from Senior Debt   $156,717,000$180,836,000$0$259,500,000$306,000,000$0
Repayments from Senior Debt$16,451,000$0$0$8,375,000$0 $350,500,000$0$0
Net Change Notes Receivables    ($2,095,000)    
Net Change Notes Payable        $48,342,000
Net Change Related Party Debt$0$0$250,000      
Financing Costs$0$10,000$2,045,000$9,814,000$1,657,000$283,000$3,461,000$14,754,000$0
Proceeds from Issuance of Redeemable Convertible Preferred Stock   $46,123,000$0$0   
Proceeds from Stock Options Exercised    $1,153,000$473,000$170,000$0$0
Net Proceeds from Stock Plans$0$0($113,000)($434,000)($353,000)($209,000)$0$0 
Increase/(Decrease) in Other Equity      $118,416,000$0$0
Payment of Dividends    $1,914,000$3,800,000$3,246,000$1,367,000$4,412,000
Cash Provided by/(Used in) Financing Activities - Other$10,200,000$0$0($677,000)   ($4,820,000)$924,000
Net Cash Flows Provided By/(Used In) Financing Activities($6,520,000)$220,000($7,208,000)$5,959,000$54,231,000$83,306,000$19,879,000$246,993,000$30,854,000
Effect of Exchange Rate on Cash and Cash Equivalents$66,000($144,000)$169,000($135,000)$58,000($143,000)($49,000)($51,000)$0
Increase/(Decrease) in Cash and Cash Equivalents($7,029,000)($21,965,000)$22,855,000($13,420,000)$8,586,000($18,765,000)$26,417,000$1,534,000$848,000
Cash and cash equivalents at the beginning of the year$7,661,000$29,626,000$6,771,000$20,191,000$11,605,000$30,370,000$3,953,000$2,419,000$1,571,000
Total Cash and cash equivalents at the end of the year$632,000$7,661,000$29,626,000$6,771,000$20,191,000$11,605,000$30,370,000$3,953,000$2,419,000
Notes
Financial Notes:
*Penton Media, Inc. fiscal year end: 12/31
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Charts, Financials, and Statistics (Graphs)

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Revenues ($ MM) Graph
Selling, General and Administrative Expenses ($ MM) Graph
Depreciation and Amortization ($ MM) Graph
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Impairment of Intangible Assets ($ MM) Graph
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Total Operating Expenses excluding costs ($ MM) Graph
Operating Income/(Loss) ($ MM) Graph
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Realized Gains/(Losses) on Sale of Investments ($ MM) Graph
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Non-operating Expense - Other ($) Graph
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Income Loss Continuing Operations Before Income Taxes Effect Accounting Change ($ MM) Graph
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Total Income Before Extraordinary Items ($ MM) Graph
Extraordinary Items, Net of Tax Effect ($ MM) Graph
Income/(Loss) Before Cumulative Effect of Change in Accounting Principle ($ MM) Graph
Cumulative Effect of a Change in Accounting Principle, Net of Tax Effect ($ MM) Graph
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Net Income (Loss) ($ MM) Graph
Other Preferred Stock Dividends and Adjustments ($ MM) Graph
Net Income Applicable to Common Stockholders ($ MM) Graph
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Net Accounts Receivable Trade ($ MM) Graph
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Accumulated Depreciation PPE ($ MM) Graph
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Current Notes Payable ($ MM) Graph
Current Liabilities of Discontinued Operations ($ MM) Graph
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Other Debt - Long-Term ($ MM) Graph
Notes Payable - Long-Term ($ MM) Graph
Noncurrent Notes Payable - Related Parties ($ MM) Graph
Pension Obligations ($ MM) Graph
Minority Interest ($ MM) Graph
Deferred Tax Liability ($ MM) Graph
Noncurrent Other Liabilities ($ MM) Graph
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Liabilities ($ MM) Graph
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Preferred Stock Obligations ($) Graph
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Common Stock - Value (Excluding Additional Paid in Capital) ($) Graph
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Operating Activities Beginning Net Income ($ MM) Graph
Amortization ($ MM) Graph
Depreciation and Amortization ($ MM) Graph
Total Adjustments to Provision for Doubtful Accounts ($ MM) Graph
Restructuring Charges ($ MM) Graph
Asset Impairment Charges ($ MM) Graph
Adjustments to Realized Gains/(Losses) on Sale of Investments ($ MM) Graph
Total Adjustment Employee Compensation ($ MM) Graph
Adjustment Property Plant Equipment ($) Graph
Deferred Income Taxes ($ MM) Graph
Income/(Loss) from Discontinued Operations, Net of Tax Effect ($ MM) Graph
Adjustment Extraordinary Items ($ MM) Graph
Other Adjustments to Common Stockholders' Net Income - Increase/(Decrease) ($ MM) Graph
Change Accounts Receivable ($ MM) Graph
Change Income Taxes Receivable ($ MM) Graph
Increase/(Decrease) in Inventories ($) Graph
Change Prepaid Expenses Other Current Assets ($ MM) Graph
Increase/(Decrease) in Accounts Payable and Accrued Expenses ($ MM) Graph
Increase/(Decrease) in Unearned Premiums ($ MM) Graph
Increase/(Decrease) in Customer Deposits ($ MM) Graph
Net Other Increase/(Decrease) in Working Capital ($ MM) Graph
Net Cash Flows Provided By/(Used In) Operating Activities ($ MM) Graph
Purchase of Property, Plant and Equipment ($ MM) Graph
Proceeds from Other Investments ($ MM) Graph
Increase Decrease Notes Receivable ($ MM) Graph
Increase Decrease Restricted Funds ($) Graph
Acquisition of Businesses, Net of Cash Acquired ($ MM) Graph
Proceeds from Divestiture of Business ($ MM) Graph
Proceeds from Discontinued Operations ($ MM) Graph
Proceeds from Sale of Other Assets ($ MM) Graph
Proceeds from Sale of Property, Plant and Equipment ($ MM) Graph
Net Cash Flows Provided By/(Used In) Investing Activities ($ MM) Graph
Net Increase/(Decrease) in Bank Overdrafts ($) Graph
Proceeds from Lines of Credit ($ MM) Graph
Reimbursement of loans by employee stock ownership plans ($) Graph
Repayments on Lines of Credit ($ MM) Graph
Repayments on Notes Payable ($ MM) Graph
Proceeds from Senior Debt ($ MM) Graph
Repayments from Senior Debt ($ MM) Graph
Net Change Related Party Debt ($) Graph
Financing Costs ($ MM) Graph
Proceeds from Issuance of Redeemable Convertible Preferred Stock ($ MM) Graph
Proceeds from Stock Options Exercised ($ MM) Graph
Net Proceeds from Stock Plans ($) Graph
Increase/(Decrease) in Other Equity ($ MM) Graph
Payment of Dividends ($ MM) Graph
Cash Provided by/(Used in) Financing Activities - Other ($ MM) Graph
Net Cash Flows Provided By/(Used In) Financing Activities ($ MM) Graph
Effect of Exchange Rate on Cash and Cash Equivalents ($) Graph
Increase/(Decrease) in Cash and Cash Equivalents ($ MM) Graph
Cash and cash equivalents at the beginning of the year ($ MM) Graph
Total Cash and cash equivalents at the end of the year ($ MM) Graph
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Mergers & Acquisitions

PrivCo's M&A Activity table for Penton Media, Inc. displays the mergers and acquisitions involving Penton Media, Inc., for example if Penton Media, Inc. acquired or was acquired by another entity, any leveraged buyout (LBO), etc.
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DateStatusTargetBuyerDeal TypePrice
DetailsDec. 2010CompletedViewViewAcquisitionView
DetailsMar. 2011CompletedViewViewAcquisitionView
DetailsAug. 2011CompletedViewViewAcquisitionView
DetailsAug. 2011CompletedViewViewAcquisitionView
DetailsSep. 2011CompletedViewViewAcquisitionView
DetailsOct. 2011CompletedViewViewAcquisitionView
DetailsJun. 2012CompletedViewViewAcquisitionView
DetailsOct. 2012CompletedView1ViewAcquisition
Intellectual Property Sale (IP)
View
DetailsNov. 2012CompletedView2ViewSecondary Sale
Acquisition
View
Notes
1Deal financials were undisclosed. The...Read More →
2Farm Progress will...Read More →
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Bankruptcy & Restructuring

PrivCo's Bankruptcy & Restructuring table for Penton Media, Inc. displays any bankruptcy filings or voluntary restructurings involving Penton Media, Inc..
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TypeDate EnteredDate ExitedAssetsLiabilities
DetailsView1Mar. 2013ViewViewView
Notes
1Penton consolidates Farm...Read More →
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Supplemental Resources

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