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<SEC-DOCUMENT>0000899681-06-000766.txt : 20061220
<SEC-HEADER>0000899681-06-000766.hdr.sgml : 20061220
<ACCEPTANCE-DATETIME>20061220153337
ACCESSION NUMBER:		0000899681-06-000766
CONFORMED SUBMISSION TYPE:	8-K
PUBLIC DOCUMENT COUNT:		3
CONFORMED PERIOD OF REPORT:	20061219
ITEM INFORMATION:		Results of Operations and Financial Condition
ITEM INFORMATION:		Financial Statements and Exhibits
FILED AS OF DATE:		20061220
DATE AS OF CHANGE:		20061220

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			SYSTEMAX INC
		CENTRAL INDEX KEY:			0000945114
		STANDARD INDUSTRIAL CLASSIFICATION:	RETAIL-CATALOG & MAIL-ORDER HOUSES [5961]
		IRS NUMBER:				113262067
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		8-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-13792
		FILM NUMBER:		061289839

	BUSINESS ADDRESS:	
		STREET 1:		22 HARBOR PARK DR
		CITY:			PORT WASHINGTON
		STATE:			NY
		ZIP:			11050
		BUSINESS PHONE:		5166087000

	MAIL ADDRESS:	
		STREET 1:		22 HARBOR PARK DRIVE
		CITY:			PORT WASHINGTON
		STATE:			NY
		ZIP:			11050

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	GLOBAL DIRECTMAIL CORP
		DATE OF NAME CHANGE:	19950509
</SEC-HEADER>
<DOCUMENT>
<TYPE>8-K
<SEQUENCE>1
<FILENAME>systemax-8k_122006.htm
<TEXT>
<HTML>
<HEAD>
<TITLE>8-K</TITLE>
</HEAD>
<BODY>

<!-- MARKER FORMAT-SHEET="Stroock Head Minor Center" FSL="Workstation" -->
<P ALIGN=CENTER><FONT SIZE=3>SECURITIES AND EXCHANGE COMMISSION<BR>
<BR>
WASHINGTON, D.C. 20549</FONT></P>

<!-- MARKER FORMAT-SHEET="Center Rule" FSL="Default" -->
<P ALIGN=CENTER>_____________________ </P>

<!-- MARKER FORMAT-SHEET="Stroock Head Major Center Bold" FSL="Workstation" -->
<P ALIGN=CENTER><FONT SIZE=3><B>FORM 8-K </B></FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Head Minor Center" FSL="Workstation" -->
<P ALIGN=CENTER><FONT SIZE=3>CURRENT REPORT<BR>
PURSUANT TO SECTION 13 OR 15(D) OF THE<BR>
SECURITIES EXCHANGE ACT OF 1934</FONT></P>

<!-- MARKER FORMAT-SHEET="Para Large Indent" FSL="Default" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3>Date
of Report (Date of earliest event reported): December 19, 2006 </FONT></P>

<!-- MARKER FORMAT-SHEET="Head Major Center Bold 1" FSL="Workstation" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3><B>Systemax Inc.</B><BR>
(Exact Name of Registrant as Specified in Charter)</FONT></P>


<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=33% ALIGN=CENTER>
<B>Delaware</B><BR>
(State or Other Jurisdiction<BR>
of Incorporation)
</TD>
<TD WIDTH=33% ALIGN=CENTER>
<B>1-13792</B><BR>
(Commission<BR>
File Number)
</TD>
<TD WIDTH=34% ALIGN=CENTER>
<B>11-3262067</B><BR>
(IRS Employer<BR>
Identification No.)</TD>
</TR>
</TABLE>
<BR>

<!-- MARKER FORMAT-SHEET="Head Major Center Bold 1" FSL="Default" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3>11 Harbor Park Drive<BR>
Port Washington, New York 11050<BR>
(Address of Principal Executive offices, including Zip Code) </FONT></P>


<P ALIGN=CENTER><FONT SIZE=3>Registrant&#146;s telephone number, including area code:
<B>(516) 608-7000</B> </FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Head Major Center Bold" FSL="Workstation" -->
<P ALIGN=CENTER><FONT SIZE=3><B>N.A. </B><BR>
(Former Name or Former Address, if Changed Since Last Report)</FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Default" -->
<P><FONT SIZE=3>Check the appropriate box below if the Form 8-K filing is intended to
simultaneously satisfy the filing obligations of the registrant under any of the following
provisions ( <I>see </I>General Instruction A.2 below):<BR>
<BR>
 |_| Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)<BR>
<BR>
 |_| Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14-12)<BR>
<BR>
 |_| Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240-14d-2(b))<BR>
<BR>
 |_| Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CRF
240.13e-4(c)) </FONT></P>

<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=10% ALIGN=LEFT><B> <U>Item 2.02</U></B> </TD>
<TD WIDTH=90%>
<B><U>Results of Operations and Financial Condition</U></B></TD>
</TR>
</TABLE>
<BR>

<!-- MARKER FORMAT-SHEET="Para Large Indent" FSL="Default" -->
<P><FONT FACE="Times New Roman, Times, Serif" SIZE=3>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;A
press release regarding Third Quarter 2006 financial results was issued by the Company on
December 19, 2006, a copy of which is filed as an exhibit. </FONT></P>

<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=10% ALIGN=LEFT><B> <U>Item 9.01</U></B> </TD>
<TD WIDTH=90%>
<B><U>Financial Statements and Exhibits</U></B></TD>
</TR>
</TABLE>
<BR>

<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=5%></TD>
<TD WIDTH=5%><I>(a)</I></TD>
<TD WIDTH=90%><I>Financial Statements of Business Acquired &#151; not applicable</I></TD>
</TR>
</TABLE>
<BR>
<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=5%></TD>
<TD WIDTH=5%><I>(b)</I></TD>
<TD WIDTH=90%><I>Pro Forma Financial Information &#151; not applicable</I></TD>
</TR>
</TABLE>
<BR>
<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=5%></TD>
<TD WIDTH=5%><I>(c)</I></TD>
<TD WIDTH=90%><I>Exhibits</I></TD>
</TR>
</TABLE>
<BR>
<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=10%></TD>
<TD WIDTH=5%>99.1</TD>
<TD WIDTH=85%>Press Release of Systemax Inc., dated December 19, 2006 regarding financial
results for the Third Quarter of 2006.</TD>
</TR>
</TABLE>
<BR>


<!-- MARKER FORMAT-SHEET="Head Sub 3 Left" FSL="Workstation" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3>SIGNATURES</FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Large Indent" FSL="Default" -->
<P><FONT SIZE=3>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Pursuant
to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused
this report to be signed on its behalf by the undersigned hereunto duly authorized. </FONT></P>

<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=50%></TD>
<TD WIDTH=50%>SYSTEMAX INC.<BR>
<BR>
<BR>
By: <U>/s/ Steven Goldschein&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U><BR>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Name: Steven Goldschein<BR>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Title: Senior Vice President and CFO</TD>
</TR>
</TABLE>
<BR>

<!-- MARKER FORMAT-SHEET="Stroock Head Left" FSL="Default" -->
<P ALIGN=LEFT><FONT SIZE=3>Dated: December 19, 2006</FONT></P>

<!-- MARKER FORMAT-SHEET="Head Sub 3 Left" FSL="Default" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3>Exhibit Index </FONT></P>

<TABLE WIDTH=100% CELLPADDING=0 CELLSPACING=0 BORDER=0>
<TR VALIGN=TOP>
<TD WIDTH=10%>99.1</TD>
<TD WIDTH=90%>Press Release of Systemax Inc., dated December 19, 2006 regarding financial
results for the Third Quarter of 2006.</TD>
</TR>
</TABLE>
<BR>

</BODY>
</HTML>
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99
<SEQUENCE>2
<FILENAME>systemax-ex991_122006.htm
<DESCRIPTION>EXHIBIT 99.1
<TEXT>
<HTML>
<HEAD>
<TITLE>Exhibit 99.1</TITLE>
</HEAD>
<BODY>

<P ALIGN=RIGHT><FONT SIZE=3>Exhibit 99.1</FONT></P>

<IMG SRC="system.jpg">


<!-- MARKER FORMAT-SHEET="Head Right" FSL="Default" -->
<P ALIGN=RIGHT><FONT FACE="Times New Roman, Times, Serif" SIZE=3><B><U>FOR IMMEDIATE RELEASE</U></B> </FONT></P>

<!-- MARKER FORMAT-SHEET="Head Major Left Bold" FSL="Default" -->
<H1 ALIGN=LEFT><FONT FACE="Times New Roman, Times, Serif" SIZE=3>INVESTOR CONTACT:<BR>
Steven M. Goldschein<BR>
516 608-7000 </FONT></H1>

<!-- MARKER FORMAT-SHEET="Three Quarters Rule" FSL="Default" -->
     <HR ALIGN=CENTER WIDTH=75% SIZE=1 NOSHADE>

<!-- MARKER FORMAT-SHEET="Stroock Head Major Center Bold" FSL="Default" -->
<P ALIGN=CENTER><FONT SIZE=3><B><U>SYSTEMAX REPORTS THIRD QUARTER 2006 RESULTS<BR>
NET INCOME INCREASES TO $.33 vs. $.11 PER DILUTED SHARE</U></B> </FONT></P>

<!-- MARKER FORMAT-SHEET="Head Major Left Bold" FSL="Default" -->
<H1 ALIGN=LEFT><FONT FACE="Times New Roman, Times, Serif" SIZE=3>Third Quarter Highlights: </FONT></H1>

<P><FONT SIZE=3>-- <B>Quarterly sales:</B>  $575 million, up 18%, North America up 21%<BR>
- -- <B>Net income:</B> Triples to $12.5 million<BR>
- -- <B>Operating income:</B> Up 139%<BR>
- -- <B>Trailing 12 month operating income:</B> $69.1 million vs. $22.2 million last year<BR>
- -- <B>Diluted earnings per share:</B>  Up threefold<BR>
- -- <B>Internet sales:</B>  Up 30%</FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Workstation" -->
<P><FONT SIZE=3><B>PORT WASHINGTON, NY</B>, December 19, 2006 &#151; Systemax Inc.
<B>(NYSE:SYX),</B> a leading distributor and manufacturer of PC hardware, related computer
products and industrial products in North America and Europe, today announced results for
the third quarter and nine months ended September 30, 2006. </FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Workstation" -->
<P><FONT SIZE=3>Net sales for the quarter increased 18% to $575.0 million compared to
$488.5 million in the same quarter last year. North American sales increased 21% to $395.5
million compared to the same period a year ago. In Europe sales totaled $179.5 million, an
increase of 11% over last year. Income from operations more than doubled to $19.2 million
compared to $8.0 million in the third quarter last year. Net income increased 221% to
$12.5 million or $.33 per diluted share compared to $3.9 million or $.11 per diluted share
in the third quarter last year. </FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Workstation" -->
<P><FONT SIZE=3>For the nine months ended September 30, 2006, net sales increased 11% to
$1.697 billion from $1.533 billion during the same period last year. Income from
operations more than tripled to $50.6 million compared to $16.3 million in the same period
last year. Net income increased 362% to $37.1 million or $.99 per diluted share compared
to $8.0 million or $.22 per diluted share a year-ago. Results for 2006 include an after
tax gain of $4.3 million or $.11 per diluted share from the sale of a warehouse facility
in the first quarter of 2006. Excluding this gain, net income would have been $32.8
million or $.87 per diluted share compared to $8.0 million or $.22 per diluted share in
the same period last year. </FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Workstation" -->
<P><FONT SIZE=3>Richard Leeds, Chairman and Chief Executive Officer said, &#147;I am
extremely pleased with our third quarter results, highlighted by our 18% sales increase.
Our internet sales continued their growth pattern accounting for 34% of total sales.
Internet sales are the most efficient way to serve our customers and have contributed to
our increased operating profit without significant additional costs. It is significant to
note that our trailing twelve-month income from operations more than tripled to $69.1
million compared to $22.2 million during a comparable period a year-ago (See GAAP
reconciliation table).&#148; </FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Workstation" -->
<P><FONT SIZE=3>Gilbert Fiorentino, CEO of Tiger Direct noted, &#147;The sales growth of
North American computer products during the third quarter of 2006 was due in large part to
the strength of our e-commerce efforts and also reflects the success of our strategy of
expanding product offerings. European sales increased 11% compared to the year-ago quarter
with increases being achieved in all our markets. Industrial products sales were also
strong, increasing 15% during the quarter.&#148; </FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Workstation" -->
<P><FONT SIZE=3>Steven Goldschein, Chief Financial Officer, noted that the Company&#146;s
overall financial condition remains solid as evidenced by its strong cash position and
short-term borrowings only in certain European operations. Mr. Goldschein noted, &#147;Our
efforts to improve the timeliness and accuracy of our financial reporting both by adding
personnel and strengthening our systems and procedures are continuing. We expect to report
our full year 2006 results on time at the end of March 2007.&#148; </FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Default" -->
<P><FONT SIZE=3>Systemax Inc. (<U>www.systemax.com</U>) utilizes an integrated system of
branded e-commerce web sites, direct mail catalogs and relationship marketers to sell PC
hardware, related computer products and industrial products in North America and Europe.
Systemax is a Fortune 1000 company. </FONT></P>

<!-- MARKER FORMAT-SHEET="Head Sub 3 Left" FSL="Default" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3><I>SYSTEMAX INC.</I><BR>
Condensed Consolidated Statements of Operations &#150; Unaudited<BR>
(In thousands, except per share amounts)</FONT></P>

<PRE>
<FONT SIZE=1>
<B>
                                                         Nine Months Ended                  Three Months Ended
                                                           September 30,                      September 30,
                                                           -------------                      -------------
                                                             2006             2005              2006             2005</B>
                                                             ----             ----              ----             ----
Net sales                                              $1,697,191       $1,532,552          $575,041         $488,502
Cost of sales                                           1,437,544        1,310,932           483,527          418,022
                                                  ----------------   --------------  ----------------  ---------------
Gross profit                                              259,647          221,620            91,514           70,480
Selling, general and administrative expenses              209,030          201,806            72,349           62,025
Restructuring and other charges                                              3,494                                442
                                                  ----------------   --------------  ----------------  ---------------
Income from operations                                     50,617           16,320            19,165            8,013
Interest and other (income) expense, net                  (7,111)            2,352             (343)            1,276
                                                  ----------------   --------------  ----------------  ---------------
Income before income taxes                                 57,728           13,968            19,508            6,737
Provision for income taxes                                 20,614            5,933             7,057            2,862
                                                  ----------------   --------------  ----------------  ---------------
Net income                                                $37,114           $8,035           $12,451           $3,875
                                                  ================   ==============  ================  ===============

Net income per common share:
Basic                                                       $1.06             $.23              $.36             $.11
                                                  ================   ==============  ================  ===============
Diluted                                                      $.99             $.22              $.33             $.11
                                                  ================   ==============  ================  ===============

Weighted average common and common equivalent shares:
Basic                                                      34,887           34,619            35,054           34,695
                                                  ================   ==============  ================  ===============
Diluted                                                    37,666           36,479            37,967           36,552
                                                  ================   ==============  ================  ===============
</FONT>
</PRE>

<!-- MARKER FORMAT-SHEET="Head Sub 3 Left" FSL="Default" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3><I>SYSTEMAX INC.</I><BR>
Condensed Consolidated Balance Sheets<BR>
(In thousands)</FONT></P>

<PRE>
<FONT SIZE=1>
<B>
                                                                          As of               As of
                                                                   September 30, 2006   December 31, 2005
                                                                   ------------------   -----------------</B>
CURRENT ASSETS:
Cash and cash equivalents                                                      $70,477            $70,925
Accounts receivable, net                                                       152,258            143,001
Inventories                                                                    206,610            189,502
Prepaid expenses and other current assets                                       34,511             27,704
                                                                   -------------------- ------------------
Total Current Assets                                                           463,856            431,132
Property, plant and equipment, net                                              47,392             57,259
Deferred income taxes and other assets                                          16,507             16,153
                                                                   -------------------- ------------------
TOTAL                                                                         $527,755           $504,544
                                                                   ==================== ==================

LIABILITIES AND SHAREHOLDERS' EQUITY
CURRENT LIABILITIES:
Short-term borrowings including current portions of long-term debt             $16,011            $26,773
Accounts payable and accrued expenses                                          230,544            234,555
                                                                   -------------------- ------------------
Total Current Liabilities                                                      246,555            261,328
Long-term debt                                                                     539              8,028
Other liabilities                                                                3,629              2,346

Shareholders' equity                                                           277,032            232,842
                                                                   -------------------- ------------------
TOTAL                                                                         $527,755           $504,544
                                                                   ==================== ==================
</FONT>
</PRE>

<!-- MARKER FORMAT-SHEET="Head Major Left Bold" FSL="Workstation" -->
<P ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3><B>Systemax Inc.</B><BR>
Reconciliation of GAAP operating income to trailing twelve-month operating income<BR>
(In thousands)<BR>
(Unaudited)</FONT></P>

<PRE>
<FONT SIZE=1>
<B>
                                   Nine Months ended            Nine Months ended
                                   September 30, 2006           September 30, 2005
                                   ------------------           ------------------</B>

Income from operations                 $50,617                            $16,320

Prior year fourth quarter

   income from operations               18,489                              5,916

Trailing twelve-month

   income from operations               $69,106                            $22,236
</FONT>
</PRE>

<P ALIGN=LEFT><FONT FACE="Times New Roman, Times, Serif" SIZE=3>Forward-Looking Statements</FONT></P>

<!-- MARKER FORMAT-SHEET="Stroock Para Flush" FSL="Default" -->
<P><FONT SIZE=3>This press release contains forward-looking statements about the
Company&#146;s performance. These statements are based on management&#146;s estimates,
assumptions and projections and are not guarantees of future performance. The Company
assumes no obligation to update these statements. Actual results may differ materially
from results expressed or implied in these statements as the result of risks,
uncertainties and other factors including, but not limited to: (a) unanticipated
variations in sales volume, (b) economic conditions and exchange rates, (c) actions by
competitors, (d) the continuation of key vendor relationships, (e) the ability to maintain
satisfactory loan agreements with lenders, (f) risks associated with the delivery of
merchandise to customers utilizing common carriers, (g) the operation of the
Company&#146;s management information systems, and (h) unanticipated legal and
administrative proceedings. Please refer to &#147;Risk Factors&#148; and the Forward
Looking Statements sections contained in the Company&#146;s Form 10-K for a more detailed
explanation of the inherent limitations in such forward-looking statements. </FONT></P>

<!-- MARKER FORMAT-SHEET="Head Major Center Bold 1" FSL="Default" -->
<H1 ALIGN=CENTER><FONT FACE="Times New Roman, Times, Serif" SIZE=3>&#151; End &#150; </FONT></H1>

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end
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
-----END PRIVACY-ENHANCED MESSAGE-----
