Analog Devices, Fourth Quarter, Fiscal 2015 | ||||||||||||||||||
Schedule C |
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Cash Flow Statement (Unaudited) | ||||||||||||||||||
(In thousands) | ||||||||||||||||||
Three Months Ended | Twelve Months Ended | |||||||||||||||||
4Q 15 | 3Q 15 | 4Q 14 | FY 15 | FY 14 | ||||||||||||||
Oct. 31,
2015 |
Aug. 1,
2015 |
Nov. 1,
2014 |
Oct. 31, 2015 |
Nov. 1,
2014 |
||||||||||||||
Cash flows from operating activities: | ||||||||||||||||||
Net Income | $ | 96,305 | $ | 216,478 | $ | 108,695 | $ | 696,878 | $ | 629,320 | ||||||||
Adjustments to reconcile net income | ||||||||||||||||||
to net cash provided by operations: | ||||||||||||||||||
Depreciation | 32,688 | 33,650 | 30,917 | 130,147 | 114,064 | |||||||||||||
Amortization of intangibles | 18,302 | 23,898 | 26,186 | 92,093 | 27,906 | |||||||||||||
Stock-based compensation expense | 16,083 | 16,364 | 15,393 | 68,919 | 50,812 | |||||||||||||
Other non-cash activity | (2,428 | ) | 3,827 | 600 | 6,974 | 4,423 | ||||||||||||
Excess tax benefit - stock options | (2,895 | ) | (6,373 | ) | (882 | ) | (25,045 | ) | (22,231 | ) | ||||||||
Deferred income taxes | (25,650 | ) | (17,168 | ) | (69,406 | ) | (52,214 | ) | (77,711 | ) | ||||||||
Changes in operating assets and liabilities | 65,570 | (73,537 | ) | 150,760 | (9,954 | ) | 145,019 | |||||||||||
Total adjustments | 101,670 | (19,339 | ) | 153,568 | 210,920 | 242,282 | ||||||||||||
Net cash provided by operating activities | 197,975 | 197,139 | 262,263 | 907,798 | 871,602 | |||||||||||||
Percent of revenue | 20.2 | % | 22.8 | % | 32.2 | % | 26.4 | % | 30.4 | % | ||||||||
Cash flows from investing activities: | ||||||||||||||||||
Purchases of short-term available-for-sale investments | (1,808,202 | ) | (1,403,600 | ) | (1,946,144 | ) | (6,083,999 | ) | (7,485,162 | ) | ||||||||
Maturities of short-term available-for-sale investments | 2,045,945 | 1,083,474 | 1,507,940 | 4,984,980 | 7,318,877 | |||||||||||||
Sales of short-term available-for-sale investments | 159,546 | 215,998 | 487,259 | 1,251,194 | 2,187,389 | |||||||||||||
Additions to property, plant and equipment | (45,807 | ) | (35,164 | ) | (43,417 | ) | (153,960 | ) | (177,913 | ) | ||||||||
Payments for acquisitions, net of cash acquired | - | (6,947 | ) | (2,183 | ) | (7,065 | ) | (1,945,887 | ) | |||||||||
Change in other assets | 1,102 | (1,180 | ) | (2,633 | ) | (8,275 | ) | (12,055 | ) | |||||||||
Net cash provided by (used for) investing activities | 352,584 | (147,419 | ) | 822 | (17,125 | ) | (114,751 | ) | ||||||||||
Cash flows from financing activities: | ||||||||||||||||||
Proceeds from debt | - | - | - | - | 1,995,398 | |||||||||||||
Term loan repayments | - | - | (1,995,398 | ) | - | (1,995,398 | ) | |||||||||||
Dividend payments to shareholders | (125,582 | ) | (125,511 | ) | (116,308 | ) | (491,059 | ) | (454,225 | ) | ||||||||
Repurchase of common stock | (111,702 | ) | (31,340 | ) | (187,375 | ) | (226,953 | ) | (356,346 | ) | ||||||||
Proceeds from employee stock plans | 7,760 | 19,988 | 21,533 | 122,631 | 200,114 | |||||||||||||
Excess tax benefit - stock options | 2,895 | 6,373 | 882 | 25,045 | 22,231 | |||||||||||||
Contingent consideration payment | - | (1,767 | ) | - | (1,767 | ) | (3,576 | ) | ||||||||||
Change in other financing activities | 3,724 | 4,327 | (1,178 | ) | 500 | 15,192 | ||||||||||||
Net cash used for financing activities | (222,905 | ) | (127,930 | ) | (2,277,844 | ) | (571,603 | ) | (576,610 | ) | ||||||||
Effect of exchange rate changes on cash | (798 | ) | (509 | ) | (1,449 | ) | (3,950 | ) | (3,097 | ) | ||||||||
Net increase (decrease) in cash and cash equivalents | 326,856 | (78,719 | ) | (2,016,208 | ) | 315,120 | 177,144 | |||||||||||
Cash and cash equivalents at beginning of period | 557,497 | 636,216 | 2,585,441 | 569,233 | 392,089 | |||||||||||||
Cash and cash equivalents at end of period | $ | 884,353 | $ | 557,497 | $ | 569,233 | $ | 884,353 | $ | 569,233 |