3D Systems Reports Second Quarter and Six Months 2016 Financial Results

  

3D Systems Corporation
Unaudited Condensed Consolidated Statements of Cash Flows
Six Months Ended June 30, 2016 and 2015
 
  Six Months Ended June 30,  
(in thousands)    2016      2015 
Cash flows from operating activities:     
Net loss$ (23,021) $ (26,983)
Adjustments to reconcile net loss to net cash provided by (used in) operating activities:     
Benefit of deferred income taxes  (2,201)   (14,773)
Depreciation and amortization  30,435    41,895 
Impairment of investments  2,760     
Provision for bad debts  2,677    5,135 
(Benefit) provision for inventory obsolescence and revaluation     
Stock-based compensation  18,893    20,050 
(Gain) loss on the disposition of property and equipment  (51)   711 
Changes in operating accounts, net of acquisition activity:     
Accounts receivable  30,375    25,899 
Inventories  (16,153)   (34,117)
Prepaid expenses and other current assets  (2,463)   (13,332)
Accounts payable  (4,526)   (3,827)
Accrued and other current liabilities  (4,328)   (11,393)
All other operating activities  (1,357)   4,382 
Net cash provided by (used in) operating activities  31,040    (6,353)
Cash flows from investing activities:     
Purchases of property and equipment  (7,597)   (12,196)
Additions to license and patent costs    (790 )       (560 )
Proceeds from disposition of property and equipment     0          
Cash paid for acquisitions, net of cash assumed             (91,799 )
Other investing activities     (1,000 )       (1,750 )
Net cash used in investing activities     (9,387 )       (106,305 )
Cash flows from financing activities:          
Tax benefits from share-based payment arrangements         547  
Proceeds (repurchase) — restricted stock     (1,307 )       942  
Repayment of capital lease obligations     (524 )       (526 )
Net cash provided by (used in) financing activities     (1,831 )       963  
Effect of exchange rate changes on cash     783         (1,950 )
Net increase (decrease) in cash and cash equivalents     20,605         (113,645 )
Cash and cash equivalents at the beginning of the period     155,643         284,862  
Cash and cash equivalents at the end of the period $   176,248     $   171,217  
           

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