Broadcom Limited Announces Third Quarter Fiscal Year 2016 Financial Results and Interim Dividend
BROADCOM LIMITED |
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - UNAUDITED |
(IN MILLIONS) | | | | | | | | | | | | | |
Fiscal Quarter Ended
| |
Three Fiscal Quarters Ended | | |
July 31, | |
May 1, | |
August 2, | |
July 31, | |
August 2, | | | |
2016 | | | |
2016 | | | |
2015 | | | |
2016 | | | |
2015 | |
Cash flows from operating activities: | | | | | | | | | | | Net income (loss) | | $ | (315 | ) | | $ | (1,255 | ) | | $ | 240 | | | $ | (1,193 | ) | | $ | 935 | | Adjustments to reconcile net income (loss) to net cash provided by operating activities: | | | | | | | | | | | | | Depreciation and amortization | | | 1,058 | | | | 1,040 | | | | 256 | | | | 2,342 | | | | 712 | | Share-based compensation | | | 219 | | | | 198 | | | | 63 | | | | 474 | | | | 169 | | Excess tax benefits from share-based compensation | | | (10 | ) | | | (35 | ) | | | (32 | ) | | | (68 | ) | | | (102 | ) | Non-cash portion of debt extinguishment (gain) loss | | | 21 | | | | 30 | | | | (3 | ) | | | 51 | | | | 10 | | Non-cash restructuring, impairment and disposal charges | | | 224 | | | | 22 | | | | 70 | | | | 268 | | | | 75 | | Gain on sales of businesses | | | (27 | ) | | | - | | | | - | | | | (27 | ) | | | (14 | ) | Deferred taxes | | | (181 | ) | | | (164 | ) | | | (33 | ) | | | (353 | ) | | | (35 | ) | Amortization of debt issuance costs and accretion of debt discount | | | 10 | | | | 13 | | | | 4 | | | | 27 | | | | 18 | | Other | | | (9 | ) | | | 22 | | | | 4 | | | | 17 | | | | 10 | | Changes in assets and liabilities, net of acquisitions and disposals: | | | | | | | | | | | Trade accounts receivable, net | | | (322 | ) | | | (128 | ) | | | (2 | ) | | | (491 | ) | | | 22 | | Inventory | | | 168 | | | | 886 | | | | 20 | | | | 1,088 | | | | 63 | | Accounts payable | | | 156 | | | | (149 | ) | | | (29 | ) | | | (61 | ) | | | (52 | ) | Employee compensation and benefits | | | 121 | | | | 98 | | | | 29 | | | | 70 | | | | (12 | ) | Other current assets and current liabilities | | | (124 | ) | | | 70 | | | | (7 | ) | | | (38 | ) | | | (25 | ) | Other long-term assets and long-term liabilities | | | (26 | ) | | | (26 | ) | | | 12 | | | | (47 | ) | | | (38 | ) |
Net cash provided by operating activities | | | 963 | | | | 622 | | | | 592 | | | | 2,059 | | | | 1,736 | | | | | | | | | | | | |
Cash flows from investing activities: | | | | | | | | | | | Acquisitions of businesses, net of cash acquired | | | (20 | ) | | | (10,023 | ) | | | (394 | ) | | | (10,055 | ) | | | (394 | ) | Proceeds from sales of businesses | | | 630 | | | | - | | | | - | | | | 698 | | | | 650 | | Purchases of property, plant and equipment | | | (232 | ) | | | (158 | ) | | | (148 | ) | | | (530 | ) | | | (487 | ) | Proceeds from disposals of property, plant and equipment | | | 5 | | | | - | | | | - | | | | 5 | | | | 63 | | Purchases of investments | | | - | | | | (58 | ) | | | - | | | | (58 | ) | | | (9 | ) | Proceeds from sales and maturities of investments | | | 57 | | | | 32 | | | | - | | | | 89 | | | | - | | Other | | | (14 | ) | | | - | | | | - | | | | (15 | ) | | | - | |
Net cash provided by (used in) investing activities | | | 426 | | | | (10,207 | ) | | | (542 | ) | | | (9,866 | ) | | | (177 | ) | | | | | | | | | | | |
Cash flows from financing activities: | | | | | | | | | | | Proceeds from term loan borrowings | | | - | | | | 15,926 | | | | - | | | | 15,926 | | | | - | | Debt repayments | | | (1,306 | ) | | | (4,828 | ) | | | (1,010 | ) | | | (6,145 | ) | | | (1,627 | ) | Payments of assumed debt | | | - | | | | (1,475 | ) | | | (178 | ) | | | (1,475 | ) | | | (178 | ) | Debt issuance costs | | | - | | | | (104 | ) | | | - | | | | (108 | ) | | | - | | Dividend payments | | | (211 | ) | | | (204 | ) | | | (104 | ) | | | (537 | ) | | | (292 | ) | Issuance of ordinary shares | | | 38 | | | | 107 | | | | 56 | | | | 217 | | | | 186 | | Excess tax benefits from share-based compensation | | | 10 | | | | 35 | | | | 32 | | | | 68 | | | | 102 | |
Net cash provided by (used in) financing activities | | | (1,469 | ) | | | 9,457 | | | | (1,204 | ) | | | 7,946 | | | | (1,809 | ) | | | | | | | | | | | | | | | | | | | | | | | Net change in cash and cash equivalents | | | (80 | ) | | | (128 | ) | | | (1,154 | ) | | | 139 | | | | (250 | ) | Cash and cash equivalents at the beginning of period | | | 2,041 | | | | 2,169 | | | | 2,508 | | | | 1,822 | | | | 1,604 | | Cash and cash equivalents at end of period | | $ | 1,961 | | | $ | 2,041 | | | $ | 1,354 | | | $ | 1,961 | | | $ | 1,354 | | | | | | | | | | | | |
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