MAGNACHIP SEMICONDUCTOR CORPORATION AND SUBSIDIARIES CONSOLIDATED STATEMENTS OF CASH FLOWS (In thousands of US dollars) (Unaudited) |
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Three Months
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Year Ended |
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December 31, 2016 |
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December 31, 2016 |
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December 31, 2015 |
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Cash flows from operating activities |
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Net loss |
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$ |
(49,790) |
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$ |
(29,615) |
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$ |
(84,867) |
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Adjustments to reconcile net loss to net cash provided by (used in) operating activities |
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Depreciation and amortization |
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6,625 |
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25,416 |
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26,490 |
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Provision for severance benefits |
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|
823 |
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14,432 |
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15,289 |
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Amortization of debt issuance costs and original issue discount |
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180 |
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707 |
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|
660 |
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Loss on foreign currency, net |
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57,066 |
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18,884 |
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46,984 |
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Stock-based compensation |
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|
877 |
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3,843 |
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2,768 |
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Restructuring gain |
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— |
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(7,785) |
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— |
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Other |
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(318) |
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103 |
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2,434 |
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Changes in operating assets and liabilities |
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Accounts receivable, net |
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(692) |
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|
285 |
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3,299 |
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Inventories, net |
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8,855 |
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(557) |
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12,929 |
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Other receivables |
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(1,089) |
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19,125 |
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(21,463) |
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Other current assets |
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4,490 |
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|
5,000 |
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11,339 |
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Deferred tax assets |
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34 |
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|
65 |
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|
372 |
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Accounts payable |
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(11,251) |
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(4,163) |
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(12,605) |
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Other accounts payable |
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(1,839) |
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(6,603) |
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(10,892) |
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Accrued expenses |
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5,782 |
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(16,305) |
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(1,679) |
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Deferred revenue |
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(988) |
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1,674 |
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8,136 |
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Other current liabilities |
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(1,462) |
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(5,331) |
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(1,210) |
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Other non-current liabilities |
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(162) |
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(1,574) |
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3,105 |
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Payment of severance benefits |
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(1,174) |
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(15,352) |
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(11,394) |
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Other |
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5,595 |
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5,382 |
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|
328 |
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Net cash provided by (used in) operating activities |
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21,562 |
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7,631 |
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(9,977) |
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Cash flows from investing activities |
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Proceeds from settlement of hedge collateral |
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— |
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6,317 |
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10,841 |
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Payment of hedge collateral |
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(1,058) |
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(3,552) |
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(17,182) |
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Proceeds from disposal of plant, property and equipment |
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|
503 |
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|
688 |
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|
9,886 |
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Purchase of property, plant and equipment |
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(7,382) |
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(18,727) |
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(6,350) |
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Payment for intellectual property registration |
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(295) |
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(1,049) |
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(742) |
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Collection of guarantee deposits |
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|
143 |
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|
619 |
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|
636 |
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Payment of guarantee deposits |
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(8) |
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(193) |
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(675) |
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Other |
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14 |
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23 |
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|
195 |
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Net cash used in investing activities |
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(8,083) |
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(15,874) |
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(3,391) |
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Cash flows from financing activities |
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Proceeds from issuance of common stock |
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230 |
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1,732 |
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3,436 |
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Net cash provided by financing activities |
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230 |
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|
1,732 |
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|
3,436 |
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Effect of exchange rates on cash and cash equivalents |
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(5,782) |
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(1,016) |
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(1,620) |
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Net increase (decrease) in cash and cash equivalents |
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|
7,927 |
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(7,527) |
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(11,552) |
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Cash and cash equivalents |
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Beginning of the period |
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75,428 |
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|
90,882 |
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102,434 |
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End of the period |
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$ |
83,355 |
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$ |
83,355 |
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$ |
90,882 |
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Supplemental disclosure of non-cash investing activity |
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Restricted cash received from sale of property, plant and equipment |
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$ |
(16,917) |
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$ |
(16,917) |
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$ |
— |
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