Analog Devices Reports Second Quarter 2017 Results

(1) Includes $3,007, $2,553, and $2,719 related to stock-based compensation in 2Q17, 1Q17, and 2Q16, respectively.

 
Analog Devices, Second Quarter, Fiscal 2017
 

Schedule C

Cash Flow Statement (Unaudited)
(In thousands)
     
Three Months Ended
2Q 17     1Q 17     2Q 16
April 29,
2017
    Jan. 28,
2017
    April 30,
2016
Cash flows from operating activities:
Net Income $ 93,564 $ 217,129 $ 170,573
Adjustments to reconcile net income
to net cash provided by operations:
Depreciation 48,772 34,379 33,483
Amortization of intangibles 88,770 19,947 18,440
Stock-based compensation expense 22,486 16,529 15,959
Cost of goods sold for inventory acquired 121,113
Other non-cash activity 11,078 13,071 500
Excess tax benefit - stock options (17,851 ) (8,102 ) (3,212 )
Deferred income taxes (79,980 ) (7,055 ) 539
Changes in operating assets and liabilities     233,512       28,594       83,921  
Total adjustments     427,900       97,363       149,630  
Net cash provided by operating activities     521,464       314,492       320,203  
Percent of revenue     45.4 %     31.9 %     41.1 %
 
Cash flows from investing activities:
Purchases of short-term available-for-sale investments (378,540 ) (326,908 ) (1,939,750 )
Maturities of short-term available-for-sale investments 1,247,493 1,844,380 1,522,688
Sales of short-term available-for-sale investments 69,787 287,601 102,316
Additions to property, plant and equipment (46,929 ) (28,337 ) (25,517 )
Payments for acquisitions, net of cash acquired (9,686,497 ) (1,036 ) (2,203 )
Change in other assets     (6,117 )     (5,946 )     (2,746 )
Net cash (used for) provided by investing activities     (8,800,803 )     1,769,754       (345,212 )
 
Cash flows from financing activities:
Proceeds from derivative instruments 3,904
Proceeds from debt 9,083,858 2,072,306
Payments for deferred financing fees (5,625 )
Dividend payments to shareholders (139,314 ) (129,683 ) (129,925 )
Repurchase of common stock (23,874 ) (3,106 ) (213,650 )
Proceeds from employee stock plans 52,841 34,432 16,480
Excess tax benefit - stock options 17,851 8,102 3,212
Change in other financing activities     (2,237 )     2,221       (2,786 )
Net cash provided by (used for) financing activities     8,989,125       1,982,551       (326,669 )
Effect of exchange rate changes on cash     694       (666 )     898  
 
Net increase (decrease) in cash and cash equivalents 710,480 4,066,131 (350,780 )
Cash and cash equivalents at beginning of period     4,987,263       921,132       1,470,442  
Cash and cash equivalents at end of period     $ 5,697,743       $ 4,987,263       $ 1,119,662  

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