DELL TECHNOLOGIES INC. | |||||||
Condensed Consolidated Statements of Cash Flows | |||||||
(in millions; unaudited) | |||||||
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| Three Months Ended |
| Nine Months Ended | ||||
| November 2, 2018 |
| November 3, 2017 |
| November 2, 2018 |
| November 3, 2017 |
Cash flows from operating activities: |
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Net loss | $ (895) |
| $ (851) |
| $ (1,894) |
| $ (2,793) |
Adjustments to reconcile net loss to net cash provided by operating activities | 1,728 |
| 2,490 |
| 6,519 |
| 6,537 |
Change in cash from operating activities | 833 |
| 1,639 |
| 4,625 |
| 3,744 |
Cash flows from investing activities: |
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Investments: |
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Purchases | (24) |
| (1,194) |
| (912) |
| (3,454) |
Maturities and sales | 863 |
| 935 |
| 2,185 |
| 2,993 |
Capital expenditures | (300) |
| (341) |
| (861) |
| (902) |
Proceeds from sale of facilities, land, and other assets | — |
| — |
| 10 |
| — |
Capitalized software development costs | (86) |
| (94) |
| (246) |
| (281) |
Collections on purchased financing receivables | 8 |
| 15 |
| 25 |
| 25 |
Acquisition of businesses, net | (493) |
| — |
| (493) |
| (223) |
Divestitures of businesses, net | — |
| — |
| 142 |
| — |
Asset acquisitions, net | (21) |
| (9) |
| (59) |
| (95) |
Asset dispositions, net | (6) |
| (12) |
| (12) |
| (53) |
Other | — |
| — |
| — |
| — |
Change in cash from investing activities | (59) |
| (700) |
| (221) |
| (1,990) |
Cash flows from financing activities: |
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Payment of dissenting shares obligation | — |
| — |
| (76) |
| — |
Share repurchases for tax withholdings of equity awards | (52) |
| (105) |
| (251) |
| (299) |
Proceeds from the issuance of DHI Group Common Stock | — |
| — |
| — |
| — |
Proceeds from the issuance of common stock of subsidiaries | 114 |
| 30 |
| 767 |
| 110 |
Repurchases of DHI Group Common Stock | — |
| (4) |
| (47) |
| (6) |
Repurchases of Class V Common Stock | — |
| (300) |
| — |
| (722) |
Repurchases of common stock of subsidiaries | (1) |
| (555) |
| (1) |
| (555) |
Payments for debt issuance costs | (3) |
| (39) |
| (11) |
| (44) |
Proceeds from debt | 1,806 |
| 8,412 |
| 6,443 |
| 13,168 |
Repayments of debt | (2,721) |
| (5,837) |
| (9,669) |
| (11,128) |
Other | — |
| — |
| 1 |
| 1 |
Change in cash from financing activities | (857) |
| 1,602 |
| (2,844) |
| 525 |
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Effect of exchange rate changes on cash, cash equivalents, and restricted cash | (46) |
| (1) |
| (262) |
| 47 |
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Change in cash, cash equivalents, and restricted cash | (129) |
| 2,540 |
| 1,298 |
| 2,326 |
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Cash, cash equivalents, and restricted cash at beginning of the period | 15,805 |
| 9,618 |
| 14,378 |
| 9,832 |
Cash, cash equivalents, and restricted cash at end of the period | $ 15,676 |
| $ 12,158 |
| $ 15,676 |
| $ 12,158 |