BROADCOM INC. | |||||||||||||||
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - UNAUDITED | |||||||||||||||
(IN MILLIONS) | |||||||||||||||
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| Fiscal Quarter Ended |
| Three Fiscal Quarters Ended | |||||||||||
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| August 2, |
| May 3, |
| August 4, |
| August 2, |
| August 4, | |||||
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| 2020 |
| 2020 |
| 2019 |
| 2020 |
| 2019 | |||||
Cash flows from operating activities: |
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Net income |
| $ | 688 |
| $ | 563 |
| $ | 715 |
| $ | 1,636 |
| $ | 1,877 |
Adjustments to reconcile net income to net cash provided by operating activities: |
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Amortization of intangible and right-of-use assets |
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| 1,581 |
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| 1,583 |
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| 1,309 |
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| 4,746 |
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| 3,930 |
Depreciation |
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| 138 |
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| 147 |
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| 141 |
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| 431 |
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| 426 |
Stock-based compensation |
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| 465 |
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| 517 |
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| 632 |
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| 1,527 |
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| 1,641 |
Deferred taxes and other non-cash taxes |
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| (436) |
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| (175) |
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| (235) |
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| (683) |
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| (708) |
Loss on debt extinguishment |
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| 55 |
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| 93 |
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| 2 |
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| 153 |
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| 2 |
Non-cash restructuring, impairment and disposal charges |
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| 15 |
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| 6 |
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| 15 |
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| 32 |
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| 113 |
Non-cash interest expense |
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| 22 |
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| 31 |
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| 23 |
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| 83 |
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| 50 |
Other |
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| (54) |
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| (8) |
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| (23) |
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| (43) |
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| (83) |
Changes in assets and liabilities, net of acquisitions and disposals: |
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Trade accounts receivable, net |
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| 542 |
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| 440 |
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| (60) |
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| 590 |
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| 201 |
Inventory |
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| (128) |
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| (10) |
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| (57) |
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| (98) |
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| 33 |
Accounts payable |
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| (123) |
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| 233 |
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| 244 |
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| 227 |
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| 105 |
Employee compensation and benefits |
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| 231 |
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| 61 |
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| 104 |
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| 75 |
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| (360) |
Other current assets and current liabilities |
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| (2) |
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| 118 |
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| (354) |
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| 462 |
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| 115 |
Other long-term assets and long-term liabilities |
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| 184 |
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| (386) |
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| (37) |
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| (425) |
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| (124) |
Net cash provided by operating activities |
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| 3,178 |
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| 3,213 |
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| 2,419 |
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| 8,713 |
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| 7,218 |
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Cash flows from investing activities: |
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Acquisitions of businesses, net of cash acquired |
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| (2) |
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| - |
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| (6) |
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| (10,872) |
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| (16,033) |
Proceeds from sales of businesses |
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| 50 |
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| 168 |
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| - |
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| 218 |
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| 957 |
Purchases of property, plant and equipment |
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| (105) |
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| (148) |
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| (112) |
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| (361) |
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| (336) |
Proceeds from disposals of property, plant and equipment |
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| 10 |
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| - |
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| 82 |
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| 10 |
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| 82 |
Other |
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| 1 |
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| 4 |
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| 1 |
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| (4) |
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| (4) |
Net cash provided by (used in) investing activities |
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| (46) |
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| 24 |
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| (35) |
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| (11,009) |
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| (15,334) |
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Cash flows from financing activities: |
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Proceeds from long-term borrowings |
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| 7,953 |
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| 4,468 |
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| - |
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| 27,802 |
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| 28,793 |
Repayment of debt |
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| (6,825) |
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| (4,452) |
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| - |
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| (15,814) |
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| (12,000) |
Other borrowings, net |
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| (3,028) |
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| 1,025 |
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| (230) |
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| (1,285) |
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| 1,345 |
Payment of dividends |
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| (1,386) |
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| (1,381) |
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| (1,057) |
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| (4,139) |
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| (3,181) |
Repurchases of common stock - repurchase program |
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| - |
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| - |
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| (736) |
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| - |
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| (5,002) |
Shares repurchased for tax withholdings on vesting of equity awards |
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| (192) |
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| (219) |
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| (241) |
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| (580) |
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| (818) |
Issuance of common stock |
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| 46 |
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| 91 |
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| 11 |
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| 174 |
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| 194 |
Other |
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| (50) |
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| (6) |
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| 3 |
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| (60) |
|
| (45) |
Net cash provided by (used in) financing activities |
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| (3,482) |
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| (474) |
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| (2,250) |
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| 6,098 |
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| 9,286 |
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Net change in cash and cash equivalents |
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| (350) |
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| 2,763 |
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| 134 |
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| 3,802 |
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| 1,170 |
Cash and cash equivalents at the beginning of period |
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| 9,207 |
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| 6,444 |
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| 5,328 |
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| 5,055 |
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| 4,292 |
Cash and cash equivalents at end of period |
| $ | 8,857 |
| $ | 9,207 |
| $ | 5,462 |
| $ | 8,857 |
| $ | 5,462 |
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Supplemental disclosure of cash flow information: |
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Cash paid for interest |
| $ | 269 |
| $ | 375 |
| $ | 368 |
| $ | 1,025 |
| $ | 980 |
Cash paid for income taxes |
| $ | 44 |
| $ | 124 |
| $ | 98 |
| $ | 299 |
| $ | 618 |