PTC Announces Fiscal Second Quarter 2021 Results

 

PTC Inc.


UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS


(in thousands)



















March 31,



September 30,



2021



2020










ASSETS
















Cash and cash equivalents

$

326,081



$

275,458


Marketable securities


-




59,099


Accounts receivable, net


434,533




415,221


Property and equipment, net


97,260




101,499


Goodwill and acquired intangible assets, net


2,603,942




1,863,356


Lease assets, net


148,684




149,933


Other assets


570,721




518,172










Total assets

$

4,181,221



$

3,382,738










LIABILITIES AND STOCKHOLDERS' EQUITY
















Deferred revenue

$

492,421



$

426,465


Debt, net of deferred issuance costs


1,508,389




1,005,314


Lease obligations


206,384




215,023


Other liabilities


323,494




297,688


Stockholders' equity


1,650,533




1,438,248










Total liabilities and stockholders' equity

$

4,181,221



$

3,382,738



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