Marvell Technology, Inc. | ||||||||||||||||
Condensed Consolidated Statements of Cash Flows (Unaudited) | ||||||||||||||||
(In thousands) | ||||||||||||||||
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| Three Months Ended |
| Six Months Ended | ||||||||||||
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| July 31,
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| August 1,
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| July 31,
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| August 1,
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Cash flows from operating activities: |
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Net loss |
| $ | (276,428) |
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| $ | (157,893) |
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| $ | (364,670) |
|
| $ | (270,926) |
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Adjustments to reconcile net loss to net cash provided by operating activities: |
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Depreciation and amortization |
| 66,248 |
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| 51,605 |
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| 118,085 |
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| 102,088 |
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Share-based compensation |
| 114,105 |
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| 62,586 |
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| 206,832 |
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| 122,273 |
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Amortization of acquired intangible assets |
| 276,672 |
|
| 111,579 |
|
| 405,311 |
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| 224,501 |
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Amortization of inventory fair value adjustment associated with acquisitions |
| 155,840 |
|
| — |
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| 169,560 |
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| 17,284 |
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Restructuring related impairment charges |
| 1,776 |
|
| 114,723 |
|
| 4,156 |
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| 117,546 |
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Other expense, net |
| 32,941 |
|
| 6,282 |
|
| 61,870 |
|
| 14,910 |
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Deferred income taxes |
| (29,005) |
|
| (2,816) |
|
| (51,586) |
|
| (444) |
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Changes in assets and liabilities, net of acquisition: |
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Accounts receivable |
| (91,216) |
|
| (14,782) |
|
| (149,215) |
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| 8,804 |
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Inventories |
| (69,038) |
|
| (33) |
|
| (82,287) |
|
| 35,801 |
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Prepaid expenses and other assets |
| (50,603) |
|
| 3,679 |
|
| (46,190) |
|
| (3,015) |
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Accounts payable |
| 52,197 |
|
| 33,204 |
|
| 588 |
|
| 29,647 |
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Accrued liabilities and other non-current liabilities |
| 39,234 |
|
| 10,732 |
|
| (7,765) |
|
| 21,528 |
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Accrued employee compensation |
| (616) |
|
| 6,964 |
|
| (56,309) |
|
| (18,539) |
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Net cash provided by operating activities |
| 222,107 |
|
| 225,830 |
|
| 208,380 |
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| 401,458 |
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Cash flows from investing activities: |
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Purchases of technology licenses |
| (3,197) |
|
| (3,080) |
|
| (6,640) |
|
| (6,764) |
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Purchases of property and equipment |
| (32,235) |
|
| (17,540) |
|
| (53,679) |
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| (52,883) |
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Cash payment for acquisition, net of cash and cash equivalents acquired |
| — |
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| — |
|
| (3,600,165) |
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| — |
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Other, net |
| (2,851) |
|
| 34 |
| (2,404) |
|
| 699 |
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Net cash used in investing activities |
| (38,283) |
|
| (20,586) |
|
| (3,662,888) |
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| (58,948) |
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Cash flows from financing activities: |
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Repurchases of common stock |
| — |
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| — |
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| — |
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| (25,202) |
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Proceeds from employee stock plans |
| 39,807 |
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| 42,776 |
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| 40,356 |
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| 48,234 |
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Tax withholding paid on behalf of employees for net share settlement |
| (42,975) |
|
| (25,213) |
|
| (116,150) |
|
| (56,714) |
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Dividend payments to stockholders |
| (49,332) |
|
| (40,119) |
|
| (89,889) |
|
| (79,882) |
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Payments on technology license obligations |
| (23,175) |
|
| (18,702) |
|
| (67,307) |
|
| (42,509) |
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Proceeds from issuance of debt |
| 75,000 |
|
| — |
|
| 3,806,096 |
|
| — |
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Principal payments of debt |
| (75,000) |
|
| — |
|
| (275,000) |
|
| — |
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Payment for repurchases and settlement of convertible notes |
| (109,812) |
|
| — |
|
| (180,891) |
|
| — |
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Proceeds from capped calls |
| 49,132 |
|
| — |
|
| 160,286 |
|
| — |
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Payment of equity and debt financing costs |
| (10,364) |
|
| — |
|
| (11,843) |
|
| — |
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Other, net |
| — |
|
| — |
|
| — |
|
| (2,507) |
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Net cash provided by (used in) financing activities |
| (146,719) |
|
| (41,258) |
|
| 3,265,658 |
|
| (158,580) |
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Net increase (decrease) in cash and cash equivalents |
| 37,105 |
|
| 163,986 |
|
| (188,850) |
|
| 183,930 |
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Cash and cash equivalents at beginning of period |
| 522,512 |
|
| 667,548 |
|
| 748,467 |
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| 647,604 |
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Cash and cash equivalents at end of period |
| $ | 559,617 |
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| $ | 831,534 |
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| $ | 559,617 |
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| $ | 831,534 |
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