Xilinx Reports Record Revenue in Fiscal Second Quarter 2022

About Xilinx

Xilinx, Inc. develops highly flexible and adaptive computing platforms that enable rapid innovation across a variety of technologies - from the cloud, to the edge, to the endpoint. Xilinx is the inventor of the FPGA and Adaptive SoCs (including our Adaptive Compute Acceleration Platform, or ACAP), designed to deliver the most dynamic computing technology in the industry. We collaborate with our customers to create scalable, differentiated and intelligent solutions that enable the adaptable, intelligent and connected world of the future. For more information, visit xilinx.com.

Xilinx, the Xilinx logo, Alveo, Artix, Kintex, Spartan, Versal, Vitis, Virtex, Vivado, Zynq, Kria and other designated brands included herein are trademarks of Xilinx in the United States and/or other countries. All other trademarks are the property of their respective owners.

XILINX, INC.
CONDENSED CONSOLIDATED STATEMENTS OF INCOME
(Unaudited)
(In thousands, except per share amounts)
Three Months Ended Six Months Ended
October 2, 2021 July 3, 2021 September 26, 2020 October 2, 2021 September 26, 2020
Net revenues

$

935,770

 

$

878,606

$

766,535

 

$

1,814,376

 

$

1,493,208

 

Cost of revenues:
Cost of products sold

 

293,327

 

 

283,441

 

218,120

 

 

576,768

 

 

444,223

 

Amortization of acquisition-related intangibles

 

10,150

 

 

9,066

 

6,696

 

 

19,216

 

 

13,393

 

Total cost of revenues

 

303,477

 

 

292,507

 

224,816

 

 

595,984

 

 

457,616

 

Gross margin

 

632,293

 

 

586,099

 

541,719

 

 

1,218,392

 

 

1,035,592

 

Operating expenses:
Research and development

 

253,881

 

 

247,975

 

219,647

 

 

501,856

 

 

429,760

 

Selling, general and administrative

 

126,319

 

 

124,920

 

113,793

 

 

251,239

 

 

219,176

 

Amortization of acquisition-related intangibles

 

2,252

 

 

2,841

 

2,862

 

 

5,093

 

 

5,724

 

Total operating expenses

 

382,452

 

 

375,736

 

336,302

 

 

758,188

 

 

654,660

 

Operating income

 

249,841

 

 

210,363

 

205,417

 

 

460,204

 

 

380,932

 

Interest and other income (expense), net

 

(9,204

)

 

1,000

 

(10,771

)

 

(8,204

)

 

(22,924

)

Income before income taxes

 

240,637

 

 

211,363

 

194,646

 

 

452,000

 

 

358,008

 

Provision for income taxes

 

6,092

 

 

5,022

 

830

 

 

11,114

 

 

70,356

 

Net income

$

234,545

 

$

206,341

$

193,816

 

$

440,886

 

$

287,652

 

Net income per common share:
Basic

$

0.95

 

$

0.84

$

0.79

 

$

1.79

 

$

1.18

 

Diluted

$

0.94

 

$

0.83

$

0.79

 

$

1.77

 

$

1.17

 

Cash dividends per common share

$

-

 

$

-

$

0.38

 

$

-

 

$

0.76

 

Shares used in per share calculations:
Basic

 

247,765

 

 

245,860

 

244,837

 

 

246,344

 

 

243,602

 

Diluted

 

250,457

 

 

249,320

 

246,763

 

 

249,478

 

 

245,847

 

XILINX, INC.
CONDENSED CONSOLIDATED BALANCE SHEETS
(In thousands)
October 2, 2021 April 03, 2021*
(unaudited)
ASSETS
Current assets:
Cash, cash equivalents and short-term investments

$

3,421,227

$

3,078,899

Accounts receivable, net

 

405,040

 

285,214

Inventories

 

285,568

 

311,085

Other current assets

 

73,257

 

71,064

Total current assets

 

4,185,092

 

3,746,262

Net property, plant and equipment

 

336,183

 

345,023

Other assets

 

1,474,286

 

1,427,916

Total Assets

$

5,995,561

$

5,519,201

 
 
LIABILITIES AND STOCKHOLDERS' EQUITY
Current liabilities:
Accounts payable and accrued liabilities

$

107,429

$

116,046

Accrued and other liabilities

$

506,757

$

508,509

Total current liabilities

 

614,186

 

624,555

Long-term debt

 

1,493,311

 

1,492,688

Other long-term liabilities

 

492,519

 

514,997

Stockholders' equity

 

3,395,545

 

2,886,961

Total Liabilities and Stockholders' Equity

$

5,995,561

$

5,519,201

 
* Fiscal 2021 balances are derived from audited financial statements.
XILINX, INC.
SUPPLEMENTAL FINANCIAL INFORMATION
(Unaudited)
(In thousands)
Three Months Ended Six Months Ended
October 2, 2021 July 3, 2021 September 26, 2020 October 2, 2021 September 26, 2020
SELECTED CASH FLOW INFORMATION:
Depreciation and amortization of software

$

30,908

$

32,192

$

30,249

$

63,100

$

61,998

Amortization - others

 

18,565

 

17,946

 

15,316

 

36,511

 

30,375

Stock-based compensation

 

69,720

 

67,609

 

58,439

 

137,329

 

108,822

Net cash provided by operating activities

 

122,117

 

389,897

 

247,583

 

512,014

 

493,054

Purchases of property, plant and equipment and software

 

14,959

 

17,186

 

15,331

 

32,145

 

30,792

Payment of dividends to stockholders

 

-

 

-

 

93,105

 

-

 

185,519

Repurchases of common stock

 

-

 

-

 

-

 

-

 

53,682

Taxes paid related to net share settlement of restricted stock units, net of proceeds from issuance of common stock

 

59,344

 

3,796

 

30,072

 

63,140

 

33,311

 
 
STOCK-BASED COMPENSATION INCLUDED IN:
Cost of revenues

 

3,797

$

3,610

$

2,963

$

7,407

$

5,684

Research and development

 

42,273

 

41,462

 

36,110

 

83,735

 

66,479

Selling, general and administrative

 

23,650

 

22,537

 

19,366

 

46,187

 

36,659

XILINX, INC.
RECONCILIATIONS OF GAAP ACTUALS TO NON-GAAP ACTUALS
(Unaudited)
(In thousands, except per share amounts)
Three Months Ended Six Months Ended
October 2, 2021 July 3, 2021 September 26, 2020 October 2, 2021 September 26, 2020
GAAP gross margin

$

632,293

 

$

586,099

 

$

541,719

 

$

1,218,392

 

$

1,035,592

 

M&A related expenses

 

1,249

 

 

933

 

 

-

 

 

2,182

 

 

-

 

Amortization of acquisition-related intangibles

 

10,150

 

 

9,066

 

 

6,696

 

 

19,216

 

 

13,393

 

Non-GAAP gross margin

$

643,692

 

$

596,098

 

$

548,415

 

$

1,239,790

 

$

1,048,985

 

 
GAAP operating income

$

249,841

 

$

210,363

 

$

205,417

 

$

460,204

 

$

380,932

 

Amortization of acquisition-related intangibles

 

12,402

 

 

11,907

 

 

9,558

 

 

24,309

 

 

19,117

 

M&A related expenses

 

25,905

 

 

23,757

 

 

1,506

 

 

49,662

 

 

3,069

 

Non-GAAP operating income

$

288,148

 

$

246,027

 

$

216,481

 

$

534,175

 

$

403,118

 

 
GAAP net income

$

234,545

 

 

206,341

 

$

193,816

 

$

440,886

 

$

287,652

 

Amortization of acquisition-related intangibles

 

12,402

 

 

11,907

 

 

9,558

 

 

24,309

 

 

19,117

 

M&A related expenses

 

25,905

 

 

23,757

 

 

1,506

 

 

49,662

 

 

3,069

 

Income tax effect of tax-related items

 

-

 

 

-

 

 

-

 

 

-

 

 

56,801

 

Income tax effect of non-GAAP adjustments

 

(7,021

)

 

(6,259

)

 

(1,470

)

 

(13,280

)

 

(3,060

)

Non-GAAP net income

$

265,831

 

$

235,746

 

$

203,410

 

$

501,577

 

$

363,579

 

 
GAAP diluted EPS

$

0.94

 

$

0.83

 

$

0.79

 

$

1.77

 

$

1.17

 

Amortization of acquisition-related intangibles

 

0.05

 

 

0.05

 

 

0.03

 

 

0.10

 

 

0.08

 

Acquisition-related costs

 

0.10

 

 

0.10

 

 

0.01

 

 

0.20

 

 

0.01

 

Income tax effect of tax-related items

 

-

 

 

-

 

 

-

 

 

-

 

 

0.23

 

Income tax effect of non-GAAP adjustments

 

(0.03

)

 

(0.03

)

 

(0.01

)

 

(0.05

)

 

(0.01

)

Non-GAAP diluted EPS

$

1.06

 

$

0.95

 

$

0.82

 

$

2.02

 

$

1.48

 

 
GAAP cash flow from operations

$

122,117

 

$

389,897

 

$

247,583

 

$

512,014

 

$

493,054

 

Capital expenditures (including software)

 

(14,959

)

 

(17,186

)

 

(15,331

)

 

(32,145

)

 

(30,792

)

Free cash flow

$

107,158

 

$

372,711

 

$

232,252

 

$

479,869

 

$

462,262

 


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