MAGNACHIP SEMICONDUCTOR CORPORATION AND SUBSIDIARIES
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| Three Months Ended |
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| Year Ended |
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| December 31, |
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| December 31, |
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| December 31, |
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| 2021 |
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| 2021 |
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| 2020 |
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Cash flows from operating activities |
|
|
|
|
|
|
|
|
|
|
|
|
Net income |
| $ | 53,611 |
|
| $ | 56,708 |
|
| $ | 344,965 |
|
Adjustments to reconcile net income to net cash provided by operating activities |
|
|
|
|
|
|
|
|
|
|
|
|
Depreciation and amortization |
|
| 3,663 |
|
|
| 14,239 |
|
|
| 16,481 |
|
Provision for severance benefits |
|
| 2,768 |
|
|
| 8,282 |
|
|
| 16,743 |
|
Amortization of debt issuance costs and original issue discount |
|
| — |
|
|
| 261 |
|
|
| 2,220 |
|
Loss (gain) on foreign currency, net |
|
| (175) |
|
|
| 32,432 |
|
|
| (23,233) |
|
Restructuring and other charges |
|
| — |
|
|
| — |
|
|
| 3,502 |
|
Merger-related costs (income), net |
|
| (12,142) |
|
|
| (12,142) |
|
|
| 360 |
|
Provision for inventory reserves |
|
| 760 |
|
|
| 2,244 |
|
|
| 3,695 |
|
Stock-based compensation |
|
| 1,648 |
|
|
| 7,704 |
|
|
| 6,699 |
|
Loss on early extinguishment of borrowings, net |
|
| — |
|
|
| — |
|
|
| 766 |
|
Gain on sale of discontinued operations |
|
| — |
|
|
| — |
|
|
| (287,117) |
|
Deferred income tax assets |
|
| 893 |
|
|
| 918 |
|
|
| (44,441) |
|
Other, net |
|
| (1,030) |
|
|
| (613) |
|
|
| 217 |
|
Changes in operating assets and liabilities |
|
|
|
|
|
|
|
|
|
|
|
|
Accounts receivable, net |
|
| 809 |
|
|
| 7,505 |
|
|
| (19,268) |
|
Unbilled accounts receivable, net |
|
| — |
|
|
| — |
|
|
| 14,260 |
|
Inventories |
|
| (1,378) |
|
|
| (5,939) |
|
|
| (816) |
|
Other receivables |
|
| 2,949 |
|
|
| (2,338) |
|
|
| 6,954 |
|
Other current assets |
|
| 4,464 |
|
|
| 12,397 |
|
|
| 13,561 |
|
Accounts payable |
|
| 4,755 |
|
|
| (11,437) |
|
|
| 3,960 |
|
Other accounts payable |
|
| (4,084) |
|
|
| (7,813) |
|
|
| (12,000) |
|
Accrued expenses |
|
| (765) |
|
|
| (2,406) |
|
|
| (29,116) |
|
Accrued income taxes |
|
| 8,307 |
|
|
| (1) |
|
|
| 10,825 |
|
Deferred revenue |
|
| 863 |
|
|
| (131) |
|
|
| 2,174 |
|
Other current liabilities |
|
| (104) |
|
|
| 1,445 |
|
|
| 279 |
|
Other non-current liabilities |
|
| (732) |
|
|
| (1,398) |
|
|
| 3,521 |
|
Contributions to severance insurance deposit accounts |
|
| (5,526) |
|
|
| (5,688) |
|
|
| (11,921) |
|
Payment of severance benefits |
|
| (1,907) |
|
|
| (6,679) |
|
|
| (12,076) |
|
Other, net |
|
| 80 |
|
|
| 193 |
|
|
| (3,724) |
|
Net cash provided by operating activities |
|
| 57,727 |
|
|
| 87,743 |
|
|
| 7,470 |
|
Cash flows from investing activities |
|
|
|
|
|
|
|
|
|
|
|
|
Proceeds from settlement of hedge collateral |
|
| 1,219 |
|
|
| 5,214 |
|
|
| 13,762 |
|
Payment of hedge collateral |
|
| (605) |
|
|
| (3,349) |
|
|
| (8,839) |
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Proceeds from disposal of property, plant and equipment |
|
| 1,419 |
|
|
| 1,446 |
|
|
| 65 |
|
Purchase of property, plant and equipment |
|
| (18,844) |
|
|
| (32,212) |
|
|
| (36,100) |
|
Payment for intellectual property registration |
|
| (159) |
|
|
| (614) |
|
|
| (741) |
|
Collection of guarantee deposits |
|
| — |
|
|
| 3,192 |
|
|
| 1,024 |
|
Payment of guarantee deposits |
|
| (41) |
|
|
| (5,001) |
|
|
| (1,236) |
|
Proceeds from sale of discontinued operations |
|
| — |
|
|
| — |
|
|
| 350,553 |
|
Other, net |
|
| 16 |
|
|
| (114) |
|
|
| (6) |
|
Net cash provided by (used in) investing activities |
|
| (16,995) |
|
|
| (31,438) |
|
|
| 318,482 |
|
Cash flows from financing activities |
|
|
|
|
|
|
|
|
|
|
|
|
Repurchase of long-term borrowings |
|
| — |
|
|
| — |
|
|
| (224,250) |
|
Proceeds from exercise of stock options |
|
| 359 |
|
|
| 4,279 |
|
|
| 3,918 |
|
Acquisition of treasury stock |
|
| — |
|
|
| (1,653) |
|
|
| (1,125) |
|
Acquisition of stock under accelerated stock repurchase agreement |
|
| (20,073) |
|
|
| (20,073) |
|
|
| — |
|
Payment under accelerated stock repurchase agreement |
|
| (17,427) |
|
|
| (17,427) |
|
|
| — |
|
Repayment of financing related to water treatment facility arrangement |
|
| (136) |
|
|
| (563) |
|
|
| (546) |
|
Others |
|
| (58) |
|
|
| (107) |
|
|
| (278) |
|
Net cash used in financing activities |
|
| (37,335) |
|
|
| (35,544) |
|
|
| (222,281) |
|
Effect of exchange rates on cash and cash equivalents |
|
| (151) |
|
|
| (21,154) |
|
|
| 24,612 |
|
Net increase (decrease) in cash and cash equivalents |
|
| 3,246 |
|
|
| (393) |
|
|
| 128,283 |
|
Cash and cash equivalents at beginning of period |
|
| 276,301 |
|
|
| 279,940 |
|
|
| 151,657 |
|
Cash and cash equivalents at end of period |
| $ | 279,547 |
|
| $ | 279,547 |
|
| $ | 279,940 |
|