BROADCOM INC. | |||||||||
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - UNAUDITED | |||||||||
(IN MILLIONS) | |||||||||
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| Fiscal Quarter Ended | |||||||
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| January 29, |
| October 30, |
| January 30, | |||
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| 2023 |
| 2022 |
| 2022 | |||
Cash flows from operating activities: |
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Net income |
| $ | 3,774 |
| $ | 3,359 |
| $ | 2,472 |
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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| 905 |
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| 1,087 |
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| 1,151 |
Depreciation |
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| 127 |
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| 129 |
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| 136 |
Stock-based compensation |
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| 391 |
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| 387 |
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| 387 |
Deferred taxes and other non-cash taxes |
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| (573) |
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| (89) |
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| 70 |
Non-cash interest expense |
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| 32 |
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| 32 |
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| 32 |
Other |
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| (39) |
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| 31 |
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| 15 |
Changes in assets and liabilities, net of acquisitions and disposals: |
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Trade accounts receivable, net |
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| (276) |
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| (241) |
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| (468) |
Inventory |
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| 26 |
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| (87) |
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| (223) |
Accounts payable |
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| (80) |
|
| 304 |
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| - |
Employee compensation and benefits |
|
| (657) |
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| 128 |
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| (528) |
Other current assets and current liabilities |
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| 570 |
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| (388) |
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| 521 |
Other long-term assets and long-term liabilities |
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| (164) |
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| (69) |
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| (79) |
Net cash provided by operating activities |
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| 4,036 |
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| 4,583 |
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| 3,486 |
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Cash flows from investing activities: |
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Purchases of property, plant and equipment |
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| (103) |
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| (122) |
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| (101) |
Purchases of investments |
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| - |
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| - |
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| (200) |
Other |
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| - |
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| (6) |
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| (8) |
Net cash used in investing activities |
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| (103) |
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| (128) |
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| (309) |
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Cash flows from financing activities: |
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Payments on debt obligations |
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| (260) |
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| (9) |
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| (255) |
Payments of dividends |
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| (1,926) |
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| (1,782) |
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| (1,764) |
Repurchases of common stock - repurchase program |
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| (1,188) |
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| - |
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| (2,724) |
Shares repurchased for tax withholdings on vesting of equity awards |
|
| (333) |
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| (274) |
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| (375) |
Issuance of common stock |
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| - |
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| 54 |
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| 1 |
Other |
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| 5 |
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| (5) |
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| (4) |
Net cash used in financing activities |
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| (3,702) |
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| (2,016) |
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| (5,121) |
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Net change in cash and cash equivalents |
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| 231 |
|
| 2,439 |
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| (1,944) |
Cash and cash equivalents at beginning of period |
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| 12,416 |
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| 9,977 |
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| 12,163 |
Cash and cash equivalents at end of period |
| $ | 12,647 |
| $ | 12,416 |
| $ | 10,219 |
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Supplemental disclosure of cash flow information: |
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Cash paid for interest |
| $ | 361 |
| $ | 397 |
| $ | 240 |
Cash paid for income taxes |
| $ | 273 |
| $ | 251 |
| $ | 186 |