Altera Announces Fourth Quarter Results

 

 

 

ALTERA CORPORATION

CONSOLIDATED STATEMENTS OF CASH FLOWS

(Unaudited)






YEARS ENDED

(In thousands)


December 31,

2012


December 31,

2011


December 31,

2010

Cash Flows from Operating Activities:







Net income


$

556,807



$

770,711



$

782,884


Adjustments to reconcile net income to net cash provided by operating activities:







Depreciation and amortization


36,862



31,927



27,535


Stock-based compensation


93,586



82,750



62,118


Deferred income tax expense


8,824



15,657



34,256


Tax effect of employee stock plans


9,811



16,162



27,444


Excess tax benefit from employee stock plans


(16,278)



(17,307)



(21,866)


Changes in assets and liabilities, net of the effects of acquisition:







Accounts receivable, net


(91,435)



131,341



(145,330)


Inventories


(30,442)



24,245



(76,819)


Other assets


(3,050)



54,661



(52,805)


Accounts payable and other liabilities


(50,566)



(32,534)



59,200


Deferred income and allowances on sales to distributors


66,117



(148,836)



146,826


Income taxes payable


8,576



31,116



15,746


Deferred compensation plan obligations


(1,598)



(293)



(2,494)


Net cash provided by operating activities


587,214



959,600



856,695


Cash Flows from Investing Activities:







Purchases of property and equipment


(60,913)



(31,812)



(12,442)


Proceeds from sales of deferred compensation plan securities, net


1,598



293



2,494


Purchases of available-for-sale securities


(921,430)



(164,408)




Proceeds from sale and maturity of available-for-sale securities


220,784



25,003




Acquisition related payments, net of cash acquired






(8,004)


Purchases of intangible assets


(2,280)





(5,000)


Purchase of other investments


(4,935)






Net cash used in investing activities


(767,176)



(170,924)



(22,952)


Cash Flows from Financing Activities:







Proceeds from issuance of common stock through various stock plans


49,665



119,989



453,719


Shares withheld for employee taxes


(31,472)



(32,152)



(20,164)


Payment of dividends to stockholders


(115,514)



(90,060)



(67,774)


Proceeds from issuance of long-term debt


500,000






Repayment of credit facility


(500,000)






Long-term debt and credit facility issuance costs


(5,244)






Repurchases of common stock


(229,057)



(197,023)




Excess tax benefit from employee stock plans


16,278



17,307



21,866


Principal payments on capital lease obligation






(2,866)


Net cash (used in) provided by financing activities


(315,344)



(181,939)



384,781


Net (decrease) increase in cash and cash equivalents


(495,306)



606,737



1,218,524


Cash and cash equivalents at beginning of period


3,371,933



2,765,196



1,546,672


Cash and cash equivalents at end of period


$

2,876,627



$

3,371,933



$

2,765,196


Supplemental cash flow information:







Income taxes paid, net


$

9,797



$

9,856



$

29,887


Interest paid


$

6,898



$

3,704



$

3,395



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