LSI CORPORATION | |||||||||
Consolidated Statements of Cash Flows | |||||||||
(In thousands) | |||||||||
(Unaudited) | |||||||||
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Three Months Ended |
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Six Months Ended | ||||||
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June 30, |
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March 31, |
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July 1, |
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June 30, |
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July 1, |
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2013 |
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2013 |
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2012 |
|
2013 |
|
2012 |
Operating activities: |
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Net income |
$ 24,620 |
|
$ 18,432 |
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$ 58,713 |
|
$ 43,052 |
|
$ 133,910 |
Adjustments: |
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Depreciation and amortization |
45,547 |
|
44,285 |
|
45,279 |
|
89,832 |
|
90,647 |
Stock-based compensation expense |
21,865 |
|
25,546 |
|
25,318 |
|
47,411 |
|
56,152 |
Non-cash restructuring of operations and other items, net |
(266) |
|
6,596 |
|
2,901 |
|
6,330 |
|
5,041 |
Gain on re-measurement of a pre-acquisition equity interest to fair value |
- |
|
- |
|
- |
|
- |
|
(5,765) |
Gain on sale of property and equipment |
- |
|
(4) |
|
(95) |
|
(4) |
|
(70) |
Unrealized foreign exchange (gain)/loss |
(2,843) |
|
589 |
|
(4,196) |
|
(2,254) |
|
(2,735) |
Deferred taxes |
(25) |
|
(26) |
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28 |
|
(51) |
|
(43,174) |
Changes in assets and liabilities, net of assets acquired and liabilities assumed in business combination: |
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Accounts receivable |
(18,962) |
|
40,652 |
|
5,428 |
|
21,690 |
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(39,417) |
Inventories |
7,447 |
|
25,123 |
|
(3,226) |
|
32,570 |
|
227 |
Prepaid expenses, assets held for sale and other assets |
(1,162) |
|
(7,955) |
|
460 |
|
(9,117) |
|
(1,830) |
Accounts payable |
22,453 |
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(33,054) |
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(17,598) |
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(10,601) |
|
29,521 |
Accrued and other liabilities |
(20,854) |
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(57,354) |
|
4,260 |
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(78,208) |
|
(55,010) |
Net cash provided by operating activities |
77,820 |
|
62,830 |
|
117,272 |
|
140,650 |
|
167,497 |
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Investing activities: |
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Purchases of debt securities available-for-sale |
(63,833) |
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(53,345) |
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(51,106) |
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(117,178) |
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(72,369) |
Proceeds from maturities and sales of debt securities available-for-sale |
26,900 |
|
24,117 |
|
8,250 |
|
51,017 |
|
17,756 |
Purchases of other investments |
- |
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(750) |
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- |
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(750) |
|
- |
Purchases of property and equipment |
(18,282) |
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(25,075) |
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(12,636) |
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(43,357) |
|
(77,618) |
Proceeds from sale of property and equipment |
55 |
|
27 |
|
231 |
|
82 |
|
252 |
Acquisition of business, net of cash acquired |
- |
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- |
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- |
|
- |
|
(319,231) |
Net cash used in investing activities |
(55,160) |
|
(55,026) |
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(55,261) |
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(110,186) |
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(451,210) |
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Financing activities: |
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Issuance of common stock |
23,724 |
|
8,165 |
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16,854 |
|
31,889 |
|
82,128 |
Purchases of common stock under repurchase program |
(61,515) |
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(60,765) |
|
(137,979) |
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(122,280) |
|
(176,185) |
Net cash used in financing activities |
(37,791) |
|
(52,600) |
|
(121,125) |
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(90,391) |
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(94,057) |
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Effect of exchange rate changes on cash and cash equivalents |
(523) |
|
(1,507) |
|
598 |
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(2,030) |
|
103 |
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Net change in cash and cash equivalents |
(15,654) |
|
(46,303) |
|
(58,516) |
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(61,957) |
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(377,667) |
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Cash and cash equivalents at beginning of period |
425,225 |
|
471,528 |
|
460,660 |
|
471,528 |
|
779,811 |
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Cash and cash equivalents at end of period |
$ 409,571 |
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$ 425,225 |
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$ 402,144 |
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$ 409,571 |
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$ 402,144 |