Himax Technologies, Inc. Reports First Quarter 2018 Financial Results and Provides Second Quarter 2018 Guidance

 
Himax Technologies, Inc.
Reconciliation of unaudited condensed consolidated Statement of Financial Position as of March 31, 2017
(Amounts in Thousands of U.S. Dollars)
 
U.S. GAAP Effect of Transition to IFRS IFRS  
Items Amount Recognition
Difference
 Presentation
Difference
 Amount Items Note
Assets          Assets  
Current assets:          Current assets:  
Cash and cash equivalents $190,345 $-  $-  $190,345  Cash and cash equivalents  
Investments in marketable securities available-for-sale    9,111    -     (9,111)    -  A-1
  -  -   5,220   5,220 Financial assets at amortized cost A-1
  -  -   3,891   3,891 Financial assets at fair value through profit or loss A-1
Accounts receivable, less allowance for doubtful accounts, sales returns and discounts    167,681    -     1,412     169,093 Accounts receivable, net B
Inventories  148,260  -   -   148,260 Inventories  
  -  -   41   41 Income taxes receivable  
Restricted cash, cash equivalents and marketable securities    107,414    -     -     107,414 Restricted deposit  
Other receivables from related parties     5,650     -       -       5,650   Other receivable from related parties    
Prepaid expenses and other current assets       14,794       -         (41 )       14,753   Other current assets    
Total current assets       643,255       -         1,412         644,667   Total current assets    
Investment in non-marketable equity securities     12,242     -       (12,242 )     -       A-2
      -       -         10,562         10,562   Financial assets at fair value through profit or loss   A-2
      -       -         1,680         1,680   Financial assets at fair value throug h other comprehensive income   A-2
Equity method investments     2,235     -       -       2,235   Equity method investments    
Property, plant and equipment, net     47,738     -       (1,221 )     46,517   Property, plant and equipment, net   C
Deferred tax assets     6,597     (57 )     1,271       7,811   Deferred tax assets   D,F
Goodwill     28,138     -       -       28,138   Goodwill    
Other intangible assets, net     2,922     -       539       3,461   Other intangible assets, net   C
Restricted marketable securities     132     -       -       132   Restricted deposit    
Other assets       1,778       (90 )       682         2,370   Other non-current assets   C,F
        101,782       (147 )       1,271         102,906        
Total assets   $   745,037   $   (147 )   $   2,683     $   747,573   Total assets    

(Continued)

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