| CONSOLIDATED STATEMENTS OF CASH FLOWS |
| |||||||||
| (Unaudited) |
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|
| Three Months Ended |
| Year Ended |
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|
| June 26, 2021 |
| March 27, 2021 |
| June 27, 2020 |
| June 26, 2021 |
| June 27, 2020 |
|
|
| (in thousands, except per share data) |
| ||||||||
| Cash flows from operating activities: |
|
|
|
|
|
|
|
|
|
|
| Net income | $ 253,739 |
| $ 220,063 |
| $ 207,298 |
| $ 827,261 |
| $ 654,694 |
|
| Adjustments to reconcile net income to net cash provided by operating activities: |
|
|
|
|
|
|
|
|
|
|
| Stock-based compensation | 20,176 |
| 20,878 |
| 23,290 |
| 107,993 |
| 95,431 |
|
| Depreciation and amortization | 23,564 |
| 24,552 |
| 36,384 |
| 96,456 |
| 108,533 |
|
| Deferred taxes | (4,047) |
| 1,601 |
| 14,386 |
| (5,331) |
| 8,994 |
|
| In Process Research and Development written-off | - |
| - |
| - |
| 1,220 |
| - |
|
| Loss from sale or disposal of property, plant and equipment | (611) |
| 124 |
| 557 |
| (260) |
| 1,191 |
|
| Fair value contingent consideration | - |
| 5,835 |
| - |
| 5,835 |
| - |
|
| Other adjustments | (95) |
| 2,413 |
| 2,127 |
| 1,745 |
| 11,353 |
|
| Changes in assets and liabilities: |
|
|
|
|
|
|
|
|
|
|
| Accounts receivable | (87,794) |
| (85,236) |
| (24,078) |
| (254,229) |
| (42,335) |
|
| Inventories | 4,890 |
| 18,950 |
| (34,562) |
| 21,896 |
| (8,671) |
|
| Other assets | (6,759) |
| (4,875) |
| (25,769) |
| (17,343) |
| (86,299) |
|
| Accounts payable | 17,384 |
| (719) |
| 5,405 |
| 22,187 |
| 7,594 |
|
| Price adjustment and other revenue reserves | 45,052 |
| 34,118 |
| 37,681 |
| 110,673 |
| 48,426 |
|
| Income taxes payable | (11,900) |
| 8,021 |
| (45,855) |
| (34,997) |
| (74,814) |
|
| All other accrued liabilities | 26,211 |
| 25,715 |
| 15,465 |
| 41,154 |
| 76,758 |
|
| Net cash provided by operating activities | 279,810 |
| 271,440 |
| 212,329 |
| 924,260 |
| 800,855 |
|
| Cash flows from investing activities: |
|
|
|
|
|
|
|
|
|
|
| Purchases of property, plant and equipment | (19,500) |
| (16,229) |
| (15,680) |
| (64,942) |
| (67,049) |
|
| Proceeds from sales of property, plant and equipment | 11 |
| 16 |
| 124 |
| 94 |
| 392 |
|
| Proceeds from sales of available-for-sale securities | - |
| - |
| 1,290 |
| 1,500 |
| 1,290 |
|
| Proceeds from maturity of available-for-sale securities | - |
| 8,876 |
| 10,734 |
| 33,901 |
| 104,286 |
|
| Payment in connection with business acquisition, net of cash acquired | - |
| - |
| (69,270) |
| - |
| (69,270) |
|
| Purchases of investments in privately-held companies | - |
| (1,235) |
| (1,840) |
| (1,345) |
| (1,960) |
|
| Proceeds from sale of investments in privately-held companies | 242 |
| - |
| 205 |
| 281 |
| 378 |
|
| Other investing activities | - |
| - |
| 2 |
| - |
| (116) |
|
| Net cash provided by (used in) investing activities | (19,247) |
| (8,572) |
| (74,435) |
| (30,511) |
| (32,049) |
|
| Cash flows from financing activities: |
|
|
|
|
|
|
|
|
|
|
| Contingent consideration paid | - |
| (10,000) |
| - |
| (10,000) |
| (8,000) |
|
| Net issuance of restricted stock units | (9,964) |
| (15,932) |
| (6,741) |
| (61,880) |
| (35,877) |
|
| Proceeds from stock options exercised | 82 |
| 76 |
| 2,240 |
| 2,965 |
| 18,870 |
|
| Issuance of common stock under employee stock purchase program | - |
| - |
| 23,725 |
| 18,498 |
| 42,260 |
|
| Repurchase of common stock | - |
| - |
| (82,299) |
| (9,201) |
| (440,811) |
|
| Dividends paid | - |
| - |
| (128,058) |
| (128,147) |
| (517,162) |
|
| Net cash used in financing activities | (9,882) |
| (25,856) |
| (191,133) |
| (187,765) |
| (940,720) |
|
| Net increase (decrease) in cash, cash equivalents and restricted cash | 250,681 |
| 237,012 |
| (53,239) |
| 705,984 |
| (171,914) |
|
| Cash, cash equivalents and restricted cash |
|
|
|
|
|
|
|
|
|
|
| Beginning of period | $ 2,040,731 |
| $ 1,803,719 |
| $ 1,638,667 |
| $ 1,585,428 |
| $ 1,757,342 |
|
| End of period | $ 2,291,412 |
| $ 2,040,731 |
| $ 1,585,428 |
| $ 2,291,412 |
| $ 1,585,428 |
|
|
|
|
|
|
|
|
|
|
|
|
|
| Total cash, cash equivalents, and short-term investments | $ 2,291,399 |
| $ 2,033,973 |
| $ 1,614,206 |
| $ 2,291,399 |
| $ 1,614,206 |
|
|
|
|
|
|
|
|
|
|
|
|
|
| Cash, cash equivalents and restricted cash: |
|
|
|
|
|
|
|
|
|
|
| Cash and cash equivalents | $ 2,291,399 |
| $ 2,033,973 |
| $ 1,578,670 |
| $ 2,291,399 |
| $ 1,578,670 |
|
| Restricted cash in Other assets | 13 |
| 6,758 |
| 6,758 |
| 13 |
| 6,758 |
|
| Total cash, cash equivalents and restricted cash | $ 2,291,412 |
| $ 2,040,731 |
| $ 1,585,428 |
| $ 2,291,412 |
| $ 1,585,428 |
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