PTC ANNOUNCES SECOND FISCAL QUARTER 2022 RESULTS

 

 PTC Inc.


UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS


 (in thousands)























Three Months Ended



Six Months Ended





March 31,



March 31,



March 31,



March 31,





2022



2021



2022



2021




















Cash flows from operating activities:
















     Net income

$

89,679



$

109,262



$

135,768



$

132,777


     Stock-based compensation


37,921




44,740




83,863




90,828


     Depreciation and amortization


21,380




21,334




43,468




40,169


     Amortization of right-of-use lease assets


8,676




9,565




17,536




18,956


     Accounts receivable


(45,006)




(20,169)




12,310




(9,854)


     Accounts payable and accruals


(55,744)




(4,025)




(39,932)




(896)


     Deferred revenue


60,708




53,061




47,012




52,210


     Income taxes


2,049




(49,481)




(6,279)




(4,944)


     Other


22,662




(42,595)




(13,685)




(83,792)


Net cash provided by operating activities


142,325




121,692




280,061




235,454




















Capital expenditures


(2,148)




(5,385)




(5,510)




(8,242)


Acquisition of businesses, net of cash acquired (1)


-




(717,198)




-




(717,198)


Borrowings (payments) on debt, net


(175,000)




520,000




(175,000)




502,000


Repurchases of common stock


(5,261)




-




(125,000)




-


Net proceeds associated with issuance of common stock


10,857




10,484




10,857




10,484


Payments of withholding taxes in connection with vesting of stock-based awards


(1,430)




(2,742)




(50,595)




(27,242)


Net proceeds from marketable securities (2)


-




-




-




58,469


Net proceeds from sale of investments (3)


42,693




-




42,693




-


Other financing & investing activities


831




5,556




6,615




(3,632)


Foreign exchange impact on cash


(2,078)




(5,010)




(3,739)




543




















Net change in cash, cash equivalents, and restricted cash


10,789




(72,603)




(19,618)




50,636


Cash, cash equivalents, and restricted cash, beginning of period


296,639




399,199




327,046




275,960


Cash, cash equivalents, and restricted cash, end of period

$

307,428



$

326,596



$

307,428



$

326,596























Three Months Ended



Six Months Ended





March 31,



March 31,



March 31,



March 31,





2022



2021



2022



2021


Cash provided by operating activities

$

142,325



$

121,692



$

280,061



$

235,454


     Capital expenditures


(2,148)




(5,385)




(5,510)




(8,242)


Free cash flow


140,177




116,307




274,551




227,212


     Restructuring and other related payments


17,840




4,463




28,351




11,729


     Acquisition & transaction-related payments


432




8,195




432




11,075


     Non-ordinary course tax payment (4)


-




971




-




971


Adjusted free cash flow

$

158,449



$

129,936



$

303,334



$

250,987




















(1) In the second quarter of 2021, we acquired Arena for approximately $715 million, net of cash acquired.


(2) In the first quarter of 2021, we sold all of our available-for-sale securities.


(3) In the second quarter of 2022, we sold an equity investment in a publicly-traded company.


(4) In the second quarter of 2021, we made $1.0 million of un-forecasted payments related to a prior period tax exposure from a non-U.S. tax dispute.



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