FARO Announces Second Quarter Financial Results

 

(1) Regions represent North America and South America (Americas); Europe, the Middle East, and Africa (EMEA); and the Asia-Pacific (APAC).


(2) We compare the change in the sales from one period to another period using constant currency disclosure. We present constant currency information to provide a framework for assessing how our underlying business performed excluding the effect of foreign currency rate fluctuations. To present this information, current and comparative prior period results for entities reporting in currencies other than United States dollars are converted into United States dollars at the exchange rate in effect during the last day of the prior comparable period, rather than the actual exchange rates in effect during the respective periods.

 


Three Months Ended June 30,


Six Months Ended June 30,

(in thousands)

2023


2022


2023


2022









Hardware

$        56,816


$        49,174


$      111,778


$        95,626

Software

10,786


10,528


21,065


20,806

Service

20,609


20,215


40,335


40,141

Total Sales

$        88,211


$        79,917


$      173,178


$      156,573









Hardware as a percentage of total sales

64.4 %


61.5 %


64.5 %


61.1 %

Software as a percentage of total sales

12.2 %


13.2 %


12.2 %


13.3 %

Service as a percentage of total sales

23.4 %


25.3 %


23.3 %


25.6 %









Total Recurring Revenue (3)

$        16,396


$        17,119


$        33,081


$        33,592

Recurring revenue as a percentage of total sales

18.6 %


21.4 %


19.1 %


21.5 %

 

(3) Recurring revenue is comprised of hardware service contracts, software maintenance contracts, and subscription based software applications.

 

FARO TECHNOLOGIES, INC. AND SUBSIDIARIES

FREE CASH FLOW RECONCILIATION

(UNAUDITED)



Three Months Ended June 30,


Six Months Ended June 30,

(in thousands)

2023


2022


2023


2022

Net cash used in operating activities

$              5,137


$              3,777


$          (13,207)


$            (3,260)

Purchases of property and equipment

(2,624)


(1,039)


(4,312)


(3,481)

Cash paid for technology development, patents and
licenses

(1,796)


(2,936)


(3,616)


(5,548)

Free Cash Flow

717


(198)


(21,135)


(12,289)

Restructuring cash payments

3,192


2,161


3,988


2,835

Adjusted Free Cash Flow

$              3,909


$              1,963


$          (17,147)


$            (9,454)


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