PTC Announces Fourth fiscal Quarter and Full Year 2023 Results

 

PTC Inc.


UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS


(in thousands)







































Three Months Ended



Twelve Months Ended



September
30,



September
30,



September
30,



September
30,



2023



2022



2023



2022














Cash flows from operating activities:












Net income

$

45,603



$

106,837



$

245,540



$

313,081


Stock-based compensation


58,891




41,580




206,459




174,863


Depreciation and amortization


27,817




22,238




104,760




87,694


Amortization of right-of-use lease assets


7,697




8,198




32,402




34,346


Loss (gain) on investment


-




-




-




31,854


Gain on divestiture of business


-




-




-




(29,808)


Operating lease liability


(569)




(3,066)




(1,929)




(13,610)


Accounts receivable


(198,128)




(190,235)




(98,607)




(165,006)


Accounts payable and accruals


12,395




17,080




23,763




312


Deferred revenue


37,876




39,549




56,572




57,586


Income taxes


31,225




21,510




21,315




27,634


Other


26,962




(25,192)




20,586




(83,620)


Net cash provided by operating activities


49,769




38,499




610,861




435,326














Capital expenditures


(5,779)




(9,517)




(23,814)




(19,496)


Acquisition of businesses, net of cash acquired (1)


-




(7,969)




(828,271)




(282,943)


Purchase of intangible assets


(800)




(998)




(800)




(6,451)


Borrowings (payments) on debt, net (2)


(43,000)




(75,000)




343,000




(91,000)


Repurchases of common stock


-




-




-




(125,000)


Net proceeds associated with issuance of common stock


11,060




10,350




21,652




21,207


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


(6,959)




(6,135)




(82,448)




(68,991)


Net proceeds from sale (purchases) of investments (3)


-




-




(5,474)




46,906


Credit facility origination costs


-




-




(13,355)




-


Divestiture of business, net (4)


-




-




(154)




32,518


Other financing & investing activities


6,283




10,164




(8,138)




27,968


Foreign exchange impact on cash


(3,984)




(9,548)




2,851




(24,203)














Net change in cash, cash equivalents, and restricted cash


6,590




(50,154)




15,910




(54,159)


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


282,208




323,042




272,888




327,047


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

$

288,798



$

272,888



$

288,798



$

272,888














Supplemental cash flow information:












Cash paid for interest

$

37,855



$

22,618



$

89,801



$

48,525














(1) In FY'23, we acquired ServiceMax Inc. for $1,448 million, net of cash acquired.  We paid $828 million in FY'23 with the
remaining $650 million to be paid in Q1'24.  Of the $650 million to be paid, $620 million will be a financing outflow and $30
million of imputed interest will be an operating cash outflow. In FY'22, we acquired Intland for approximately $278 million, net of
cash acquired.


(2) In FY'23, net borrowings were related to a credit facility established to fund the ServiceMax acquisition.


(3) In FY'22, we sold an equity investment in a publicly-traded company for $43 million.


(4) In FY'22, we sold a portion of our PLM services business.



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