Garmin announces second quarter 2024 results

 

Garmin Ltd. and Subsidiaries


Condensed Consolidated Statements of Cash Flows (Unaudited)


(In thousands)













26-Weeks Ended




June 29, 2024



July 1, 2023


Operating Activities:









Net income


$

576,591



$

490,266


Adjustments to reconcile net income to net cash provided by

   operating activities:









Depreciation



67,890




64,816


Amortization



21,047




22,788


Loss (gain) on sale or disposal of property and equipment



128




(124)


Unrealized foreign currency losses (gains)



3,165




(13,054)


Deferred income taxes



(35,778)




(68,859)


Stock compensation expense



65,983




43,397


Realized loss on marketable securities



29




59


Changes in operating assets and liabilities, net of acquisitions:









Accounts receivable, net of allowance for doubtful accounts



(8,600)




(62,832)


Inventories



(11,368)




111,531


Other current and noncurrent assets



(39,759)




2,769


Accounts payable



92,065




45,206


Other current and noncurrent liabilities



(62,099)




(39,484)


Deferred revenue



667




4,711


Deferred costs



(2,516)




(990)


Income taxes



23,181




(47,288)


Net cash provided by operating activities



690,626




552,912











Investing activities:









Purchases of property and equipment



(70,325)




(99,346)


Purchase of marketable securities



(281,297)




(68,978)


Redemption of marketable securities



203,775




98,885


Net cash from (payments for) acquisitions



5,011





Other investing activities, net



(321)




(695)


Net cash used in investing activities



(143,157)




(70,134)











Financing activities:









Dividends



(284,246)




(279,442)


Proceeds from issuance of treasury shares related to equity awards



24,530




21,946


Purchase of treasury shares related to equity awards



(16,264)




(9,397)


Purchase of treasury shares under share repurchase plan



(9,713)




(70,181)


Net cash used in financing activities



(285,693)




(337,074)











Effect of exchange rate changes on cash and cash equivalents



(17,761)




599











Net increase in cash, cash equivalents, and restricted cash



244,015




146,303


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



1,694,156




1,279,912


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


$

1,938,171



$

1,426,215



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