Autodesk Reports Record Fourth Quarter Revenue

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Autodesk, Inc.
Condensed Consolidated Statements of Operations
(In millions, except per share data)
 
 

Three Months Ended
January 31,

 

Twelve Months Ended
January 31,

2013   2012 2013   2012
(Unaudited) (Unaudited) (Unaudited)
Net revenue:
License and other $ 372.0 $ 370.2 $ 1,390.6 $ 1,357.6
Maintenance 234.9   222.2   921.6   858.0  
Total net revenue 606.9   592.4   2,312.2   2,215.6  
Cost of revenue:
Cost of license and other revenue 52.4 48.3 198.1 187.1
Cost of maintenance revenue 9.6   9.2   40.4   42.0  
Total cost of revenue 62.0   57.5   238.5   229.1  
Gross profit 544.9 534.9 2,073.7 1,986.5
Operating expenses:
Marketing and sales 236.0 233.5 875.5 842.6
Research and development 149.4 149.5 600.0 566.5
General and administrative 67.7 60.1 248.4 223.1
Restructuring charges (benefits), net 7.2     43.9   (1.3 )
Total operating expenses 460.3   443.1   1,767.8   1,630.9  
Income from operations 84.6 91.8 305.9 355.6
Interest and other income, net 1.5   1.1   4.1   7.3  
Income before income taxes 86.1 92.9 310.0 362.9
Provision for income taxes (11.6 ) (20.9 ) (62.6 ) (77.6 )
Net income $ 74.5   $ 72.0   $ 247.4   $ 285.3  
Basic net income per share $ 0.33   $ 0.32   $ 1.09   $ 1.25  
Diluted net income per share $ 0.32   $ 0.31   $ 1.07   $ 1.22  
Weighted average shares used in computing basic net income per share 224.1   226.1   226.4   227.7  
Weighted average shares used in computing diluted net income per share 229.6   231.5   231.7   233.3  
 
Autodesk, Inc.
Condensed Consolidated Balance Sheets
(In millions)
 
  January 31,   January 31,
2013 2012
(Unaudited)
 
ASSETS
Current assets:
Cash and cash equivalents $ 1,612.2 $ 1,156.9
Marketable securities 342.1 254.4
Accounts receivable, net 495.1 395.1
Deferred income taxes 42.2 30.1
Prepaid expenses and other current assets 60.8   59.4
Total current assets 2,552.4   1,895.9
Marketable securities 411.1 192.8
Computer equipment, software, furniture and leasehold improvements, net 114.9 104.5
Purchased technologies, net 76.0 84.6
Goodwill 871.5 682.4
Deferred income taxes, net 122.8 135.8
Other assets 159.7   131.8
$ 4,308.4   $ 3,227.8
LIABILITIES AND STOCKHOLDERS’ EQUITY
Current liabilities:
Accounts payable $ 94.2 $ 89.3
Accrued compensation 189.6 183.9
Accrued income taxes 13.9 14.4
Deferred revenue 647.0 582.3
Other accrued liabilities 99.0   84.2
Total current liabilities 1,043.7   954.1
Deferred revenue 187.6 136.9
Long term income taxes payable 194.2 174.8
Long term notes payable, net of discount 745.6
Other liabilities 94.1 79.1
Commitments and contingencies
Stockholders’ equity:
Preferred stock
Common stock and additional paid-in capital 1,449.8 1,365.4
Accumulated other comprehensive (loss) income (5.7 ) 5.9
Retained earnings 599.1   511.6
Total stockholders’ equity 2,043.2   1,882.9
$ 4,308.4   $ 3,227.8
 
Autodesk, Inc.
Condensed Consolidated Statements of Cash Flows
(In millions)
 
  Twelve Months Ended January 31,
2013   2012
(Unaudited)
Operating activities:
Net income $ 247.4 $ 285.3
Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation, amortization and accretion 127.8 115.5
Stock-based compensation expense 156.3 108.8
Excess tax benefits from stock-based compensation (12.9 ) (31.5 )
Restructuring charges (benefits), net 43.9 (1.3 )

Other operating activities

6.7 (0.3 )
Changes in operating assets and liabilities, net of business combinations (10.1 ) 97.0  
Net cash provided by operating activities 559.1   573.5  
Investing activities:
Purchases of marketable securities (1,397.7 ) (614.2 )
Sales of marketable securities 332.9 149.5
Maturities of marketable securities 764.8 409.6
Capital expenditures (56.4 ) (63.0 )
Acquisitions, net of cash acquired (263.7 ) (221.7 )
Other investing activities (27.1 ) (30.5 )
Net cash used in investing activities (647.2 ) (370.3 )
Financing activities:
Proceeds from issuance of common stock, net of issuance costs 220.2 176.1
Repurchases of common stock (431.2 ) (327.4 )
Draws on line of credit 110.0
Proceeds from debt, net of discount 745.6
Repayments of line of credit (110.0 )
Excess tax benefits from stock-based compensation 12.9 31.5
Other financing activities (6.1 )  
Net cash provided by (used in) financing activities 541.4   (119.8 )
Effect of exchange rate changes on cash and cash equivalents 2.0   (1.6 )
Net increase in cash and cash equivalents 455.3 81.8
Cash and cash equivalents at beginning of fiscal year 1,156.9   1,075.1  
Cash and cash equivalents at end of fiscal year $ 1,612.2   $ 1,156.9  

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