Xilinx Announces 2014 Fiscal Q3 Results; 28nm Sales Reach $100 Million

 

XILINX, INC.
CONDENSED CONSOLIDATED BALANCE SHEETS

(In thousands)









December 28, 2013


March 30, 2013 *


(unaudited)



ASSETS




Current assets:




  Cash, cash equivalents and short-term investments

$                2,457,419


$             1,714,745

  Accounts receivable, net

207,248


229,175

  Inventories

206,728


201,250

  Deferred tax assets and other current assets

76,431


152,469

Total current assets

2,947,826


2,297,639

Net property, plant and equipment

354,800


365,687

Long-term investments

1,287,392


1,651,033

Other assets

411,783


415,092

Total Assets

$                5,001,801


$             4,729,451









LIABILITIES , TEMPORARY EQUITY AND STOCKHOLDERS' EQUITY




Current liabilities:




  Accounts payable and accrued  liabilities

$                   309,009


$                333,379

  Deferred income on shipments to distributors

48,075


53,358

  Deferred tax liabilities

140,601


51

  Convertible debentures

934,392


Total current liabilities

1,432,077


386,788

Convertible debentures


922,666

Deferred tax liabilities

279,696


415,442

Other long-term liabilities

13,057


41,259

Temporary equity

355,243


Stockholders' equity

2,921,728


2,963,296

Total Liabilities, Temporary Equity and Stockholders' Equity

$                5,001,801


$             4,729,451

 

XILINX, INC.

SUPPLEMENTAL FINANCIAL INFORMATION

(Unaudited)

(In thousands)


Three Months Ended


Nine Months Ended












December 28, 2013


September 28, 2013


December 29, 2012


December 28, 2013


December 29, 2012

SELECTED CASH FLOW INFORMATION:










Depreciation

$                     13,595


$                      13,976


$                     13,680


$                     41,604


$                     42,434

Amortization

5,058


4,885


4,423


14,828


12,878

Stock-based compensation

24,339


23,060


19,762


68,353


56,616

Net cash provided by operating activities

216,390


254,943


122,568


615,542


482,884

Purchases of property, plant and equipment

10,975


8,441


8,075


30,717


24,053

Payment of dividends to stockholders

67,096


67,198


57,326


200,301


172,647

Repurchases of common stock

97,140


69,981


19,541


167,121


197,689

Proceeds from issuance of common stock to employees and excess tax benefit

12,729


110,925


20,547


157,611


58,201











STOCK-BASED COMPENSATION INCLUDED IN:










Cost of revenues

$                       1,966


$                        1,858


$                       1,517


$                       5,628


$                       4,718

Research and development

11,912


11,343


9,654


33,474


27,681

Selling, general and administrative

10,461


9,859


8,591


29,251


24,217


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