DREAMWORKS ANIMATION SKG, INC. | |||
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CONSOLIDATED STATEMENTS OF CASH FLOWS | |||
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(Unaudited) | |||
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Six Months Ended | ||
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June 30, | ||
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2015 |
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2014 |
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(in thousands) | ||
Operating activities |
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Net loss |
$ (94,929) |
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$ (58,344) |
Adjustments to reconcile net loss to net cash provided by (used in) operating activities: |
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Amortization and write-off of film and other inventory costs |
182,239 |
|
206,493 |
Other impairments and write-offs |
5,064 |
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- |
Amortization of intangible assets |
7,049 |
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6,436 |
Depreciation and amortization |
20,957 |
|
2,349 |
Amortization of deferred financing costs |
1,200 |
|
550 |
Stock-based compensation expense |
10,727 |
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8,421 |
Change in fair value of contingent consideration |
- |
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(4,720) |
Revenue earned against deferred revenue and other advances |
(35,608) |
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(32,584) |
Income related to investment contributions |
(4,000) |
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(3,989) |
Loss from equity method investees |
9,137 |
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6,727 |
Deferred taxes, net |
1,267 |
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(26,590) |
Changes in operating assets and liabilities, net of the effects of acquisitions: |
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Restricted cash |
17,252 |
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- |
Trade accounts receivable |
(18,989) |
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(15,691) |
Receivables from distributors |
53,169 |
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70,315 |
Film and other inventory costs |
(179,791) |
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(236,376) |
Prepaid expenses and other assets |
(37,656) |
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(14,412) |
Accounts payable and accrued liabilities |
(23,547) |
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(38,113) |
Payable to former stockholder |
(231) |
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(615) |
Income taxes payable/receivable, net |
107 |
|
7,353 |
Deferred revenue and other advances |
93,924 |
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56,355 |
Net cash provided by (used in) operating activities |
7,341 |
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(66,435) |
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Investing activities |
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Investments in unconsolidated entities |
(2,298) |
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(13,365) |
Purchases of property, plant and equipment |
(4,595) |
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(17,653) |
Acquisitions of character and distribution rights |
- |
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(51,000) |
Acquisitions, net of cash acquired |
- |
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(12,605) |
Net cash used in investing activities |
(6,893) |
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(94,623) |
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Financing activities |
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Proceeds from stock option exercises |
- |
|
261 |
Deferred financing costs |
(6,286) |
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- |
Purchase of treasury stock |
(3,066) |
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(1,956) |
Contingent consideration payment |
(335) |
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- |
Borrowings from revolving credit facility |
385,405 |
|
110,000 |
Repayments of borrowings from revolving credit facility |
(485,405) |
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(10,000) |
Proceeds from lease financing obligation |
185,000 |
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- |
Repayments of lease financing obligation |
(1,399) |
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- |
Capital contribution from non-controlling interest holder |
15,000 |
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- |
Distributions to non-controlling interest holder |
(813) |
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- |
Net cash provided by financing activities |
88,101 |
|
98,305 |
Effect of exchange rate changes on cash and cash equivalents |
(574) |
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(518) |
Increase (decrease) in cash and cash equivalents |
87,975 |
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(63,271) |
Cash and cash equivalents at beginning of period |
34,227 |
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95,467 |
Cash and cash equivalents at end of period |
$ 122,202 |
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$ 32,196 |
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Non-cash investing activities: |
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Intellectual property and technology licenses granted in exchange for equity interest |
$ 3,945 |
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$ 3,395 |
Services provided in exchange for equity interest |
55 |
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600 |
Total non-cash investing activities |
$ 4,000 |
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$ 3,995 |
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Supplemental disclosure of cash flow information: |
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Cash paid (refunded) during the period for income taxes, net |
$ 2,897 |
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$ (608) |
Cash paid during the period for interest, net of amounts capitalized |
$ 14,675 |
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$ 5,273 |
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