PTC Inc. | ||||||||
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS | ||||||||
(in thousands) | ||||||||
March 31, | September 30, | |||||||
2018 | 2017 | |||||||
ASSETS | ||||||||
Cash and cash equivalents | $ | 299,776 | $ | 280,003 | ||||
Marketable securities | 55,264 | 50,315 | ||||||
Accounts receivable, net | 127,151 | 152,299 | ||||||
Property and equipment, net | 59,210 | 63,600 | ||||||
Goodwill and acquired intangible assets, net | 1,421,633 | 1,440,680 | ||||||
Other assets | 365,780 | 373,487 | ||||||
Total assets | $ | 2,328,814 | $ | 2,360,384 | ||||
LIABILITIES AND STOCKHOLDERS' EQUITY | ||||||||
Deferred revenue | $ | 497,777 | $ | 458,907 | ||||
Debt, net of deferred issuance costs | 642,837 | 712,406 | ||||||
Other liabilities | 260,476 | 303,635 | ||||||
Stockholders' equity | 927,724 | 885,436 | ||||||
Total liabilities and stockholders' equity | $ | 2,328,814 | $ | 2,360,384 | ||||
PTC Inc. | |||||||||||||||||||||
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS | |||||||||||||||||||||
(in thousands) | |||||||||||||||||||||
Three Months Ended | Six Months Ended | ||||||||||||||||||||
March 31, | April 1, | March 31, |
April 1, |
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2018 | 2017 | 2018 | 2017 | ||||||||||||||||||
Cash flows from operating activities: | |||||||||||||||||||||
Net income (loss) | $ | 7,922 | $ | (1,104 | ) | $ | 21,799 | $ | (10,245 | ) | |||||||||||
Stock-based compensation | 17,026 | 21,577 | 35,357 | 39,565 | |||||||||||||||||
Depreciation and amortization | 21,681 | 21,229 | 42,727 | 42,683 | |||||||||||||||||
Accounts receivable | 10,424 | (5,811 | ) | 32,027 | 15,373 | ||||||||||||||||
Accounts payable and accruals | 13,927 | 13,022 | (39,130 | ) | (40,586 | ) | |||||||||||||||
Deferred revenue | 36,972 | 39,183 | 59,027 | 27,457 | |||||||||||||||||
Income taxes | 138 | (8,584 | ) | (14,134 | ) | (14,680 | ) | ||||||||||||||
Other | 3,058 | (3,086 | ) | (1,398 | ) | (31,017 | ) | ||||||||||||||
Net cash provided by operating activities (1) | 111,148 | 76,426 | 136,275 | 28,550 | |||||||||||||||||
Capital expenditures | (4,762 | ) | (7,689 | ) | (11,139 | ) | (14,789 | ) | |||||||||||||
Acquisition of businesses, net of cash acquired | (3,000 | ) | - | (3,000 | ) | - | |||||||||||||||
Purchase of intangible asset | (500 | ) | - | (3,000 | ) | - | |||||||||||||||
Proceeds (payments) on debt, net | (100,000 | ) | (20,000 | ) | (70,000 | ) | (40,000 | ) | |||||||||||||
Proceeds from issuance of common stock | 7,472 | 3,978 | 7,472 | 3,978 | |||||||||||||||||
Payments of withholding taxes in connection with | |||||||||||||||||||||
vesting of stock-based awards | (454 | ) | (543 | ) | (33,942 | ) | (19,166 | ) | |||||||||||||
Proceeds from investments | - | 13,716 | - | 15,218 | |||||||||||||||||
Contingent consideration | - | - | (3,176 | ) | (2,711 | ) | |||||||||||||||
Purchases of marketable securities, net | (5,046 | ) | 1,280 | (5,554 | ) | 1,280 | |||||||||||||||
Other financing & investing activities | - | (184 | ) | - | (184 | ) | |||||||||||||||
Foreign exchange impact on cash | 3,239 | 2,965 | 5,837 | (6,795 | ) | ||||||||||||||||
Net change in cash and cash equivalents | 8,097 | 69,949 | 19,773 | (34,619 | ) | ||||||||||||||||
Cash and cash equivalents, beginning of period | 291,679 | 173,367 | 280,003 | 277,935 | |||||||||||||||||
Cash and cash equivalents, end of period | $ | 299,776 | $ | 243,316 | $ | 299,776 | $ | 243,316 | |||||||||||||
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