KLA Corporation | |||
Condensed Consolidated Unaudited Statements of Cash Flows | |||
| |||
| Three months ended June 30, | ||
(In thousands) | 2022 |
| 2021 |
Cash flows from operating activities: |
|
|
|
Net income | $ 805,398 |
| $ 633,058 |
Adjustments to reconcile net income to net cash provided by operating activities: |
|
|
|
Depreciation and amortization | 100,848 |
| 84,647 |
Unrealized foreign exchange (gain) loss and other | 31,862 |
| (6,102) |
Stock-based compensation expense | 36,849 |
| 27,690 |
Deferred income taxes | 53,474 |
| (4,787) |
Gain on fair value adjustment of marketable equity securities | — |
| (26,719) |
Settlement of treasury lock agreement | 82,799 |
| — |
Changes in assets and liabilities, net of assets acquired and liabilities assumed in business acquisitions: | |||
Accounts receivable | (192,055) |
| (102,021) |
Inventories | (170,600) |
| (123,725) |
Other assets | (193,341) |
| (63,738) |
Accounts payable | 19,256 |
| 48,414 |
Deferred system revenue | 72,246 |
| (40,900) |
Deferred service revenue | 48,502 |
| 35,769 |
Other liabilities | 123,991 |
| 4,036 |
Net cash provided by operating activities | 819,229 |
| 465,622 |
Cash flows from investing activities: |
|
|
|
Business acquisitions, net of cash acquired | (8,226) |
| — |
Capital expenditures | (73,160) |
| (55,375) |
Proceeds from sale of assets | 27,658 |
| — |
Purchases of available-for-sale securities | (254,274) |
| (223,619) |
Proceeds from sale of available-for-sale securities | 46,033 |
| 19,759 |
Proceeds from maturity of available-for-sale securities | 235,871 |
| 163,232 |
Purchases of trading securities | (19,912) |
| (24,001) |
Proceeds from sale of trading securities | 20,616 |
| 26,402 |
Net cash used in investing activities | (25,394) |
| (93,602) |
Cash flows from financing activities: |
|
|
|
Proceeds from issuance of debt, net of issuance costs | 2,967,409 |
| — |
Proceeds from revolving credit facility, net of costs | 275,000 |
| — |
Repayment of debt | (275,000) |
| — |
Issuance of common stock | 76,102 |
| 59,742 |
Common stock repurchases | (2,573,589) |
| (299,777) |
Forward contract for accelerated share repurchases | (900,000) |
| — |
Payment of dividends to stockholders | (157,602) |
| (139,267) |
Payment of dividends to subsidiary's non-controlling interest holders | (602) |
| — |
Tax withholding payments related to vested and released restricted stock units | (15,423) |
| (13,543) |
Contingent consideration payable and other, net | (21) |
| — |
Net cash used in financing activities | (603,726) |
| (392,845) |
Effect of exchange rate changes on cash and cash equivalents | (20,373) |
| 3,285 |
Net (decrease) increase in cash and cash equivalents | 169,736 |
| (17,540) |
Cash and cash equivalents at beginning of period | 1,415,172 |
| 1,452,150 |
Cash and cash equivalents at end of period | $ 1,584,908 |
| $ 1,434,610 |
Supplemental cash flow disclosures: |
|
|
|
Income taxes paid, net | $ 109,350 |
| $ 111,396 |
Interest paid | $ 37,882 |
| $ 37,219 |
Non-cash activities: |
|
|
|
Contingent consideration payable - financing activities | $ 1,195 |
| $ 1,120 |
Dividends payable - financing activities | $ 1,653 |
| $ 1,428 |
Unsettled common stock repurchase - financing activities | $ — |
| $ 6,000 |
Accrued purchase of land, property and equipment - investing activities | $ 19,595 |
| $ 30,615 |