PTC Inc. |
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UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS |
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(in thousands) |
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| Three Months Ended |
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| December 31, |
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| December 31, |
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| 2022 |
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| 2021 |
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Cash flows from operating activities: |
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Net income | $ | 75,035 |
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| $ | 46,089 |
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Stock-based compensation |
| 41,504 |
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| 45,942 |
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Depreciation and amortization |
| 21,328 |
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| 22,088 |
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Amortization of right-of-use lease assets |
| 8,054 |
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| 8,860 |
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Accounts receivable |
| 105,512 |
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| 57,316 |
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Accounts payable and accruals |
| (9,850) |
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| 15,812 |
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Deferred revenue |
| (19,635) |
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| (13,696) |
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Income taxes |
| (16,836) |
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| (8,328) |
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Other |
| (24,191) |
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| (36,347) |
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Net cash provided by operating activities |
| 180,921 |
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| 137,736 |
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Capital expenditures |
| (9,180) |
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| (3,362) |
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Purchase of intangible assets |
| - |
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| (450) |
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Repurchases of common stock |
| - |
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| (119,739) |
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Payments of withholding taxes in connection with vesting of stock-based awards |
| (52,423) |
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| (49,165) |
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Settlement of net investment hedges |
| (10,795) |
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| 6,473 |
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Divestitures of businesses and assets, net |
| (154) |
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| - |
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Credit facility origination costs |
| (1,350) |
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| - |
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Other financing & investing activities |
| (217) |
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| (239) |
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Foreign exchange impact on cash |
| 8,616 |
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| (1,661) |
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Net change in cash, cash equivalents, and restricted cash |
| 115,418 |
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| (30,407) |
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Cash, cash equivalents, and restricted cash, beginning of period |
| 272,888 |
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| 327,046 |
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Cash, cash equivalents, and restricted cash, end of period | $ | 388,306 |
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| $ | 296,639 |
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