PTC Inc. |
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UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS |
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(in thousands) |
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| March 31, |
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| September 30, |
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| 2024 |
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| 2023 |
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ASSETS |
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Cash and cash equivalents | $ | 248,971 |
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| $ | 288,103 |
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Accounts receivable, net |
| 705,493 |
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| 811,398 |
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Property and equipment, net |
| 81,811 |
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| 88,391 |
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Goodwill and acquired intangible assets, net |
| 4,377,844 |
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| 4,299,760 |
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Lease assets, net |
| 135,262 |
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| 143,028 |
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Other assets |
| 655,882 |
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| 658,162 |
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Total assets | $ | 6,205,263 |
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| $ | 6,288,842 |
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LIABILITIES AND STOCKHOLDERS' EQUITY |
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Deferred revenue | $ | 724,571 |
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| $ | 681,550 |
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Debt, net of deferred issuance costs |
| 2,005,741 |
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| 1,695,785 |
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Deferred acquisition payments (1) |
| - |
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| 620,040 |
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Lease obligations |
| 183,789 |
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| 193,192 |
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Other liabilities |
| 348,030 |
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| 420,985 |
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Stockholders' equity |
| 2,943,132 |
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| 2,677,290 |
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Total liabilities and stockholders' equity | $ | 6,205,263 |
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| $ | 6,288,842 |
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(1) FY'23 Deferred acquisition payments represented the fair value of the $650 million payment associated with the ServiceMax,
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