PTC Announces Third fiscal Quarter 2022 Results

 

PTC Inc.

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(in thousands)









































Three Months Ended



Nine Months Ended



June 30,



June 30,



June 30,



June 30,



2022



2021



2022



2021














Cash flows from operating activities:












Net income

$

70,476



$

51,203



$

206,244



$

183,980


Stock-based compensation


49,420




43,068




133,283




133,896


Depreciation and amortization


21,987




22,501




65,456




62,670


Amortization of right-of-use lease assets


8,612




9,075




26,149




28,031


Loss (gain) on investment


(2,993)




-




31,854




-


Gain on divestiture of business


(29,808)




-




(29,808)




-


Operating lease liability


(7,184)




(3,124)




(10,544)




(13,106)


Accounts receivable


12,918




5,744




25,228




(4,110)


Accounts payable and accruals


23,165




16,851




(16,768)




15,955


Deferred revenue


(28,975)




(21,477)




18,038




30,733


Income taxes


12,403




(8,580)




6,124




(13,524)


Other


(13,255)




(27,227)




(58,429)




(101,037)


Net cash provided by operating activities


116,766




88,034




396,827




323,488














Capital expenditures


(4,470)




(3,420)




(9,979)




(11,662)


Acquisition of businesses, net of cash acquired (1)


(274,974)




(581)




(274,974)




(717,779)


Purchase of intangible assets


(999)




-




(5,453)




(550)


Borrowings (payments) on debt, net


159,000




(30,000)




(16,000)




472,000


Repurchases of common stock


-




-




(125,000)




-


Net proceeds associated with issuance of common stock


-




-




10,857




10,484


Payments of withholding taxes in connection with vesting of stock-based awards


(12,261)




(14,973)




(62,856)




(42,215)


Net proceeds from marketable securities (2)


-




-




-




58,469


Net proceeds from sale of investments (3)


4,213




-




46,906




-


Divestiture of business, net (4)


32,518




-




32,518




-


Other financing & investing activities


6,736




(488)




17,804




(3,570)


Foreign exchange impact on cash


(10,915)




1,103




(14,654)




1,646














Net change in cash, cash equivalents, and restricted cash


15,614




39,675




(4,004)




90,311


Cash, cash equivalents, and restricted cash, beginning of period


307,428




326,596




327,046




275,960


Cash, cash equivalents, and restricted cash, end of period

$

323,042



$

366,271



$

323,042



$

366,271














(1) In the three months ended June 30, 2022, we acquired Intland for approximately $275.0 million, net of cash acquired. In the three months ended March 31, 2021, we acquired Arena for approximately $715 million, net of cash acquired.


(2) In the three months ended December 31, 2020, we sold all of our available-for-sale securities.


(3) In the three months ended March 31, 2022, we sold an equity investment in a publicly-traded company for $42.7 million.


(4) In the three months ended June 30, 2022, we sold a portion of our PLM services business.



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