Multimedia Games Reports Third Quarter Revenue of $50.3 Million

 

CONDENSED CONSOLIDATED BALANCE SHEETS
As of June 30, 2014 and September 30, 2013
(In thousands, except share and per-share amounts)

      June 30,     September 30,
ASSETS 2014 2013
CURRENT ASSETS: (Unaudited)
Cash and cash equivalents $ 129,310 $ 102,632

Accounts receivable, net of allowance for doubtful accounts

of $300 and $342, respectively

24,480 26,566
Inventory 12,675 12,429
Notes receivable, current 2,443 2,093
Deferred tax asset 7,818 7,818
Prepaid expenses and other 3,195 2,423

Federal and state income taxes receivable

  4,624     2,855  
Total current assets 184,545 156,816
Property and equipment and leased gaming equipment, net 76,492 77,458
Intangible assets, net 31,635 34,723
Notes receivable, non-current 2,700 4,841
Deferred tax asset, non-current 2,690 2,690

Value added tax receivable, net of allowance of $707 and $707,

respectively

2,905 2,862
Other assets   2,319     2,135  
Total assets $ 303,286   $ 281,525  
 
LIABILITIES AND STOCKHOLDERS’ EQUITY
CURRENT LIABILITIES:
Current portion of long-term debt $ 3,700 $ 3,700
Accounts payable and accrued liabilities 26,455 29,129
Deferred revenue   481     520  
Total current liabilities 30,636 33,349
Long-term debt, less current portion 23,125 25,900
Long-term deferred tax liability 12,824 12,824
Other long-term liabilities   473     511  
Total liabilities   67,058     72,584  
Commitments and contingencies
Stockholders’ equity:

Preferred stock:

Series A, $0.01 par value, 1,800,000 shares authorized,

no shares issued and outstanding

Series B, $0.01 par value, 200,000 shares authorized,

no shares issued and outstanding

Common stock, $0.01 par value, 75,000,000 shares authorized,

38,535,302 and 37,802,950 shares issued, and 29,639,222

and 29,386,870 shares outstanding, respectively

 

385 378
Additional paid-in capital 144,485 131,232

Treasury stock, 8,896,080 and 8,416,080, respectively, common

shares at cost

(81,002 ) (66,886 )
Retained earnings   172,360     144,217  
Total stockholders’ equity   236,228     208,941  
Total liabilities and stockholders’ equity $ 303,286   $ 281,525  
 
 

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS
For the Three and Nine Months Ended June 30, 2014 and 2013
(In thousands, except per-share amounts)
(Unaudited)

     

Three Months Ended
June 30,

   

Nine Months Ended
June 30,

2014     2013 2014     2013
REVENUES:
Gaming operations $ 38,043 $ 34,314 $ 109,409 $ 97,694
Gaming equipment and system sales 12,072 13,451 56,823 40,242
Other   155     340     1,374     1,043  
Total revenues   50,270     48,105     167,606     138,979  
 
OPERATING COSTS AND EXPENSES:
Cost of gaming operations revenue (1) 3,788 3,704 11,353 10,359
Cost of equipment and system sales 5,853 5,461 26,518 17,027
Selling, general and administrative expenses 12,722 12,012 40,042 34,930
Research and development 4,327 4,053 12,351 12,316
Amortization and depreciation   11,058     8,900     32,373     25,007  
Total operating costs and expenses   37,748     34,130     122,637     99,639  
Operating income 12,522 13,975 44,969 39,340
 
OTHER INCOME (EXPENSE):
Interest income 83 85 262 399
Interest expense (223 ) (277 ) (712 ) (867 )
Other income   12         24     33  
Income before income taxes 12,394 13,783 44,543 38,905
Income tax benefit   (4,762 )   (5,334 )   (16,400 )   (14,000 )
Net income $ 7,632   $ 8,449   $ 28,143   $ 24,905  
Basic earnings per common share $ 0.26   $ 0.29   $ 0.95   $ 0.87  
Diluted earnings per common share $ 0.25   $ 0.28   $ 0.91   $ 0.82  
Shares used in earnings per common share:
Basic 29,419 28,960 29,639 28,781
Diluted 30,641 30,710 30,971 30,487
 
(1)   Cost of gaming operations revenue excludes depreciation and amortization of gaming equipment, content license rights and other depreciable assets, which are included separately in the amortization and depreciation line item.
 
 

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS
For the Nine Months Ended June 30, 2014 and 2013
(In thousands)
(Unaudited)

 
      2014     2013
CASH FLOWS FROM OPERATING ACTIVITIES:
Net income $ 28,143 $ 24,905

Adjustments to reconcile net income to cash provided by

operating activities:

Amortization and depreciation 32,373 25,007
Accretion of contract rights 7,146 6,034
Share-based compensation 4,567 2,850
Other non-cash items 182 1,401
Deferred income taxes - 548
Interest income from imputed interest (155 ) (320 )
Changes in operating assets and liabilities 1,483 3,542
Tax benefit from exercise of stock options   (5,526 )   (3,725 )
NET CASH PROVIDED BY OPERATING ACTIVITIES   68,213     60,242  
CASH FLOWS FROM INVESTING ACTIVITIES:

Acquisitions of property and equipment

and leased gaming equipment

(25,877 ) (36,623 )
Acquisition of intangible assets and capitalized labor (9,444 ) (6,605 )
Advances under development and placement fee agreements (8,535 )
Repayments under development agreements   1,985     7,689  
NET CASH USED IN INVESTING ACTIVITIES   (33,336 )   (44,074 )
CASH FLOWS FROM FINANCING ACTIVITIES:
Proceeds from exercise of stock options 3,166 6,449
Tax benefit from exercise of stock options 5,526 3,725
Principal payments of long-term debt (2,775 ) (2,775 )
Purchase of treasury stock   (14,116 )   (4,838 )
NET CASH (USED IN) PROVIDED BY FINANCING ACTIVITIES   (8,199 )   2,561  
 
Net increase in cash and cash equivalents 26,678 18,729
Cash and cash equivalents, beginning of period   102,632     73,755  
Cash and cash equivalents, end of period $ 129,310   $ 92,484  
 

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