3D Systems Reports Q3 and Nine Months 2016 Financial Results

3D Systems Corporation
Unaudited Condensed Consolidated Statements of Cash Flows
Nine Months Ended September 30, 2016 and 2015
 
  
  Nine Months Ended September 30,   
(In thousands)    2016      2015  
Cash flows from operating activities:      
Net loss$ (44,448) $ (59,469) 
Adjustments to reconcile net loss to net cash provided by (used in) operating activities:      
Benefit of deferred income taxes   (5,464)   (21,971) 
Depreciation and amortization   45,731    63,905  
Provision for arbitration award      11,282  
Impairment of assets  8,590    1,111  
Provision for bad debts   1,488    4,123  
Inventory reserve of discontinued products  10,723      
Stock-based compensation   28,405    28,850  
Loss on the disposition of property and equipment  2,052    1,182  
Changes in operating accounts:      
Accounts receivable   36,357    37,426  
Inventories   (16,977)   (40,987) 
Prepaid expenses and other current assets   (1,619)   (10,136) 
Accounts payable   (9,938)   (19,657) 
Accrued and other current liabilities  (8,452)   (5,348) 
Customer deposits  (2,389)   566  
All other operating activities   (5,819 )       (1,485 )  
Net cash provided by (used in) operating activities      38,240         (10,608 )  
Cash flows from investing activities:            
Purchases of property and equipment      (12,014 )       (18,064 )  
Additions to license and patent costs      (790 )       (719 )  
Cash paid for acquisitions, net of cash assumed              (91,799 )  
Other investing activities     (1,000 )       (3,750 )  
Net cash used in investing activities      (13,804 )       (114,332 )  
Cash flows from financing activities:                
Tax benefits from share-based payment arrangements             467    
Proceeds, repurchase and retirement of stock, net     (1,507 )       748    
Repayment of capital lease obligations      (786 )       (788 )  
Net cash provided by (used in) financing activities      (2,293 )       427    
Effect of exchange rate changes on cash and cash equivalents     1,572         (2,896 )  
Net increase (decrease) in cash and cash equivalents      23,715         (127,409 )  
Cash and cash equivalents at the beginning of the period      155,643         284,862    
Cash and cash equivalents at the end of the period  $   179,358     $   157,453    
             



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