TowerJazz Announces Records in Revenues, Margins, EBITDA and Free Cash Flow for the Second Quarter and First Half of 2017

 

TOWER SEMICONDUCTOR LTD. AND SUBSIDIARIES 
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED) 
(dollars in thousands) 
       
    Three months ended 
    June 30,  June 30, 
    2017
  2016
 
       
CASH FLOWS - OPERATING ACTIVITIES      
       
Net profit for the period $ 51,727  $ 40,347  
       
Adjustments to reconcile net profit for the period     
to net cash provided by operating activities:     
Income and expense items not involving cash flows:     
Depreciation and amortization  52,389   48,117  
Effect of indexation, translation and fair value measurement on debt  4,873   6,700  
Other income, net  (142 )  (4,362 ) 
Gain from acquisition, net  --      (10,158 ) 
Changes in assets and liabilities:     
Trade accounts receivable  (17,242 )  (1,916 ) 
Other current assets   (7,307 )  (5,476 ) 
Inventories  1,688   (6,300 ) 
Trade accounts payable  (6,530 )  130  
Deferred revenue and customers' advances    (4,564 )  8,294  
Other current liabilities  12,866   11,194  
Long-term employee related liabilities  (234 )  (143 ) 
Deferred tax liability, net     (3,230 )   (4,646 )  
Net cash provided by operating activities   84,294     81,781    
             
CASH FLOWS - INVESTING ACTIVITIES            
             
Investments in property and equipment, net   (41,312 )   (54,323 )  
Deposits and other long-term investments, net   --       19,600    
Net cash used in investing activities   (41,312 )   (34,723 )  
             
CASH FLOWS - FINANCING ACTIVITIES            
             
Debt received (repaid), net   (5,655 )   27,444    
Exercise of warrants and options, net   14,254     360    
Net cash provided by (used in) financing activities   8,599     27,804    
             
EFFECT OF FOREIGN CURRENCY EXCHANGE RATE CHANGE     (91 )   11,623    
             
             
I NCREASE IN CASH AND SHORT-TERM DEPOSITS     51,490     86,485    
C ASH AND SHORT-TERM DEPOSITS - BEGINNING OF PERIOD     432,113     224,577    
             
CASH AND SHORT-TERM DEPOSITS - END OF PERIOD   $ 483,603   $ 311,062    

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