Marvell Technology Group Ltd. Reports Third Quarter of Fiscal Year 2021 Financial Results

 


Marvell Technology Group Ltd.

Condensed Consolidated Statements of Cash Flows (Unaudited)

(In thousands)












Three Months Ended


Nine Months Ended



October 31,
2020


November 2,
2019


October 31,
2020


November 2,
2019

Cash flows from operating activities:









Net loss


$

(22,908)



$

(82,501)



$

(293,834)



$

(188,282)


Adjustments to reconcile net loss to net cash provided by
operating activities:









Depreciation and amortization


47,834



36,082



149,922



112,662


Share-based compensation


59,787



66,762



182,060



189,036


Amortization of acquired intangible assets


109,433



92,760



333,934



253,467


Amortization of inventory fair value
adjustment associated with acquisitions




3,316



17,284



3,316


Restructuring related impairment charges


6,013



6,146



123,559



16,243


Other expense (income), net


8,614



(2,094)



23,080



14,814


Changes in assets and liabilities:









Accounts receivable


(6,729)



(32,002)



2,075



8,374


Inventories


(5,984)



(39,276)



29,817



(30,602)


Prepaid expenses and other assets


(5,677)



(3,046)



(8,692)



(11,039)


Accounts payable


5,121



8,304



34,768



30,801


Accrued liabilities and other non-current
liabilities


5,289



(26,141)



26,817



(106,258)


Accrued employee compensation


56,741



37,193



38,202



11,927


Net cash provided by operating
activities


257,534



65,503



658,992



304,459


Cash flows from investing activities:









Sales of available-for-sale securities




18,832





18,832


Purchases of technology licenses


(1,712)



(414)



(8,476)



(1,936)


Purchases of property and equipment


(35,359)



(20,742)



(88,242)



(62,935)


Cash payment for acquisition, net of cash and
cash equivalents acquired




(477,579)





(477,579)


Other, net


(476)



(1,404)



223



(1,793)


Net cash used in investing activities


(37,547)



(481,307)



(96,495)



(525,411)


Cash flows from financing activities:









Repurchases of common stock






(25,202)



(64,272)


Proceeds from employee stock plans


2,256



21,795



50,490



103,109


Tax withholding paid on behalf of employees
for net share settlement


(25,912)



(19,220)



(82,626)



(80,862)


Dividend payments to shareholders


(40,229)



(40,140)



(120,111)



(119,496)


Payments on technology license obligations


(34,285)



(28,889)



(76,794)



(57,213)


Proceeds from issuance of debt




350,000





350,000


Principal payments of debt


(100,000)





(100,000)



(50,000)


Payment of debt financing costs


(22,313)





(22,313)




Other, net


1,003



(2,869)



(1,504)



(4,355)


Net cash provided by (used in)
financing activities


(219,480)



280,677



(378,060)



76,911


Net increase (decrease) in cash and cash equivalents


507



(135,127)



184,437



(144,041)


Cash and cash equivalents at beginning of period


831,534



573,496



647,604



582,410


Cash and cash equivalents at end of period


$

832,041



$

438,369



$

832,041



$

438,369



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