­­Cypress Reports Second Quarter 2015 Results

 





CYPRESS SEMICONDUCTOR CORPORATION




SUPPLEMENTAL FINANCIAL DATA




(In thousands)




(Unaudited)















Three Months Ended 


Six Months Ended 


June 28,


March 29,


June 29,


June 28,


June 29,


2015


2015


2014


2015


2014

Selected Cash Flow Data (Preliminary):










 Net cash provided (used) by operating activities 

$        (65,620)


$         12,292


$         45,307


$      (53,327)


$       69,500

 Net cash used by investing activities 

$        (24,584)


$      (110,664)


$        (20,148)


$    (133,912)


$      (17,247)

 Net cash provided (used) in financing activities 

$         66,763


$       142,217


$        (27,372)


$     208,979


$      (36,828)











Other Supplemental Data (Preliminary):










 Capital expenditures 

$         18,735


$           6,496


$           5,767


$       25,231


$       11,378

 Depreciation 

$         36,486


$         13,902


$         10,133


$       50,388


$       19,618

 Payment of dividend 

$         36,402


$         17,931


$         17,412


$       54,333


$       34,107

 Dividend paid per share 

$            0.11


$            0.11


$            0.11


$           0.22


$           0.22

 Dividend yield per share (a) 

3.7%


3.1%


4.1%


3.7%


4.1%











(a) Dividend yield per share is calculated based on annualized dividend paid per share divided by the common stock share price at the end of the period.


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