DREAMWORKS ANIMATION SKG, INC. | |||
CONSOLIDATED STATEMENTS OF CASH FLOWS | |||
(Unaudited) | |||
|
|
|
|
|
Nine Months Ended | ||
|
September 30, | ||
|
2015 |
|
2014 |
|
(in thousands) | ||
Operating activities |
|
|
|
Net loss |
$ (98,973) |
|
$ (46,480) |
Adjustments to reconcile net loss to net cash used in operating activities: |
|
|
|
Amortization and write-off of film and other inventory costs |
304,797 |
|
298,096 |
Other impairments and write-offs |
11,161 |
|
- |
Amortization of intangible and other assets |
13,602 |
|
10,516 |
Depreciation and amortization |
27,229 |
|
3,654 |
Amortization of deferred financing costs |
1,704 |
|
865 |
Amortization of deferred gain on sale-leaseback transaction |
(865) |
|
- |
Stock-based compensation expense |
16,190 |
|
8,387 |
Change in fair value of contingent consideration |
- |
|
(9,675) |
Revenue earned against deferred revenue and other advances |
(63,012) |
|
(43,143) |
Income related to investment contributions |
(4,856) |
|
(6,662) |
Loss from equity method investees |
9,623 |
|
7,939 |
Deferred taxes, net |
1,597 |
|
(19,658) |
Changes in operating assets and liabilities, net of the effects of acquisitions: |
|
|
|
Restricted cash |
25,244 |
|
- |
Trade accounts receivable |
(64,922) |
|
2,830 |
Receivables from distributors |
38,844 |
|
(2,011) |
Film and other inventory costs |
(286,321) |
|
(354,003) |
Prepaid expenses and other assets |
(45,809) |
|
(21,145) |
Accounts payable and accrued liabilities |
(31,112) |
|
(46,553) |
Payable to former stockholder |
13,549 |
|
1,770 |
Income taxes payable/receivable, net |
1,406 |
|
2,510 |
Deferred revenue and other advances |
124,410 |
|
72,117 |
Net cash used in operating activities |
(6,514) |
|
(140,646) |
|
|
|
|
Investing activities |
|
|
|
Investments in unconsolidated entities |
(2,298) |
|
(18,154) |
Purchases of property, plant and equipment |
(12,428) |
|
(26,263) |
Acquisitions of character and distribution rights |
- |
|
(51,000) |
Acquisitions, net of cash acquired |
- |
|
(12,605) |
Net cash used in investing activities |
(14,726) |
|
(108,022) |
|
|
|
|
Financing activities |
|
|
|
Proceeds from stock option exercises |
- |
|
261 |
Deferred financing costs |
(6,286) |
|
- |
Purchase of treasury stock |
(5,185) |
|
(3,580) |
Contingent consideration payment |
(335) |
|
- |
Borrowings from revolving credit facility |
420,405 |
|
215,000 |
Repayments of borrowings from revolving credit facility |
(545,405) |
|
(10,000) |
Proceeds from lease financing obligation |
199,203 |
|
- |
Repayments of lease financing obligation |
(1,378) |
|
- |
Capital contribution from non-controlling interest holder |
15,000 |
|
- |
Distributions to non-controlling interest holder |
(979) |
|
- |
Net cash provided by financing activities |
75,040 |
|
201,681 |
Effect of exchange rate changes on cash and cash equivalents |
868 |
|
586 |
Increase (decrease) in cash and cash equivalents |
54,668 |
|
(46,401) |
Cash and cash equivalents at beginning of period |
34,227 |
|
95,467 |
Cash and cash equivalents at end of period |
$ 88,895 |
|
$ 49,066 |
|
|
|
|
Non-cash investing activities: |
|
|
|
Intellectual property and technology licenses granted in exchange for equity interest |
$ 4,801 |
|
$ 6,057 |
Services provided in exchange for equity interest |
55 |
|
682 |
Total non-cash investing activities |
$ 4,856 |
|
$ 6,739 |
|
|
|
|
Supplemental disclosure of cash flow information: |
|
|
|
Cash paid during the period for income taxes, net of amounts refunded |
$ 3,798 |
|
$ 70 |
Cash paid during the period for interest, net of amounts capitalized |
$ 24,123 |
|
$ 14,039 |
DreamWorks Animation Reports Strong Third Quarter 2015 Results, With Revenues Increasing 43% To $259 Million And Segment Gross Profit Improving 37% To $99 Million Versus Prior Year
| | More SCG News |
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